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MESSAGE OF THE President of the United States TRANSMITTING THE BUDGET FOR THE SERVICE OF THE FISCAL YEAR ENDING JUNE 30 1 9 3 1 UNITED STATES GOVERNMENT PRINTING OFFICE WASHINGTON : 1929 .For sale by the Superintendent of Documents, Washington, D. C. Price $2.6Q (Paper Covers), TABLE OF CONTENTS Statement No. Budget message of the President of the United States________________________________________________________________________ Explanatory synopsis of the estimates of appropriations_____________________________________________________________________ Chart presentation of estimates of appropriations, receipts and expenditures, for fiscal year 1931___________________________ C hart_______________________________________________________________________________________________________________ Opposite Description of governmental functions________________________________________________________________________________________ D escription of Budget statements_____________________________________________________________________________________________ Balanced statement of (1) the condition of the Treasury at the end of the fiscal years 1928 and 1929, (2) the estimated condition of the Treasury at the end of the fiscal year in progress (1930), and (3) the estimated condition of the Treasury at the end of the ensuing fiscal year 1931 if the financial proposals contained in the Budget are adopted__________________ D etailed statement of ordinary expenditures by organization units, etc., fiscal year 1931, com pared with prior years______ Detailed statement of ordinary receipts by organization units and sources of revenue, fiscal year 1931, compared with prior years__________________________________________________________________________________________________________________ Statement of receipts, under classification of Treasury daily statement, fiscal year 1931, compared with prior years_________ Statement of ordinary expenditures by character, showing estimated expenditures for the fiscal years 1931 and 1930, and actual expenditures for the fiscal year 1929________________________________________________________________________________ Summ ary of ordinary receipts, by sources of revenue, fiscal year 1931, compared with prior years__________________________ Statem ent of expenditures and receipts, Post Office Departm ent and Postal Service, fiscal year 1931, compared with prior years________________________________________________________________________________________________________ .______________ Statement of operations of the Panama Canal__________________________________________________________________ ____________ Statement of operations of the Shipping Board and M erchant Fleet Corporation____________________________________________ Statement of various accounts, funds, and authorizations____________________________________________________________________ Summary of estimates and appropriations, classified by governmental functions, fiscal year 1931, compared with 1930_____ Summary of estimates and appropriations, classified by character and objects of expenditure, fiscal year 1931, compared with 1930___________________________________________________________________________________________________________________ Statement of expenditures, by character and objects, fiscal years 1926 to 1929, inclusive____________________________________ Summary of expenditures, classified by governmental functions, fiscal year 1931, compared with prior years_______________ Comparison of appropriations recom mended and appropriations made by Congress, fiscal year 1930, compared with 1929__ Statement of estimates of appropriations for 1931 and appropriations for 1930, showing percentages of the totals for cur rent operations____________________________________________________________________________________________________________ Com parative statement of appropriations, fiscal years 1929 and 1930________________________________________________________ Statement of annual, permanent, and other appropriations, including balances of appropriations of prior fiscal years, available for expenditure during fiscal year 1930, as of N ovem ber 1, 1929___________________________________________________________ Financial statements: Consolidated current balance sheet at close of business, June 30, 1929_________________________________________ ________ Statement of operations, general fund, fiscal year 1929__________________________________________________________________ Statement of operations, public-debt (loan) funds, fiscal year 1929 _____________________________________________________ Consolidated statement of operations, fiscal year 1929__________________________________________________________________ Public debt statements— Summary statement of outstanding debt of the United States at close of business, June 30, 1929, compared with June 30, 1928, and June 30, 1917_________________________________________________________________________________ Detailed statement of outstanding debt of the United States at close of business, June 30, 1929, compared with June 30, 1928, and June 30, 1917_________________________________________________________________________________ Statement of securities owned by the United States, June 30, 1929_____________________________________________________ Cumulative sinking fund statements— Actual, fiscal year 1929______________________________________________________________________________________________ Estimated, fiscal year 1930__________________________________________________________________________________________ Estimated, fiscal year 1931__________________________________________________________________________________________ Proposed public-debt issues and redemptions, fiscal year 1931, compared with prior years______________________________ Statement summarizing and comparing, by classification services and grades, for the fiscal years 1931, 1930, and 1929, average number of employees, average salary rates, and the total salaries of the personnel of the executive departments and independent establishments in the D istrict of Colum bia classified under the act of M arch 4, 1923____________________ Statement summarizing and comparing, by departments and independent establishments, for the fiscal years 1931, 1930, and 1929, the average number of employees, the average salary rate, and the total salaries of the personnel in the District of Columbia classified under the act of M arch 4, 1923_____________________________________________________________________ Recapitulation of estimates of appropriations, fiscal year 1931, com pared with appropriations for fiscal year 1930___________ Detailed estimates of appropriations, fiscal year 1931, compared with appropriations for the fiscal year 1930: Legislative establishm ent_________________________________________________________________________________________________ Executive Office and independent establishm ents________________________________________________________________________ Departm ent of Agriculture_____________________ _________________________________________________________________________ Departm ent of Com m erce________________________________________________________________________________________________ Interior D epartm ent_____________________________________________________________________________________________________ Departm ent of Justice___________________________________________________________________________________________________ D epartm ent of L ab or____________________________________________________________________________________________________ N avy D epartm ent________________________________________________________________________________________________________ Post Office D epartm ent__________________________________________________________________________________________________ Departm ent of State_____________________________________________________________________________________________________ Treasury D epartm ent____________________________________________________________________________________________________ War Departm ent, including Panama Canal_____________________________________________________________________________ D istrict of C olum bia_____________________________________________________________________________________________________ Index__________________________________________________________________________________________________________________________ hi Page v xi a1 a2 a3 a7 1 2 a 13 a 16 3 4 a 39 a 65 5 6 a 67 a 68 7 8 9 10 11 a 73 a 76 a 77 a 78 a 95 12 13 14 15 a 97 a 98 a 99 a IOI 16 17 a 102 a 103 18 a 104 19 20 21 22 a 105 a 106 a 107 a 107 23 a 108 24 25 a 109 a II I 26 27 28 29 a 112 a 112 a 112 a 113 30 A ll4 31 a 130 131 1 33 123 389 509 811 849 901 919 951 985 1085 1355 1481 MESSAGE TRANSMITTING THE BUDGET To the Congress oj the United States: I have the honor to transmit herewith the Budget of the United States for the fiscal year ending June 30, 1931. A comparison between the estimates of appropriations for 1931 and the appropriations /or 1930 is set forth in the following table: Estimates of appropria tions, 1931 Legislative Establishment: Senate______________________ House of Representatives___ Architect of the Capitol____ Botanic Garden_____________ Library of Congress________ Government Printing OfficeMiscellaneous_______________ Total, legislative establishment. Executive Office^________________________________________________________ Independent establishments: Alaska relief funds__________________________________________________ American Battle Monuments Commission__________________________ Arlington Memorial Bridge Commission__________________ ,________ Board of Mediation_________________________________________________ Board of Tax Appeals__________________________ .___________________ Bureau of Efficiency________________________________________________ Civil Service Commission___________________________________________ Commission of Fine Arts___________________________________________ Employees1 Compensation Commission____________________________ Federal Board for Vocational Education___________________________ Federal Farm Board 1_______________________________________________ Federal Oil Conservation Board____________________________________ Federal Power Commission_________________________________________ Federal Radio Commission_________________________________________ Federal Reserve Board_____________ _______________________________ Federal Trade Commission_________________________________________ General Accounting Office__________________________________________ Housing Corporation_______________________________________________ Interstate Commerce Commission__________________________________ Mount Rushmore National Memorial Commission_________________ National Advisory Committee for Aeronautics_____________________ Porto Rican Hurricane Relief Commission_________________________ Protecting interests of the United States in oil leases and oil landsPublic Buildings and Public Parks of the National Capital________ Public Buildings Commission_______________________________________ Smithsonian Institution_____________________________________________ Tariff Commission__________________________________________________ United States Geographic Board___________________________________ United States Shipping Board and Merchant Fleet Corporation___ United States Veterans’ Bureau____________________________________ Total, Executive Office and independent establishments. Department of Agriculture______________________________________ Department of Commerce_______________________________________ Department of the Interior_____________________________________ Department of Justice__________________________________________ Department of Labor___________________________________________ Navy Department_______________________________________________ Post Office Department: Postal Service payable from postal revenues_______________ Postal deficiency payable from Treasury___________________ State Department_______________________________________________ Treasury Department___________________________________________ War Department, including Panama Canal_____________________ District of Columbia____________________________________________ Appropriations, 1930 $3, 232, 764. 00 8, 153, 394. 00 11, 084, 346. 98 173, 790. 00 2, 248, 722. 00 3, 270, 000. 00 132, 050. 00 $2, 951, 651. 60 7, 580, 361. 00 2, 506, 800. 40 173, 060. 00 2, 068, 612. 00 3, 419, 000. 00 166, 960. 00 28, 345, 066. 98 18, 866, 445. 00 422, 320. 00 447, 220. 00 15, 000. 00 15, 000. 00 000, 000. 00 000, 000. 00 328, 380. 690, 000. 224, 330. 362, 952. 9, 080. 00 00 00 00 00 210, 000. 00 420, 400. 00 900, 000. 00 22, 220. 00 600, 000. 00 2, 000, 000. 00 302, 270. 00 663, 863. 00 224, 330. 00 1, 226, 862. 00 9, 080. 00 4, 073, 326. 00 8, 799, 520. 00 151, 790, 000. 00 187, 250. 00 168, 610. 00 2, 560, 336. 00 1, 437, 460. 00 4, 181, 000. 00 298, 950. 00 10, 329, 963. 00 60, 000. 00 1, 321, 000. 00 "I" 292," 200." 00 3, 591, 640. 00 2, 888, 061. 00 1, 189, 683. 00 825, 000. 00 14, 660. 00 6, 396, 000. 00 589, 755, 000. 00 ~"~I,“ I66,~l83.~66 789, 000. 00 9, 200. 00 11, 494, 000. 00 597, 375, 000. 00 643, 021, 234. 00 801, 316, 831. 00 165, 088, 506. 52, 382, 270. 304, 302, 347. 32, 017, 292. 12, 219, 770. 380, 392, 526. 00 00 74 00 00 00 155, 729, 990. 00 58, 795, 609. 00 311, 346, 075. 78 27, 937. 370 00 10, 774, 430. 00 362, 061, 247. 00 760, 470, 577. 78, 500, 000. 17, 238, 659. 348, 107, 000. 466, 626, 332. 47, 880, 228. 00 00 14 00 00 00 734, 235, 725. 84, 000, 000. 14, 794, 945. 342. 631. 715. 463, 452, 777. 44, 540, 115. 1, 000, 179, 500. 00 164, 440. 00 2, 605, 741. 00 1, 277, 760. 00 4, 092, 000. 00 243, 450. 00 7, 548, 825. 00 000. 00 100, 000. 00 100,"000."00 00 00 68 80 00 00 Total, ordinary, including Postal Service _ 3, 336, 591, 808. 86 3, 430, 483, 276. 26 Reduction in principal of the public debt: Sinking fund________________________________ Other redemptions of the debt______________ 395, 624, 000. 00 239, 700, 000. 00 382, 720, 000. 00 241, 174, 100. 00 Principal of the public debt________________ Interest on the public debt______________________ 635, 324, 000. 00 619, 000, 000. 00 623, 894, 100. 00 656, 000, 000. 00 4, 590, 915, 808. 86 760, 470, 577. 00 4, 710, 377, 376. 26 734, 235, 725. 00 3, 830, 445, 231. 86 3, 976, 141, 651. 26 Total, including Post Office Department and Postal Service. Deduct Postal Service payable from postal revenues_______________ Total payable from the Treasury. i $150,000,000 included in appropriations for 1930 for Federal Farm Board revolving loan fund. 62331—29----- ii No corresponding figure included for 1931. v YI THE BUDGET, 1931 The foregoing table shows that the total of the estimates of appropriations payable from the Treasury in this Budget is $145,696,000 less than the appropriations for 1930. The estimates in the Budget, however, contain no amount for the revolving loan fund for the Federal Farm Board, for which $150,000,000 is included in the appro priations for 1930. Therefore, for purposes of comparison, $150,000,000 should be deducted from the amount of the appropriations for 1930. Eliminating this item from the 1930 total the estimates of appropriations in the Budget for 1931 exceed the appropriations for 1930 by $4,304,000. Concerning the Federal Farm Board, I am simply delay ing the presentation to the Congress of an estimate for an additional amount for the revolving loan fund until it is known more definitely what further amount will be needed. This will not in any way hamper the board, as it has sufficient funds at present and an estimate will be presented to the Congress in ample time in advance of any require ments for more money. Through nonrecurring items and justified reductions in other items funds have been found to make increases in certain of our activities Without enlarging to any appreciable extent the total of the estimates for 1931 over the appropriations for 1930. I am indicating below, in round figures, the larger items of increase and decrease. Increases Legislative Establishment: Enlarging and improving the Capitol grounds___ __ _ _ ____ ____ New House Office Building___ ___________________ __ _ _ _ _ __ _ _ _____ Completion of Senate Office Building______________ ___ ________ _ _ ______ Building for Supreme Court __________ ____ __ __ _ _ _ _ _ _ Independent establishments: Arlington Memorial Bridge Commission. _ _ _ _ _ __ _ _ _ _____ Federal Farm Board revolving loan fund__ _____ ______ __ __________ ( N o t e . — An estimate for 1931 will be submitted later when the amount required can be more definitely determined.) Interstate Commerce Commission _____ ___________ ______ _____________ _________ ___ Porf.n Rirtfvn Hurricane Relief Commission . _ Shipping Board Merchant Fleet Corporation____ __ _ _ _ _ _ __ ___________________ ____ Veterans’ Bureau— Salaries and expenses __ ____________________ _ _____ __ __________ ____ ________ ____ Military and naval compensation________________ _________ ______ __________ __ __ _____ Medical and hospital services ____ _ _ _ _ _ ______ _________________ ____ Military and naval insurance ______ _________ _ _ _ _ _ _ _________________ _______ Construction of hospital facilities_______________________ __ ___________ __________ __ ___ Government life insurance fund_____________________________ ___________________ ____ Department of Agriculture: Forest Service___________ _ _______________ _ _ _ _ _ _ _ _ _ __________________ Plant quarantine and control_____________ _ _ _______________ ____________ ________ ________ Public roads______________________________ __ ____ _ _ _ _ _ _ _____ __ ______________ __ _ Department of Commerce: Aeronautics branch__ _____ _______________ __________ _____ ____ __ ______ ____ _____ ____ Bureau of the Census _ ________________ Department of the Interior: Indian S e r v ic e -_______ ____ ______________ _________ __________ __ _ _____ ______ Indian trust funds___ ___ ____ __ ____ __ _ Army and Navy pensions _________________________ Department of Justice: Expenses, etc., United States courts __ _ _ _ Penal and correctional institutions _ _ __ Department of Labor: Immigration and naturalization Navy Department: Pay, subsistence and transportation ___________ __ Alterations to naval vessels _ Increase of the Navy _ _ _ _ _ _ _ _ _ _ Public works ________ _ _ _ ___ _ _ _ _ _____ Post Office Department: Postal deficiency. __ ___ State Department: Foreign Service _ _ _ Treasury Department: Refunding taxes illegally collected _ _ _ ___ _ __ ___ Bureau of Prohibition_________ _ _ _ ___ _ _ __ Coast Guard _ _ Construction of Public buildings _ _ War Department: Buildings at military posts _ Other Quartermaster Corps items Air Corps _ _ _ _ _ _ _ Ordnance items _____ _ _ _ _ _ _ _ Citizens’ military training Maintenance and improvement of rivers and harbors _____ Flood control _ _ _ _ _ _ _ _ _ _ _ _ __ _ _ _ __ Return of funds contributed for flood control _ _ _ _ _ _ _ _ _ Inland waterways corporation_____ ___________ __ _ ___ __ * ___ Restoration of roads and bridges in various States (transferred to Department of Agriculture) Soldiers’ homes________________ _ _ ___________ __ _ _ _ Panama Canal_ __ ___________ ___________ _____ __________ __ ___ _ _ _ _ _ ______ District of Columbia. _______ __ _______ _ _________ ______ _ _ ___________ __ ___ Public debt: Reduction in the principal of the public debt________ _________________ _____________ _ _ Interest on the public debt _ __ _ _________ ___ ______ __ _ $3, 1, 2, 1, 600, 500, 700, 000, Decreases 000 000 000 000 $1, 000, 000 150, 000, 000 2, 800, 000 1, 000, 000 5, 100, 000 2, 4, 3, 4, 000, 550, 950, 750, 000 000 000 000 4, 000, 000 18, 870, 000 3, 300, 000 1, 100, 000 2, 500, 000 2, 500, 000 I6,"5 o6"666 3, 100, 000 --------7, 000, 000 1, 100, 000 2, 250, 000 1, 150, 000 3, 6, 3, 2, 100, 950, 250, 300, 000 000 000 000 5, 500, 000 1, 800, 000 10, 000, 000 1, 275, 000 2, 450, 000 9, 025, 000 1, 2, 1, 1, 1, 5, 5, 600, 650, 100, 700, 500, 000, 000, 000 000 000 000 000 000 000 4, 370, 000 10, 000, 000 3, 650, 000 1, 100, 000 1, 850, 000 3, 300, 000 11, 500, 000 37," 666," 000 MESSAGE TRANSMITTING THE BUDGET VII With regard to the increases for 1931 there are certain activities which I desire to bring especially to the attention of the Congress. Rivers and Tiarlors, flood relief, and Boulder Dam.— The estimates herewith contain an increase of $5,000,000 for flood control and $5,000,000 for rivers and harbors over the appropriations for these purposes for the current fiscal year. Moreover, the completion this year of the work on the Ohio River will release about $5,000,000 for other river and harbor work so that, in effect, the increase in the estimates for rivers and harbors is $10,000,000. With regard to the Boulder Dam project authorized by the act of Congress approved December 21, 1928, the details have not been completed in time to permit of this project being included in the estimates contained in this Budget. It is contemplated to present to the Congress at an early date an estimate to cover the initiation of this work. Departments of State and Justice.— I am asking for considerable increases in the appropriations for these two departments for the fiscal year 1931 as compared with appropriations for the fiscal year 1930. I feel that the import ance of the functions devolving upon these two departments in the conduct of our foreign affairs and in law enforce ment and the administration of our penal system are of vital concern to the Nation and that both departments require more generous appropriations. The increase requested for the Department of State is more than $2,443,000, or about 16K per cent, and that for the Department of Justice is more than $4,079,000, or about 14%*per cent. I am satisfied that these increases will reflect benefits to the Nation greater than can be measured in terms of the increased cost. Indians.— As wards of the Nation the Government has an obligation to the Indians which concerns not alone their present but their future welfare. To raise the standard of their living, to adequately provide for their health and education, and to advance their opportunity for profitable employment are the concern of the Government. In order that we may meet more fully our obligations to the Indians, I am asking for an increase of something more than $3,100,000 over the appropriations for the current year. This increase is requested so that we may more ade quately meet the need for educational and health work among the Indians and for their industrial assistance and advancement. I do not feel, however, that we should wait until the next fiscal year to make a general improvement in our Indian affairs. Rather do I feel that we should commence this now. This will require additional funds for the current fiscal year for which an estimate will be presented to the Congress. Forest protection.— For the protection of our forests I am asking for a substantial increase in appropriations, amounting to more than $2,000,000. We have been spending in past years large amounts on the suppression of fires. In the last five years these expenditures have amounted to more than $8,000,000, and the best estimate is that $3,500,000 will be required this current fiscal year. We can not hope to eliminate entirely the necessity for spending money in the suppression of fires, but our efforts should be to minimize this necessity by more and more adequate protection measures. This is essential, not merely to effect a saving in the cost of suppressing fires, but to prevent the incalculable loss which results from the destruction of our forests. Such loss involves not only the timber itself, but the protection which it affords against soil erosion and floods. As the custodian of the national forests, national parks, and other public lands the Federal Government is responsible for their protection. The obligations of this stewardship can not be met within the limits of the present appropriation and it is for this reason that I am asking for an increase to commence a program of more adequate protection of our forests. The protection of our present holdings certainly outweighs in importance the acquisition of further lands which would add to the areas requiring protection. For this reason I am not submitting in this Budget an estimate for the full $3,000,000 authorized for 1931 for the acquisition of lands for the protection of watersheds. The amount requested for such acquisition is $2,000,000 B UILDING S The public-building program authorized by the act of M ay 25, 1926, and enlarged by amendments to the original act, is now proceeding at a satisfactory rate of progress. At the outset unavoidable delays were experienced because of difficulties encountered in acquiring sites, it being necessary in some cases to resort to condemnation proceedings in the courts. Many of these difficulties have been overcome and it is expected that the work will now proceed expedi tiously, resulting in the completion of 34 new or enlarged buildings in the fiscal year 1930 and 40 in the fiscal year 1931. The program calls for a total expenditure of approximately $300,000,000 in addition to the proceeds of sale of aban doned property. Individual projects have already been authorized by the Congress at limits of cost in excess of $260,000,000. There were brought forward into the fiscal year 1930 appropriation balances aggregating $41,481,099. This is increased by appropriations made at the last session of the Congress, amounting to $39,475,500, making the total amount available for expenditure $80,956,599. Of this amount the Treasury Department contemplates spending about $59,500,000 in the fiscal year 1930. The Budget for 1931 carries estimates for public buildings, including the purchase of additional land in Washington, amounting to $30,000,000. Supplemental thereto an estimate of about $5,000,000 will be submitted at a later date when the Treasury Department has concluded its survey of new projects which it is desirable to undertake at this time. The appropriation of these amounts will provide the Treasury with ample funds to continue the work during the fiscal year 1931. VIII THE BUDGET, 193i The War Department is also carrying forward a building program, involving an ultimate expenditure of about $118,000,000, for the housing of military personnel, made necessary by the need for the replacement of World War temporary construction and to provide for the increase in the pre-war strength of the Regular Army. There has already been appropriated for this purpose $37,193,899, and $16,062,860 is carried in the estimates for 1931 with authority to make contracts for $3,000,000 additional. The estimates for 1931 also carry $3,311,000 for technical buildings for the air services of the Army and Navy, and $3,176,000 for other buildings for various purposes for the Army, Navy, and Panama Canal. For completing the $15,000,000 program for additional hospital facilities for the Veterans’ Bureau, $2,000,000 is provided for liquidating contracts previously authorized by the Congress. New building construction for the Indian Service has been allowed for a total of $2,303,000, including reserva tion and nonreservation schools, hospitals, and administration buildings. Provision is made for construction projects at several Federal penitentiaries. For Leavenworth, $22,000 is provided; for Atlanta, $79,000; for McNeil Island, $139,000; and $450,000 is included for continuing the construction of the industrial reformatory at Chillicothe. In furtherance of the $10,000,000 program for houses and offices for our foreign representatives, $1,700,000 is included in these estimates. The annual appropriations under this program are limited to $2,000,000, but the lesser amount has been included in the Budget because of the fact that the amount of the current estimate added to unexpended balances from prior appropriations will be sufficient to carry on the program during the fiscal year 1931. Altogether this Budget carries estimates of more than $59,240,000 for the construction of buildings, including the procurement of sites, with a contract authorization for a further expenditure of $3,000,000. To the sum of these two amounts there should be added the additional $5,000,000 for the public-building program for which, as stated, an estimate will be submitted later in the year. N A T IO N A L DE FEN SE The estimates for direct appropriations for the War and Navy Departments for 1931 provide a total of $719,089,000 for national defense. This is exclusive of all items of a nonmilitary character. In addition to the normal maintenance and operation requirements of these two departments, provision is made for carrying forward the Air Service programs of the two services, the housing program of the Army, and the requirements of the Navy with regard to the modernization of old battleships and the construction of new ships authorized by the act of February 13, 1929, as well as the light cruisers and submarines authorized by prior law. With regard to the 15 new cruisers authorized by the act of last February, provision is made for continuing work on the two cruisers already laid down and on the aircraft carrier and three cruisers to be laid down late in the fiscal year 1930 and for the commencement of the con struction of the second and third blocks of five cruisers each, late in the fiscal year 1931. A IR SERVICE Under the Air Service programs for the Army and Navy I am asking for a total of $33,000,000 for the procurement of airplanes, their engines, spare parts, and accessories. In addition to this I am asking for the same purposes for the Coast Guard, Department of Commerce, and the National Advisory Committee for Aeronautics a total of $460,000. With regard to the Army, provision is made for the procurement of the 443 airplanes pertaining to the fourth increment erf the 5-year program authorized by the Congress. This program calls for 1,515 planes to be on hand and on order on June 30, 1931, and it is believed that this goal will be reached or closely approached by the funds already appropriated and the amounts estimated in this Budget. The present shortage in the program is about 40 planes pertaining to prior increments. No amount has been specifically included in the 1931 estimates to make up this shortage in view of the possibility of its reduction or complete elimination before the final increment is reached. Concerning the Navy Air Service, the last, or fifth, increment of the 5-year program authorized by the Congress will be reached in 1931. This program contemplates about 1,000 planes and 2 lighter-than-air ships to be on hand and on order at the close of that fiscal year. To accomplish this, provision is made for the procurement of 269 airplanes, including their equipment, and for continuing the work on the 2 lighter-than-air ships now under contract. In addition to the amounts which we are spending for the acquisition of aircraft we are also spending large sums for lighting and equipping airways, the inspection and licensing of commercial planes and pilots, and furnishing weather reports necessary to the carrying on of aerial navigation. For these purposes there is included in the estimates of the Department of Commerce $8,925,830 and in those for the Weather Bureau of the Department of Agriculture $1,400,000. It is estimated that by the end of the fiscal year 1931 there will be about 18,400 miles of airways lighted and equipped. TH E FRENCH DEBT In the message transmitting the 1930 Budget to the Congress, the French debt was discussed. A portion of the indebtedness of France, representing surplus war materials purchased on credit, was due to mature during the fiscal year 1930, unless the agreement of April 29, 1928, providing for the funding of the entire indebtedness of France to the United States, should be ratified by both France and the United States, in which case this indebtedness would be merged in the general indebtedness of that Government to the United States. In the spring of this year it seemed MESSAGE TRANSMITTING THE BUDGET IX clear to the Treasury that the Government of France would ratify the French debt agreement prior to August 1, 1929, the maturity date of $400,000,000 face amount of these obligations mentioned in last year’s Budget message. The Congress of the United States was considering the question of recessing for two or three months and the Treasury was faced with the situation that the debt agreement would be ratified by France, that certain obligations of that Government would mature on August 1, that the Congress would not be in session, and that there was no authority on the part of the Executive branch of the Government other than to submit the obligations on their maturity date for payment. The matter was submitted to the Congress with a recommendation that, in the event the funding agreement was ratified by France, in accordance with its terms, prior to August 1, 1929, the Secretary of the Treasury, with the approval of the President, be authorized to enter into an agreement with France providing for the postponement of the date of the maturity of the obligations in the principal amount of $400,000,000 from August 1, 1929, to such time as the Congress should approve or disapprove the funding agreement, but in no event beyond May 1, 1930, provided, however, that France should agree to pay interest on such obligations, the interest so paid to be credited against the annuities first due under the funding agreement. After consideration, House Joint Resolution 80, embodying these provisions, was passed by both Houses of Congress, but failed to receive the formal approval of the Speaker of the House and the President of the Senate before adjournment, consequently failing to be enacted into law by August 1, 1929. The French Government ratified the funding agreement under date of July 27, 1929. Relying upon the ex pression of the sentiment of the Congress on the matter, as contained in the joint resolution, the Secretary of the Treasury, with the approval of the President, in an exchange of correspondence agreed with France to extend the maturity date of the obligation in question upon the terms and conditions set out in the resolution. The House joint resolution was subsequently enacted into law, being approved by the President on October 17, 1929. The question, therefore, of the maturity of these obligations is temporarily disposed of. The French debt agreement will be submitted to the Congress in the early part of December. If it receives the approval of the Congress, all of the obligations of France representing the purchase of surplus war material on credit will be merged, under that agree ment, in the general debt of France to the United States. The payments thereafter made will conform to the an nuities specified in that agreement. RECEIPTS A N D E X P E N D IT U R E S The receipts and expenditures shown in detail in the Budget are summarized in the following statement: Summary (exclusive of postal revenues and postal expenditures paid from postal revenues) Estimated, 1931 Receipts: Customs _ ____________ _____ ______________________________________________ Income tax________________________ _________________ __ _______________ - _ Miscellaneous internal revenue__________ _______ __________________________ Miscellaneous receipts_______________ ____________ __________________________ Total receipts_______________________ __ __________________ ______________ Total expenditures (including reduction of the public debt required by law to be made from ordinary receipts)_________ __ ________________ ___________ Excess of receipts____________ ___________ ___________ ____ _____ _____ $602, 2, 460, 640, 523, 000, 000, 000, 727, Estimated, 1930 000 000 000 666 $602, 2, 480, 635, 532, 000, 000, 000, 263, Actual, 1929 000 $602, 262, 786. 000 2, 330, 711,822. 000 607, 307, 548. 434 492, 968, 067. 17 66 98 24 4, 225, 727, 666 4, 249, 263, 434 4, 033, 250, 225. 05 4, 102, 938, 700 4, 023, 681, 900 3, 848, 463, 189. 63 122, 788, 966 225, 581, 534 184, 787, 035. 42 These figures include net expenditures from the revolving loan fund of the Federal Farm Board to the amount of $200,000,000 in 1931 as compared with an estimated net expenditure of $75,000,000 for the same purpose in the current fiscal year 1930. Eliminating these figures, for the purpose of comparison, from the estimated expenditures of both years shows the estimated expenditures for all other purposes for the fiscal year 1931 to be about $46,000,000 less than those for the fiscal year 1930. The amounts which are shown in this Budget as representing the receipts, expenditures, and surplus for the fiscal years 1929 and 1930 differ materially from those contained in the Budget for 1930, as shown by the following table: 1929 1930 Estimated in the 1930 Budget Estimated in this Budget Estimated in the 1930 Budget Actual Receipts__ _______ __ _________________________ Expenditures-____ __ __________________________ $4, 249, 263, 434. 00 4, 023, 681, 900. 00 $3, 841, 295, 829. 00 3, 780, 719, 647. 00 $4, 033, 250, 225. 05 3, 848, 463, 189. 63 $3, 831, 735, 661. 00 3, 794, 745, 469. 00 Surplus_________ __________ _______________ 225, 581, 534. 00 60, 576, 182. 00 184, 787, 035. 42 36, 990, 192. 00 THE BUDGET, 1931 X The increase in actual receipts for 1929 over the estimate can be attributed mainly to an unforeseen increase in receipts from the individual income tax. On the expenditure side, while there were a number of increases and decreases in particular items, the total excess of actual expenditures over the estimate, $54,000,000, is but slightly in excess of the amount paid to the railroads on account of back mail pay, an expenditure which could not have been anticipated in the estimate. For the current fiscal year 1930 there is a marked improvement over the financial situation as estimated in the Budget for 1930 transmitted to the Congress in December, 1928. Compared with the estimate of one year ago the receipts show an increase of about $408,000,000 and the expenditures about $243,000,000. On the receipt side the increase in the estimate is reflected generally in the income tax, $305,000,000, due to an abnormal increase in the incomes reported by individuals for 1928 and to this exceedingly prosperous business year; miscellaneous internal revenue, $76,000,000, derived in the main from a steady expansion of the tobacco tax and increased stamp-tax receipts; customs, $20,000,000; and miscellaneous receipts, about $7,000,000. On the expenditure side the principal items making up the increase in the estimate are $75,000,000 for the net expenditures from the revolving loan fund of the Federal Farm Board, $77,000,000 for public-debt retirements, $12,790,000 for the postal deficiency, $23,000,000 for the construction and modernization of naval ships, $42,000,000 for the Treasury Department, pertaining mainly to the settlement of war claims and the public building program, and $11,800,000 for the Veterans’ Bureau. TAX REDUCTION With an estimated surplus of over $225,000,000 this year and $122,000,000 next year it is felt that some measure of reduction in taxes is justified. Since the fiscal year 1921 four reductions in taxes have been made. Experience has shown that each reduction in taxes has resulted in revenue in excess of the mathematically computed return under the reduced rates. Undoubtedly an increase in the prosperity of business brought forth by tax reduction is partly responsible for this experience. Such reduction gives the taxpayer correspondingly more for his own use and thus increases the capital available for general business. Under the present circumstances I am in favor of a reduction in income taxes to be effective on returns for the calendar year 1929, which will be due March 15, 1930. Payment under these returns will be made during the last half of the current fiscal year 1930 and the first half of the coming fiscal year 1931, so that the reduction will be reflected in the two years for which we now anticipate a surplus. I therefore recommend that taxes upon incomes for the calendar year 1929 be reduced in the approximate sum of $160,000,000. I would suggest to the Congress that this be effected, as recommended by the Secretary of the Treasury, by reducing by 1 per cent the rate of the normal tax on the incomes of individuals and corporations, applicable to 1929 incomes and payable in the calendar year 1930. This will afford either directly or indirectly relief to the maximum number of taxpayers. Our effort will be to conduct our financial requirements so as to continue the benefits of reduced taxation for succeeding calendar years. It would not, however, at this time be safe to extend the period of the reduc tion. A year hence we will know more definitely whether the condition of our finances justifies a continuation or extension of the reduction. CONCLUSION Our finances are in sound condition. The public debt which at its peak in August, 1919, amountqd to $26,596,000,000, stood at $16,931,000,000 on June 30, 1929. We are wisely committed to a policy which insures the further progressive reduction of the debt. We will reach in 1931 for the first time the period when the annual reduction required by law in the principal of the debt will be greater than the annual interest charges on the debt. We are also committed to the annual amortization of our other long term commitments— such as the adjusted service certificate of the veterans of the World War and our liability under the retirement laws affecting civilian personnel. Our esti mated expenditures for this and the next year are well within our expected receipts. With the recommended reduction in taxes the margin between the two will be considerably lessened, but to what extent we do not definitely know to-day. This situation emphasizes the necessity for a careful scrutiny of any proposed additional activities which would involve a material increase in expenditures in order that we may not jeopardize either the balanced condition of the Budget or the continuation of the benefits of reduced taxation. H D ecem ber 2, 1929. erbert H oover. EXPLANATORY SYNOPSIS OF ESTIMATES OF APPROPRIATIONS TOTAL FOR ALL BRANCHES OF THE GOVERNMENT (Exclusive of Postal Service payable from postal revenue) Appropriated for 1930__________________________________________________________ $3, 976, 141, 651. 26 Budget estimates for 1931______________________________________________________ 3, 830, 445, 231. 86 Decrease__________________________________________________ ____________ 145,696,419.40 The appropriations for 1930 include $150,000,000 for the revolving fund of the Federal Farm Board for which no amount is included in the Budget estimates for 1931, but estimates for 1931 to meet the need for additional funds under the authorization of $500,000,000 contained in the “ Agricultural marketing a c t” approved June 15, 1929, will be transmitted when requirements for such additional funds are more definitely known, When this item of $150,000,000 is taken into account there is a net increase of $4,303,580.40. SENATE Appropriated for 1930_____________________________________________________________ $2, 951, 651. 60 Estimated additional amount required for 1930 to meet the provisions of the “ Legislative pay act of 1929” approved June 20,1929___________________________________________ 285, 640. 00 Total for 1930______________________________________________________________ Estimate for 1931_________________________________________________________________ 3, 237, 291. 60 3, 232, 764. 00 Decrease___________________________________________________________________ 4, 527. 60 HOUSE OF REPRESENTATIVES Appropriated for 1930_____________________________________________________________ $7, 580, 361. 00 Estimated additional amount required for 1930 to meet the provisions of the “ Legislative pay act of 1929” approved June 20, 1929___________________________________________ 575, 137. 00 Total for 1930______________________________________________________________ Estimate for 1931_________________________________________________________________ 8, 155, 498. 00 8, 153, 394. 00 Decrease------------------------- ----------------------------------------------------------------------------- 2, 104. 00 LEGISLATIVE MISCELLANEOUS Appropriated for 1930_____________________________________________________________ Estimated additional amount required for 1930 to meet the provisions of the “ Legislative pay act of 1929” approved June 20, 1929___________________________________________ $166, 960. 00 Total for 1930______________________________________________________________ Estimate for 1931_________________________________________________________________ 182, 050. 00 182, 050. 00 15, 090. 00 OFFICE OF THE ARCHITECT OF THE CAPITOL Appropriated for 1930_____________________________________________________________ $2, 506, 800. 40 Estimated additional amount required for 1930 to meet the provisions of the “ Legislative pay act of 1929” approved June 20, 1929__________________________________________ 34, 775. 38 Total for 1930______________________________________________________________ 2, 541, 575. 78 Estimate for 1931_________________________________________________________________ 11, 084, 346. 98 Increase___________________________________________________________________ 8, 542, 771. 20 The 1930 appropriations provided $10,000 for preliminary plans and estimates for completion of the Senate Office Building, $545,000 for new equipment for the Capitol power plant, $600,000 for a site for additional building for the Library of Congress, and $300,000 toward the construction of buildings for the Botanic Garden. The Budget estimates for 1931 include $3,614,668 for enlarging the Capitol Grounds, $2,730,350 toward completion of the Senate Office Building, $1,500,000 to continue construction of building for the House of Representatives, $365,425 for con struction of steam lines from the Capitol to the power plant, $30,000 for care of buildings acquired on site for addition to Library of Congress and preliminary plans for new buildings, $576,398 for completion of building for Botanic Garden, $1,000,000 toward the construction of the building for the Supreme Court. There is a net increase of $175,930.20 for maintenance, repairs, improvements, and miscellaneous items. BOTANIC GARDEN Appropriated for 1930__________________________________________________________________ $173, 060 Budget estimate for 1931_______________________________________________________________ 173, 790 Increase________________________________________________________________________ 730 This is for increases in salaries. XI XII THE BUDGET, 1931 LIBRARY OF CONGRESS Appropriated for 1930________________________________________________________________ $2, 068, 612 Estimate for 1931____________________________________________________________________ 2, 248, 722 Increase_______________________________________________________________________ 180, 110 There is an increase of $68,600 for additional employees, $13,410 for promotions, $45,000 for purchase of books and papers, $23,000 for printing and binding, and $1,900 for custody and maintenance of the Library Building. It is estimated that expenditures from gifts and trust funds will increase from $205,000 in 1930 to $232,700 in 1931. GOVERNMENT PRINTING OFFICE Appropriated for 1930_________________________________________________________________$3, 419, 000 Estimate for 1931____________________________________________________________________ 3, 270, 000 Decrease------------------------- ---------------------------------------------------------------------------------149, 000 There is an increase of $51,000 in general expenses of the Office of Superintendent of Documents to print the document catalogues required by law, but due to an appropriation in 1930 of $200,000 for equipment for the new addition to the Government Printing Office which is not included in the 1931 estimates, the result is a net decrease of $149,000. EXECUTIVE OFFICE Appropriated for 1930___________________________________________________________________$533, 120 Deduct amount transferred to Treasury Department for White House police___________________ 85, 900 Available for 1930______________________________________________________________________ Budget estimate for 1931________________________________________________________________ 447, 220 422, 320 Decrease________________________________________________________________________ 24, 900 The decrease of $24,900 is accounted for by a decrease of $36,000 representing the items provided in 1930 for special works or purposes not needed in 1931, and an increase of $2,600 in salaries and $8,500 in contingent expenses. ALASKA RELIEF FUND Appropriated for 1930___________________________________________________________________ $15, 000 Budget estimate for 1931_________________________________________________________________ 15, 000 This is an indefinite appropriation of 10 per cent of the receipts collected outside of incorporated towns in Alaska. The funds are divided equally among the four district judges to be used in caring for indigent and incapacitated persons. On July 1, 1929, there was an unexpended balance of $4,261.46 to the credit of this fund for redistribution. AMERICAN BATTLE MONUMENTS COMMISSION Appropriated for 1930_________________________________________________________________ $600, 000 Previous continuing appropriations______________________________________________________ 2, 695, 750 Total________________________________ _________________________________________ 3,295,750 Budget estimate for 1931_______________________________________________________________ 1, 000, 000 These are continuing appropriations. The estimate for 1931 is for continuing construction of the memorials upon battle fields and in cemeteries in Europe in commemoration of the services of the American Expeditionary Forces, as authorized b y the act of M arch 4, 1923. The original limitation of $3,000,000 was increased by the appro priation act for the fiscal year 1930 to $4,500,000. ARLINGTON MEMORIAL BRIDGE COMMISSION Appropriated for 1930________________________________________________________________ $2, 000, 000 Previous continuing appropriations_____________________________________________________ 7, 800, 000 Total_________________________________________________________________________ 9, 800, 000 Budget estimate for 1931______________________________________________________________ 1, 000, 000 These are continuing appropriations. The authorized appropriation, including the bridge and its approaches, is $14,750,000. BOARD OF MEDIATION Appropriated for 1930__________________________________________________________________ $302, 270 Reappropriated from unexpended balance--------------------------------------------------------------------------46, 000 Total available for 1930___________________________________________________________ Budget estimate for 1931________________________________________________________________ 348, 270 328, 380 Decrease_______________________________________________________________________ , This decrease is made p ossibleb y economies effected in the item for salaries and expenses. 19, 890 Ex p l a n a t o r y s y n o p s is of e s t im a t e s of xm a p p r o p r ia t io n s BOARD OF TAX APPEALS Appropriated for 1930__________________________________________________________________ $663, 863 Unexpended balance of appropriation for 1928 reappropriated________________________________ 62, 000 Budget estimate for 1931_______________________________________________________________ 725,863 690, 000 Decrease________________________________________________________________________ 35, 863 There is a decrease in the amount for salaries of $2,930, and for miscellaneous expenses, $37,933; and an increase for printing and binding of $5,000. BUREAU OF EFFICIENCY Appropriated for 1930__________________________________________________________________ $224, 330 Budget estimate for 1931________________________________________________________________ 224, 330 CIVIL SERVICE COMMISSION Appropriated for 1930_______- ________________________________________________________ $1, 226, 862 Reappropriated from unexpended balance of 1928________________________________________ 25, 700 Apportionment of deficiency appropriation______________________________________________ 146, 150 Total for 1930_________________________________________________________________ Budget estimate for 1931______________________________________________________________ 1, 398, 712 1, 362, 952 Decrease______________________________________________________________________ 35, 760 In the deficiency act of M arch 4, 1929, the commission was given $200,000, available for 1929 and 1930, for the specific purpose of finishing its work of securing qualified personnel for the Prohibition Unit. By December 1, 1929, an eligible register will be completed, from which all vacancies may be filled. Therefore, while a decrease for 1931 is shown as compared with the available appropriations for 1930, if the comparison is made with the normal appro priation for 1930, an increase of $110,390 has been given. The increases are made up as follows: For additional personnel, $99,390; for traveling expenses, $10,000; and for contingent expenses, $1,000. COMMISSION OF FINE ARTS Appropriated for 1930________________________________________________________ ___________ $9, 080 Budget estimate for 1931__________________________________________________________________ 9, 080 There is an increase in salaries from $4,280 to $5,720 to provide a stenographer-typist at $1,440. There is a decrease in printing and binding from $1,700 to $260, the commission not requiring funds in 1931 for the printing of a report. EMPLOYEES’ COMPENSATION COMMISSION Appropriated for 1930________________________________________________________________ $4, 073, 326 Reappropriated from unexpended balance 1928__________________________________________ 4, 000 Total for 1930___________________________________________________________ _____ Budget estimate 1931_________________________________________________________________ Increase______________________________________________________________________ 4, 077, 326 4, 210, 000 132, 674 The amount estimated for 1931 provides for an increase of $100,000 in the compensation fund due to an increase in the number of claims filed and to the increased cumulative cost of death and permanent disability claims; for addi tional personnel, $24,904, due to the increase in work connected with the administration of the three acts administered by the commission; for medical examinations, travel and miscellaneous expenses, $12,770; and a decrease of $5,000 for printing and binding. FEDERAL BOARD FOR VOCATIONAL EDUCATION Appropriated for 1930________________________________________________________________ $8, 799, 520 Budget estimate for 1931______________________________________________________________ 8, 420, 400 Decrease______________________________________________________________________ 379, 120 The figures for 1931 involve a decrease of $779,120 for the vocational rehabilitation of persons disabled in industry. This decrease is due to the expiration of the law authorizing an appropriation for this purpose. There is an increase of $400,000 for further cooperation with the States in the development of agriculture and home economics. FEDERAL FARM BOARD Appropriated for 1930______________________________________________________________ $151, 790, 000 Budget estimate for 1931____________________________________________________________ 1, 900, 000 Decrease____________________________________________________________________ 149, 890, 000 There is an actual increase of $110,000 for the Division of Cooperative Marketing which was transferred to the board on October 1,1929, from the Department of Agriculture. The appropriations for 1930 include an item of $150,000,000 for the revolving fund. The Budget estimate for 1931 does not include any amount for this purpose, but estimates for 1931 to meet the need for additional funds under the authorization of $500,000,000 contained in the “ Agricultural marketing a c t” approved June 15, 1929, will be transmitted when requirements for such additional funds are more definitely known. This accounts for the net decrease of $149,890,000 shown above. XIV THE BUDGET, 1931 FEDERAL OIL CONSERVATION BOARD Appropriated for 1930___________________________________________________________________ ______ Budget estimate for 1931_________________________________________________________________ $22, 220 Increase__________________________________________________________________________ 22, 220 The board has been operating through an appropriation of $50,000 made in the first deficiency act, fiscal year 1925, approved January 20, 1925, and subsequent extensions. The balance of this appropriation will be exhausted in the course of the fiscal year 1930. The work projected by the board is only partially completed and this appropria tion is recommended for further prosecution of the work. FEDERAL POWER COMMISSION Appropriated for 1930___________________________________________________________________$179, 500 Budget estimate for 1931________________________________________________________________ 187, 250 Increase_________________________________________________________________________ 7, 750 The increase in the Budget estimate for 1931 consists of $5,500 for salaries of additional employees required in connection with the auditing activities of the commission, $250 for miscellaneous expenses, and $2,000 in the amount estimated to be required for payments to States of their portion of the receipts from licenses issued under the Federal water power act. FEDERAL RADIO COMMISSION Appropriated for 1930__________________________________________________________________ $164, 440 Budget estimate for 1931________________________________________________________________ 168, 610 Increase_________________________________________________________________________ 4, 170 The net increase of $4,170, further augmented by moderate reductions made possible in miscellaneous items of expenditure below the schedule for 1930, is to provide engineering personnel. FEDERAL RESERVE BOARD Appropriated for 1930___________________________________________________ ______ ______$2, 605, 741 Budget estimate for 1931______________________________________________________________ 2, 560, 336 Decrease______________________________________________________________________ 45, 405 This is a permanent indefinite appropriation, and the 1931 Budget estimate is an estimate of the probable expendi tures for that year. FEDERAL TRADE COMMISSION Appropriated for 1930________________________________________________________________ $1, 277, 760 Reappropriated from unexpended balance_______________________________________________ 9, 729 Total appropriated for 1930_____________________________________________________ Expended from the above during 1929__________________________________________________ 1, 287, 489 44, 803 Net amount available for 1930___________________________________________________ Budget estimate for 1931______________________________________________________________ 1, 242, 686 1, 437, 460 Increase_______________________________________________________________________ 194, 774 The 1930 appropriation act reappropriated $12,000 of the 1928 unexpended balance. This balance later proved to be $9,729, as shown above. The increase for 1931 is to continue an investigation of power and light supplied by public utilities, directed by Senate Resolution 83, first session, Seventieth Congress, for which $85,000 was appropriated for 1929 in the deficiency act of M ay 29, 1928, and an investigation of chain-store systems, directed by Senate Resolution 224, first session, Seventieth Congress. For these investigations $262,000, to be immediately available, was included in the 1930 appropriation. GENERAL ACCOUNTING OFFICE Appropriated for 1930________________________________________________________________ $4, 092, 000 Unexpended balances of appropriations for 1928 and 1929_________________________________ 48, 800 Transferred from Interior Department appropriations_____________________________________ 5, 100 Total_________________________________________________________________________ Budget estimate for 1931_______________________________________________________________ 4, 145, 900 4, 181, 000 Increase_______________________________________________________________________ 35, 100 There is an increase in salaries from $3,915,600 to $3,950,000, involving an increase in personnel of 24. Printing and binding is increased from $30,000 to $93,000, but there is approximately the same decrease in the contingent expense appropriation, the reduction resulting from the transfer of $63,000 to printing and binding for the purchase of tabulating cards heretofore bought from the contingent appropriation. XV EXPLANATORY SYNOPSIS OF ESTIMATES OF APPROPRIATIONS HOUSING CORPORATION Appropriated for 1930________________________________________________________________________________$243, 450 Reappropriation of 1928 unexpended balance________________________________________________________ 154, 500 Total for 1930_________________________________________________________________________________ Budget estimate for 1931____________________________________________________________________________ 397, 950 298, 950 Total decrease_________________________________________________________________________________ 99, 000 The decrease is made up as follows: For the administrative work in the field in the collection of moneys due on property gradually being liquidated, $1,000; Government hotels, $98,000. The large reduction here is due to the tearing down of the Capitol group of buildings, leaving only the Plaza group for housing of Government employees. IN TE R STA TE C OM M ERCE COM M ISSION Appropriated for 1930_____________________________________________________________________________ Reappropriation of 1928 unexpended balance_____________________________________________________ $7, 548, 825 665, 000 Total for 1930______________________________________________________________________________ Budget estimate for 1931__________________________________________________________________________ 8, 213, 825 10, 329, 963 Increase_____________________________________________________________________________________ 2, 116, 138 Of this increase, $1,000,000 is due to an estimate of appropriations under the “ General railroad contingent fund,” which it is estimated will be received and invested during the fiscal year 1931. This item has heretofore been included only in the statement of receipts and expenditures. It is also included this year, for the first time, in the estimate of appropriations in accordance with the policy of having the appropriation estimates reflect the amounts of the indefinite appropriations. An increase of $1,007,313 is provided for the valuation of the property of carriers. This will enable the commission to make material progress in bringing the valuation to date in accordance jwith the principles laid down in the recent decision of the Supreme Court in the “ O'Fallon” case; an increase o f '$86,620 for the general work of policing the accounts of carriers which are greatly in arrears; of $14,345 for the inspection of locomotives; and $7,860 for safety device inspection. M OUN T RUSHMORE N A TIO N AL M E M O R IA L COMMISSION Appropriated for 1930______________________________________ _______________________________ _ _________ _________ Budget estimate for 1931_____________________________________________________________________________ $60, 000 This commission, created by the act of February 25, 1929, is for the purpose of completing the carving of the Mount Rushmore National Memorial on Rushmore Mountain in the Black Hills of South Dakota to commemorate the foundation, expansion, preservation, and unification of the United States. There is an authorization of $250,000, of which amount $100,000 was appropriated for the fiscal years 1929 and 1930. N A TIO N A L AD V ISO R Y C O M M IT T E E FOR AERONAUTICS Appropriated for 1930_____________________________________________________________________________ $1, 292, 200 Made available by reappropriation of the unexpended balance, fiscal year 1928__________________ 7, 800 Appropriated by second deficiency act, 1929, apportioned to the fiscal year 1930________________ 208, 000 Total available for 1930____________________________________________________________________ Budget estimate for 1931__________________________________________________________________________ 1, 508, 000 1, 321, 000 Decrease____________________________________________________________________________________ 187, 000 The estimate for 1931, compared with the total availability for 1930, involves a reduction of $208,000 for seaplane channel and $30,000 for heating plant, not required for 1931, and a reduction of $150,000 in the amount required for the construction of the large wind tunnel, total reduction, $388,000; and an increase of $60,000 for the construction of a hangar to replace the present old war-time hangar, which is to be razed to make room for building construction by the War Department, and $141,000 for additional material, equipment, and personnel necessary to enable the committee to carry forward its work in research, including the operation of the large wind tunnel and seaplane channel, now under construction; total increase, $201,000. Deducting the total increase of $201,000 from the total decrease of $388,000 results in a net decrease of $187,000. PORTO R IC A N H U R R IC A N E RELIEF COM M ISSION Appropriated for 1930_____________________________________________________________________________ _____________ Budget estimate for 1931__________________________________________________________________________ $1, 000, 000 Public Resolution 74, approved December 21, 1928, authorized the appropriation of $8,150,000 for the relief of Porto Rico by reason of damages suffered from the hurricane of September 13 and 14, 1928. A total of $7,150,000 was appropriated by the first and second deficiency acts, fiscal year 1929, both approved March 4, 1929. The Budget estimate for 1931 provides the remainder of the amount authorized by the act of December 21,1928, namely, $1,000,000, all of which is required for the purpose of making loans to individual coffee and coconut planters, fruit growers or other agriculturists in the island of Porto Rico. XVI THE BUDGET, 1931 PUBLIC BU ILDING S A N D PUBLIC PARKS OF TH E N A TIO N A L CAPITAL Appropriated for 1930__________________________________________________________________________ $2, 888, 061. 00 Unexpended balances of appropriation for 1929________________________________________________ 87, 184. 24 Transferred from War Department appropriations____________________________________________ 1, 657. 00 Available for 1930_______________________________________________________________________ Budget estimate for 1931_______________________________________________________________________ 2, 976, 902. 24 3, 591, 640. 00 Increase_________________________________________________________________________________ 614, 738. 76 In salaries there is an increase from $2,025,611 to $2,422,250 as follows: Care of Southern Railway Building, $86,639; care of new Internal Revenue Building, $300,000; for promotions within grades, $10,000. There is an increase of personnel involved of 357. In general expenses there is an increase from $947,841 to $1,165,940, as follows: Main tenance of Southern Railway Building, $21,800; maintenance of Internal Revenue Building, $200,000; rent, $2,000; emergency repairs, $5,000; new cables, Washington Monument, $3,500; repairs to Army Medical Museum Building, $9,000; repairs to Winder Building, $20,000; repairs to elevators, $5,000; repairs to boilers, $4,500; repaving West Executive Avenue and State Place, $35,000; total $305,800. The decreases are, installation of boilers, $40,000; demolition of temporary building 7, $5,000; leveling floors, $10,000; miscellaneous maintenance, rent, repairs to build ings, etc., $32,701; total, $87,701, leaving a net increase in general expenses of $218,099. PUBLIC BUILD IN G S COM M ISSION Appropriated for 1930________________________________________________________________________________ __________ Budget estimate for 1931_____________________________________________________________________________ $100, 000 Increase_______________________________________________________________________________________ 100, 000 This commission has been operating through an appropriation of $260,000 carried in the executive and independent offices appropriation act for the fiscal year 1927, approved April 22, 1926, which is nearly exhausted. SM ITH SO N IA N IN STIT U TIO N Appropriated for 1930_____________________________________________________________________________ Reappropriation of 1928 unexpended balance_____________________________________________________ $1, 106, 183 1, 390 Total for 1930_______________________________________________________________________________ Budget estimate for 1931__________________________________________________________________________ 1, 107, 573 1, 189, 683 Increase_____________________________________________________________________________________ 82, 110 The amount for 1931 involves an increase for personnel of $19,150; of $2,000 for the purchase of an electrical pump for fire protection; $25,000 for the construction of a gallery to house the collection of mammals; $7,000 for fireproofing a temporary building in which is housed a valuable collection of aircraft; $1,000 for the purchase of additional reference books to classify the collections; $20,000 for the administration, maintenance, and exhibition in New York of the Gellatly Art Collection. By the terms of the deed of gift, this collection, which is valued at several million dollars, is to remain in New York City and be maintained by the Nation for a period of four years. There is an increase of $4,000 for printing and binding, and $3,960 for miscellaneous expenses. TA RIFF COM M ISSION Appropriated for 1930__________________________________________________________________ Reappropriated unexpended balance of appropriation for 1928_______________________________ $789, 000 36, 000 Total for 1930___________________________________________________________________ Budget estimate for 1931________________________________________________________________ 825, 000 825, 000 The aggregate amount for the service of the Tariff Commission remains unchanged. U N IT E D STATES GEOGRAPHIC BOARD Appropriated for 1930____________________________________________________________________ Budget estimate for 1931__________________________________________________________________ $9, 200 14, 660 Increase__________________________________________________________________________________________ 5, 460 This increase is for the purpose of printing the decisions of the board. the decisions being in leaflet form. No report has been printed for 10 years, U N IT E D STATES SHIPPING BOARD A N D M E R C H A N T FLEET CORPORATION Appropriated for 1930_______________________________________________________________ Made available by reappropriation of the unexpended balance of prior year____________________ $11, 494, 000 229, 964 Total available for 1930_____ __________________________________________________ Budget estimate for 1931_____________________________________________________________ 11, 723, 964 6, 396, 000 Decrease_________ __________________________________________________________________________ 5, 327, 964 The Budget estimates for 1931, compared with the total available for 1930, carry a net reduction of $5,327,964. This reduction is made up of an estimated reduction in the deficit pertaining to the operation of ship lines and activities, $1,894,850, of which $640,535 pertains to the sale or anticipated sale of ship lines during 1930 and 1931; a reduction in the annual expense of maintaining inactive (or spot) vessels, $1,203,150; a reduction in the amount available for xvn EXPLANATORY SYNOPSIS OF ESTIMATES OE APPROPRIATIONS reconditioning and operating ships for carrying coal to foreign ports, $1,729,964, no amount being included in the Budget for 1931 specifically for this purpose, and a reduction in the estimate for direct appropriation for research and experi mental development in ship and machinery design, construction, and operation, $500,000, the Budget containing provision for the continuance of the availability of the unexpended balance of this amount through the fiscal year 1931. VETERANS’ BUREAU Appropriated for 1930______________________________________________________________ $499, 975, 000 Government life insurance fund: Losses, loans, and investment of receipts_________________ 97, 400, 000 Comparable total for 1930_____________________________________________________ 597, 375, 000 Appropriations for 1931, Budget estimates_____________________________________________ 511, 225, 000 Government life insurance fund: Losses, loans, and investment of receipts—Budget estimate for 1931_________________________________________________________________________ 78,530,000 Budget estimate for 1931______________________________________________________ Net decrease________________________________________________________________ 589, 755, 000 7, 620, 000 Eliminating the items of expenditures from the self-supporting Government life insurance fund, the estimates for appropriation of funds for 1931 exceed the 1930 comparable availability for similar purposes by $11,250,000. For salaries and expenses an increase of $2,000,000 is requested for personnel in new hospitals and an increase in the legal division of central office to handle the increasing number of claims cases. An additional $4,550,000 is included in the estimates for military and naval compensation, largely for retired pay of emergency officers under the act of M ay 24, 1928. Retirements under this act greatly exceed the number anticipated. An increase of $3,950,000 for medical and hospital services is requested for maintenance, equipment, and opera tion, excluding personnel, of new hospitals and to provide for the increasing number of nonservice connected cases. For military and naval insurance an increase of $4,750,000 is asked for in the 1931 estimates. The $2,000,000 estimated for hospital facilities and services will complete the appropriation of $15,000,000 authorized in the act of M ay 23, 1928, of which $6,000,000 was appropriated for 1930. DEPARTMENT OF AGRICULTURE Appropriated for 1930______________________________________________________________ $155, 729, 990 Deduct portion expended in 1929 or transferred________________________________________ 92, 667 Add unexpended balances continued available__________________________________________ 155, 637, 323 14, 686, 483 Total available for 1930_______________________________________________________ Deduct amounts available in 1930 for specific projects not included in 1931 estimates: Flood relief, road repairs— Vermont, New Hampshire, and Kentucky__________________________ $3, 280, 169 Missouri, Mississippi, Louisiana, and Arkansas______________________ 3, 654, 000 Loans to farmers in Southeastern States_____________ __________________ 375, 000 Fourth World’s Poultry Congress______________________________________ 25, 000 Mediterranean fruit fly_______________________________________________ 3, 035, 000 ---------------- 170, 323, 806 Net total for 1930____________________________________________________________ Budget estimate for 1931_______________________________________________ 165, 088, 506 Unexpended balances continued available_________________________________ 810, 000 159, 954, 637 Total for 1931_______________________________________________________________ Increase 1931 over 1930 for regular continuing activities_________________________________ 10, 369, 169 165, 898, 506 5, 943, 869 This increase of $5,943,869 includes increases amounting to $1,531,103 for research work and $2,019,500 for fire protection of the national forests. The principal increases and decreases in amounts included in the estimates for 1931 as compared with the avail ability for 1930 are as follows: For the Office of the Secretary there is a decrease of $103,440 for rent of buildings due to the probability of the Government acquiring title to buildings now rented, an increase of $10,550 for new positions and promotions, and $49,500 for reroofing both wings of the present department building and the purchase of automobiles. For the Office of Information there is an increase of $100,000 for printing and binding to enable the department to print material which has accumulated under increased appropriations for research work, and $10,000 for two additional editorial writers. For the library there is an increase of $3,000 for two additional employees. For the Office of Experiment Stations there is an increase of $14,000 for administering acts making appropriation for the use o f State agricultural experiment stations, $5,000 for extending the acts to the Territory of Hawaii, and $2,000 for additional work at insular experiment stations. For the Office of Extension Service there is an increase of $10,000 for extension work in Alaska pursuant to the act of February 23, 1929; $5,000 for farm forestry to cooperate with additional States under the Clark-M cN ary A ct; $55,000 for cooperative marketing specialists to meet the needs of the Federal Farm Board; and $3,000 for adminis tration. These increases are offset in part by the omission of special funds for extension work in flood relief for which $61,615 was available in 1930. XVIII THE BUDGET, 1931 For the Weather Bureau there is an increase of $56,000 for improving the general service and $600,000 for fur nishing additional weather forecast service to aviation. For the Bureau of Animal Industry there is an increase of $11,400 for Inspection and Quarantine Service; $34,000 for tick eradication; $65,210 for investigations of the breeding, feeding, and management of domestic farm animals; $74,000 for poultry feeding and breeding; $56,220 for investigations of animal diseases; and $20,000 for meat inspection. These increases are offset in part by a decrease of $171,000 for the eradication of bovine tuberculosis, and $15,300 for the eradication of dourine in horses, both decreases being due to progress which has been made in eradication work. For the Bureau of Dairy Industry there is an increase of $38,500 for investigations in dairying and dairy herd improvement, $11,000 for the purchase of land near Beltsville, Md., and a decrease of $30,000 due to the inclusion in 1930 appropriations of funds for the establishment of a dairy station at Lewisburg, Tenn., which now requires funds for operation only. For the Bureau of Plant Industry there is an increase of $19,948 for forest pathology; $59,500 for cotton produc tion and cotton diseases; $104,000 for research work in improving wheat and rice growing; $25,000 for further physical improvements at the Cheyenne, Wyo., dry-land agricultural station; $102,269 for horticultural investigations; $18,800 for the introduction of foreign plants; and $28,500 for miscellaneous items. For the Forest Service there is an increase of $188,500 for prevention of forest fires; $1,500,000 for fire roads and trails; $331,000 for forest fire protective improvements; $50,000 for control of insects, rodents, and diseases affecting forests; $300,000 for cooperation with States and others in fire prevention and suppression in other than Government forests, under the Clark-McNary Act; $238,000 for forest research work under the McNary-McSweeny Act; $111,950 for administration and improvements of the national forests. For expenditures under permanent and indefinite appro priations for the national forests there are estimated increases of $270,000 for payments to States of the required per centage of forest receipts, and $300,000 in payments from funds received from the States and others for cooperative work in national forests and forests adjacent thereto. For the Bureau of Chemistry and Soils there is an increase of $53,430 for chemical investigations of agricultural products; $36,000 for soil surveys; $41,000 for soil fertility investigations; and $38,635 for other chemical investigations affecting agriculture. For the Bureau of Entomology there is an increase of $268,442 for investigating the history and habits of insects injurious and beneficial to agriculture and determining methods of destroying those that are injurious. For the Bureau of Biological Survey there is an increase of $46,727 for destroying rodents and predatory animals; $21,200 for research studies concerning wild animal life including their relation to forests; $18,987 for protection of migratory birds; $23,800 for protection, production, and utilization of fur-bearing animals and reindeer in the United States and Alaska; $30,400 for maintenance of animal and bird reservations and refuges; $125,000 for acquisition of areas for migratory-bird reservations under the act of February 18, 1929. These increases are offset in part by a reduction of $161,816 in the amount for land purchases and physical improvements at the Bear River, Utah, bird refuge, the amount estimated being the final installment under the legislative authorization. For the Bureau of Public Roads there is an increase of $75,000 for research work on machinery used on farms where the control of the corn borer is a problem, this work being carried on in 1930 with the unexpended balance of the corn-borer appropriation; $20,000 for research work on machinery used for cotton ginning and for the distribution of fertilizers; and $10,000 for studying engineering problems in connection with irrigation and drainage. For the Bureau of Agricultural Economics there is an increase of $28,000 for studies in farm management and practice; $61,900 for acquiring and diffusing information relative to the marketing and distribution of farm products; $65,000 for collecting and publishing estimates of the production of agricultural crops and live stock; $40,000 for collecting and disseminating information relative to foreign supply and needs of agricultural products; $35,000 for cooperative work in making inspections and certifications of farm products on sale at certain markets; $70,740 for collecting and distributing information relative to market supply, demand, and movement of agricultural products (market news service); $40,000 for enforcement of regulatory acts pertaining to cotton futures; unwarranted destruc tion of produce received by commission merchants; and standards of cotton, grain, and produce containers, making a total increase of $340,640, which is offset in part by the omission of an estimate for the operation of Center Market for which $150,000 is available in 1930. The appropriation for cooperative marketing was transferred to the Federal Farm Loan Board on October 1, 1929. For the Bureau of Home Economics there is an increase of $40,200 for studies of food and of the utilization of agricultural products in homes. For the Plant Quarantine and Control Administration there is an increase of $54,000 for improving the inspection service at ports; $96,000 for improving the inspection service at the Mexican border; $20,955 for interception, inspec tion, and disposition of articles transferred in violation of quarantines; $52,000 for control of the European corn borer. There is an apparent increase of $80,000 for control of the gypsy moth, but taking into account a proposed supple mental estimate for 1930 of $100,000, there would be a decrease of $20,000. There is an apparent increase of $208,000 for Japanese beetle control, but taking into account a proposed supplemental estimate for 1930 of $188,000 there would be an actual increase of $20,000. These increases are offset in part by a decrease of $55,120 for control of the pink bollworm and $13,700 for date scale eradication due to completion of an adopted program of work. For the Grain Futures Administration there is an increase of $15,000 due to the necessity for opening another office in the Northwest and of strengthening the Washington office. For the Food and Drug Administration there is an increase of $75,000 for preventing manufacture and sale of adulterated, misbranded, or deleterious foods and drugs. This increase is offset in part by the omission of an item of $16,300 for collaboration with other departments, provision therefor being contained in an item which authorizes transfers of funds from departments for work done for them. For experiment and demonstration stations in the South and West there is an increase of $10,000 for physical improvements at Huntley, Mont., and Jeanerette, La. XIX EXPLANATORY SYNOPSIS OF ESTIMATES OF APPROPRIATIONS For the collection of seed loans there is an increase of $80,000 due to additional work in making collections on loans to farmers in the Southeast on account of losses due to hurricanes. For special corn borer research $250,000 of the unexpended balance of the corn borer appropriation was continued available for 1930, and it is recommended for 1931 that there be continued available from the unexpended balance $125,000, which will exhaust this fund. There have been added, however, to regular appropriations in the depart ment $125,000, so that the same amount will be available for this special research work for 1931 as for 1930. For the operation of the national arboretum there is included $30,000 to begin the care of land which has been acquired. For forest roads and trails there was an appropriation of $8,000,000 for 1930, of which $1,500,000 was expended in the fiscal year 1929, leaving $6,500,000 available for 1930. A supplemental appropriation of $2,000,000 will be required for 1930, which would provide for a total expenditure of $8,500,000 during the current fiscal year. Due to reduction in the last few years of the margin between the total authorizations and the total appropriations, $7,500,000 should be sufficient for 1931. For the Federal-aid highway system $74,000,000 was appropriated for 1930, of which $26,500,000 was expended in 1929, leaving $47,500,000 available for 1930. A supplemental appropriation of $31,500,000 will be required for 1930, which would provide for a total expenditure of $79,000,000 for the current fiscal year. Due to the reduction of the margin between the total authorizations and the total appropriations in the last few years, $75,000,000 should be sufficient for the fiscal year 1931. For special barley investigations $25,343 was appropriated for 1930. Estimates for this activity for 1931 are merged with the regular appropriations for 1931 for the Bureau of Animal Industry and Plant Industry. D E P A R T M E N T OF COM M ERCE Appropriated for 1930____________________________________________________________________________ $58, 795, 609 Reappropriated from unexpended balance_______________________________________________________ 100, 000 Balances available from 1929-30 appropriations_________________________________________________ 71, 228 Comparable total for 1930________________________________________________________________ Budget estimate for 1931________________________________________________________________________ Net decrease_______________________________________________________________________________ 58, 966, 837 52,382,270 6, 584, 567 The net decrease of $6,584,567 is effected through the need for less funds in 1931 than in 1930 by the Census Bureau for taking the Fifteenth Decennial Census and by the Lighthouse Service for vessel construction. The appropriations for the Office of the Secretary are increased $41,560, being $3,060 for salaries, $30,000 for printing and binding, and $8,500 for contingent items. The $10,000 apparent increase for the Radio Division is a current requirement availability increase of $60,000 for the reason that the current year available total provides $50,000 for construction not asked for in 1931. Thirty thousand dollars of this increase is for personnel and $30,000 for monitoring equipment. For aeronautics the estimate submitted is $2,509,210 more than the appropriations for the current year. Two hundred seventy-three thousand eight hundred thirty dollars of this increase is for pay and expenses of additional inspection personnel for rapidly growing requirements under inspection and licensing of aircraft, pilots, and mechanics and for the overhaul and replacement of 9 of the 20 planes used in the inspection service. The increase will also provide for examining and rating aeronautical schools as required in the act of February 28, 1929. An increase of $2,235,380 is included for maintenance and operation of lighted airways to be in operation by June 30 next, the construction of 3,000 additional miles in 1931, and its maintenance and operation for a part of the year. The program also includes a considerable extension of the teletype system of weather reporting. The Bureau of Foreign and Domestic Commerce is increased from $4,548,547 to $4,811,660, or a total of $263,113. This will permit an increase of $127,113 for growth in the activities especially concerned with foreign trade, $71,000 for the promotion of domestic commerce by means of surveys and studies of problems of production and marketing, and $65,000 for establishing and strengthening district offices. An increase of $186,135 is requested for the Steamboat Inspection Service, from $1,187,220 to $1,373,355. This will provide 45 additional assistant inspectors at a total cost of $130,500, an increased travel allowance of $25,000, additional field clerks at $25,920, and will increase by $5,240 the bureau personnel. The Bureau of Navigation in crease of $41,480 from $355,820 to $397,300 is recommended principally on account of the act of March 2, 1929 “ to establish load lines on American vessels.” The Bureau of Standards estimates call for an increase of $232,101 which is further virtually increased by $100,000 representing the amount in the 1930 appropriations for power-plant equipment that need not be supplied in 1931. This increase will be applied to the expanding needs of the bureau in testing, principally Government materials; research; and standardization; $173,000 has been added for increase of personnel, $75,000 for remodeling the old power-plant building, $75,000 for miscellaneous equipment, and $9,000 for various contingent expenses. A reduction has been made in the allowances for the Lighthouse Service from $11,539,980, appropriated for 1930, to $11,367,700, estimated for 1931. Decreased requirements for vessel construction amounting to $605,000 make possible this reduction and at the same time permit substantial increases in the other appropriations of the service. General expenses, the regular maintenance appropriation, is increased by $201,500, making the total estimate $4,500,000. Retired pay requires $49,000 more to meet the gradual advance in obligations under this appropriation; the salaries appropriations for vessel and other field services are increased by $53,220; and other aids by $129,000. The total estimate of $1,354,000 for construction will provide a new tender at $550,000 for use on the Gulf Coast and will permit the following program for other aids to navigation; $255,800 for the completion of seven projects upon which work is now in progress; $343,500 to continue work upon nine more; $129,500 to begin work upon eight; and $75,200 to begin and complete within that amount the construction of four projects. For the Coast and Geodetic Survey an increase of $395,244 has been provided, from $2,515,860 to $2,911,104, which amount is further actually increased by $58,000 included in 1930 for construction of a tender that is not recur XX THE BUDGET, 1931 ring in 1931. Other appropriation items are increased in a total amount of $468,244 as follows: Atlantic coast survey, from $122,500 to $174,500, for wire drag work especially along the shores of Long Island Sound and for revision of surveys of Atlantic waters farther south by larger vessels of the service; magnetic work, from $47,380 to $58,780, for building repairs and replacement of equipment; Federal boundary and State surveys, from $88,600 to $314,124, for an enlarged program of control surveys to expedite topographic mapping; repairs of vessels, from $78,000 to $91,000; pay of officers and men of vessels, from $653,000 to $717,000, to man a new survey vessel for the Atlantic coast serv ice; pay and allowances of commissioned officers, from $555,000 to $627,820, of which $19,000 is for automatic promo tions and $53,820 for additional personnel for the enlarged programs under State surveys and resurvey work of the Atlantic coast; office salaries, from $483,000 to $510,000, for additional personnel and moderate promotions; and general expenses, from $64,680 to $67,180, for replacement of equipment. The increase of $26,510, from $2,198,550 to $2,225,060, for the Bureau of Fisheries is in effect an increase of $161,510, taking into consideration $125,000 appearing in the 1930 total for a new power vessel and $10,000 for im provements at the La Crosse, Wis., fish-cultural station that need not be provided in 1931. This will add $29,260 to salaries appropriations for necessary increases in personnel; $10,000 to fish propagation, for the operation of additional stations; $17,500 to maintenance of vessels, for two vessels being added to the fleet; $9,250 for technical study of prob lems in fishery industries; $6,500 for equipment items in protecting seal and salmon fisheries of Alaska; $24,000 to improve the Fairport, Iowa, biological station; and $65,000 for a by-products plant on the Pribilof Islands. The estimate for the Patent Office is an increase of $210,550, from $3,333,800 to $3,544,350, adding to the personnel roll 52 examiners, 6 supervisors, 15 clerks, and 5 messengers. The available total of $2,374,670 for the Bureau of Mines for 1930 includes $100,000 reappropriated for construc tion in the helium work at Amarillo, Tex. Excluding this nonrecurring item, the estimate of $2,549,480 for the fiscal year 1931 contemplates an increase of $274,810 distributed as follows: Investigating mine accidents, from $422,000 to $438,640, to rebuild explosives testing laboratory destroyed by fire at the Bruceton, Pa., experimental mine, and for study and testing of equipment used in promotion of mine-safety work; operating mine-rescue cars and stations, $326,130 to $330,530, for an associate engineer at Norton, Va., in the promotion of health and safety work; mineral mining investigations, from $144,220 to $165,000, to expedite the study of mining methods and costs;helium plants, from $95,800 to $306,190; economics of mineral industries, from $285,000 to $307,600, for current reports on coal dis tribution, additional studies of distribution and utilization of petroleum products, and for further expansion of the work in mineral statistics. D E P A R T M E N T OF TH E IN TE R IO R Appropriated for 1930_______________________________________________________________________ $311, 346, 075. 78 Budget estimate for 1931____________________________________________________________________ 304, 302, 347. 74 Net decrease__________________________________________________________________________ 7, 043, 728. 04 The estimates for the office of the Secretary of the Interior are increased from $929,000 to $958,500 for personnel and contingent expenses. The diminishing cost of the administration of the public-land service accounts for the decrease in the estimates for the General Land Office from $2,159,400 to $2,134,350. The estimates for the Bureau of Indian Affairs are increased from $16,673,215 to $19,798,029. This net increase of $3,124,814 includes $1,327,500 for education; $688,400 for conservation of health; $275,000 for industrial assistance and advancement; $464,487 for irrigation and drainage of and water supply for Indian lands; $224,000 for general support of Indians and administration of Indian property; and $162,000 for administrative salaries and expenses of the Indian Service. The estimates for the Bureau of Pensions are decreased from $243,211,000 to $236,599,400. The appropriation for Army and Navy pensions is decreased from $221,000,000 to $214,000,000, a result occasioned by the decrease in the number of Civil War pensioners. The annual amount for financing the Government's liability to the civil-service retirement and disability fund is increased from $20,500,000 to $20,850,000 to keep pace with the annual increase in the Government pay roll. The estimates for the Bureau of Reclamation are increased from $8,078,000 to $8,346,000. Provision is made for continuing the availability of the balances of certain prior year authorizations from the reclamation fund to the extent of $2,967,000. In addition, expenditures totaling $290,000 from power revenues are authorized, and it is also pro posed to use $693,000 of funds advanced by water users for the construction, operation, and maintenance of reclama tion projects. There would thus be available for expenditure by the Bureau of Reclamation in 1931 a total sum of $12,296,000. For the Geological Survey, the estimates are increased from $2,085,800 to $2,421,800. This increase of $336,000 includes $37,000 for topographic mapping in cooperation with the States and $94,000 for other topographic mapping; $50,000 for geologic surveys; a new item of $100,000 for fundamental research in geologic science; $7,500 for mineral re sources investigations in Alaska; $25,000 for gauging streams, and $17,000 for engraving and printing geologic and topographic maps. The estimates for the National Park Service are increased from $7,595,940 to $7,752,515, to provide for the normal increase in the number of park visitors. There is an increase from $1,052,140 to $1,341,005 in the estimates for the Bureau of Education. The following increases are provided: $31,920 for administrative personnel and expenses, $143,325 for education of natives of Alaska (including $71,000 for a new industrial school in southeastern Alaska), $21,620 for medical relief in Alaska, $50,000 on account of the study of secondary education in the United States, and a new item of $50,000 for beginning a 3-year investigation of teacher training in the United States. The investigation of land-grant colleges, for which an appro priation of $8,000 is available in 1930, will be completed during that year. An increase from $239,400 to $314,800 in the estimates for the Territorial governments of Alaska and Hawaii is largely due to the fact that the Territorial legislatures will meet in biennial session during 1931. The estimate for XXI EXPLANATORY SYNOPSIS OF ESTIMATES OF APPROPRIATIONS the Alaska Railroad is decreased from $1,200,000 to $1,000,000, because of increased earnings and decreased capital outlays by the railroad. For St. Elizabeths Hospital there is an increase from $1,430,000 to $1,513,248. This represents a decrease of $475,000 supplied in 1930 for the completion of the medical and surgical building, and provides $120,000 for the construction and equipment of a tuberculosis building, $300,000 for beginning the construction of a male receiving building (to cost $1,050,000), $130,000 for repairs and improvements, including increased capacity for the heating and power plant, and an increase of $8,248 for additional personnel. For Columbia Institution for the Deaf, there is an increase from $120,000 to $125,000, the increase of $5,000 being for personnel and equipment. The estimates for Howard University are increased from $600,000 to $610,000. There are decreases on account of the 1930 items of $240,000 for the completion of the chemistry building, and $40,000 for completing the dormitory for young women. There are increases of $90,000 for additional personnel and administrative expenses, and $200,000 for beginning the construction of an educational classroom building with an authorized cost of $460,000. The estimates for Freedmen’s Hospital are increased from $260,180 to $424,000. The increase includes $155,000 for a hospital addition for obstetrical patients, and $8,820 for salary and subsistence expenses. The estimated amounts required under various permanent and indefinite appropriations total $20,963,700 as against $25,712,000 for the fiscal year 1930. D E P A R T M E N T OF JUSTICE Appropriated for 1930____________________________________________________________________________ $27, 937, 370 Budget estimate for 1931_________________________________________________________________________ 32, 017, 292 Increase___________________________________________________________________________________ 4, 079, 922 The estimate for salaries, Department of Justice, contains an increase of $43,900 for additional legal and clerical personnel in the department and $9,000 for increasing the salaries of the Solicitor General, Assistant to the Attorney General, and the six Assistant Attorneys General, while $56,140 has been deducted for the personnel in the office of the Superintendent of Prisons which is now being paid from this appropriation but which is provided for in a separate estimate for 1931, resulting in a net reduction in the estimate for salaries, Department of Justice, from $1,228,300 to $1,225,060. The estimate of appropriation for traveling and miscellaneous expenses, Department of Justice, which is chargeable with the traveling expenses of.all officers and employees of the department not provided for by specific appropriations, has been increased from $18,100 to $24,000 to meet the requirements of the service. The increase in protecting interests of the United States in customs matters from $113,170 to $120,210 includes an attorney at $4,600, a stenographer at $1,440, and $1,000 for an increase in the salary of the Assistant Attorney General at New York in charge of this activity. There is an increase in the estimate for detection and prosecution of crimes from $2,307,720 to $2,781,419. The principal part of this increase is required to meet the large increase in the number of .field investigations of alleged violations of Federal statutes throughout the United States, and which is reflected to some extent in the work of the administrative office at Washington. Additional personnel for the Division of Identification and Information of this bureau is also provided for in the estimate to meet the increasing demands for criminal identification data from peace officers and law-enforcement officials. In the Budget for 1931 there appears for the first time an estimate for salaries and expenses, Office of the Super intendent of Prisons, amounting to $192,878, which consists of $157,878 for personnel and $35,000 for traveling expenses as compared to $56,140 for the present personnel of this office which is being paid from the appropriation salaries, Department of Justice, and $13,000 for traveling expenses of this personnel for which there is a separate appropriation entitled “ Inspection of prisons and prisoners,” an increase over all of $123,738 for 1931. The purpose of this estimate is to provide specific funds for an organization unit at Washington to supervise the maintenance and care of United States prisoners under the proposed plan for reorganization of the Federal penal system. The increase in the estimate for salaries of circuit, district, and retired judges from $1,930,000 to $2,099,000 is required to pay the salaries of judges appointed pursuant to legislation authorizing additional circuit and district judges and creating the tenth judicial circuit, and the salaries of additional retired judges. The Federal Government has accepted the cession by the State of Colorado of exclusive jurisdiction over the lands embraced within the Rocky Mountain National Park, and the estimate for salaries, National Park Commis sioners, is increased from $16,000 to $18,000 to provide for the salary of the United States States commissioner for this park. The act of March 2, 1929, transferred the jurisdiction over appeals from the Patent Office in patent and trade mark cases from the Court of Appeals of the District of Columbia to the United States Court of Customs Appeals and changed the name of the latter court to the United States Court of Customs and Patent Appeals. Some addi tional personnel and promotions are recommended on account of the increase in work caused by this transfer, which, however, have been largely offset by reductions in the rent and the cleaning force, as it is expected that the court will occupy space in one of the new Government buildings shortly after July 1, 1930, the net result being an increase from $110,260 to $111,320 in this estimate. Increases are contained in the following estimates relating to law enforcement, in order to expedite the work of the courts and bring it up to date: Salaries, fees, and expenses of marshals, from $3,780,000 to $3,880,000; salaries and expenses of district attorneys, from $1,526,000 to $1,678,550; pay of regular assistant attorneys, from $1,223,400 to $1,479,700; pay of special assistant attorneys, from $359,600 to $450,000; and salaries and expenses of clerks, United States courts, from $1,943,400 to $2,105,060. These estimates provide for increases in salaries of some of the United States attorneys, marshals, and clerks of courts, and part of their office forces, additional personnel where necessary, and additional funds for traveling and other expenses. 62331— 29-------in XXII THE BUDGET, 1931 The estimates for fees of commissioners and fees of jurors and witnesses, over which the department has no admin istrative control, are increased respectively from $550,000 to $600,000 and from $3,500,000 to $3,700,000, to meet the increase in the business of the courts. There is an increase in rent of court rooms, United States courts, from $78,000 to $118,000, to provide necessary space for the new judges and to meet anticipated increases in rentals in some places; pay of bailiffs, etc., which includes not only the attendance per diem of bailiffs, criers, and jury com missioners but also the traveling expenses of circuit and district judges, and meals and lodging of jurors and bailiffs in United States cases when ordered by the court, is increased from $455,000 to $485,000; and the increase from $890,360 to $950,000 in miscellaneous expenses, United States courts, is to promote stenographers and messengers to judges in meritorious cases, employ stenographers and messengers for the new judges, and provide additional funds for expenses in connection with condemnation proceedings outside the District of Columbia. The estimate for United States penitentiary, Leavenworth, Kans., is increased from $1,036,910 to $1,623,357, of which amount $1,051,612 is for the main prison at Leavenworth with an estimated average daily population of 3,400 prisoners; the remaining $571,745 is for the operation of a branch prison in the Disciplinary Barracks at Fort Leavenworth, where it is expected to maintain an average daily population of 1,300 prisoners of a definite type. The estimate for United States penitentiary, Atlanta, Ga., is increased from $923,319 to $1,045,837, based on an estimated average daily population of 3,300 prisoners, while the estimate for United States penitentiary, McNeil Island, Wash., is increased from $381,872 to $438,708, for an estimated average daily population of 1,000 prisoners. For maintenance of the capacity daily average of 500 inmates at the Federal Industrial Institution for Women, Alderson, W. Va., the estimate for that institution is increased from $286,210 to $393,125. The estimate for United States Industrial Reformatory, Chillicothe, Ohio, is increased from $331,320 to $568,690, to maintain an average daily population of 1,200 prisoners. The increase in the estimate for National Training School for Boys, Washington, D. C., from $208,000 to $215,080 is to provide for the employment of a physician-psychiatrist, steward-dietitian, and chief of mechanical service. The following items are included in the estimates for construction projects at the several institutions: Leaven worth, $22,300; Atlanta, $79,000; McNeil Island, $139,000; and $450,000 to continue the construction of the Indus trial Reformatory at Chillicothe, in addition to the $550,000 already appropriated, the total amount to be expended for this purpose being limited by law to $3,000,000. Provision has been made for the interchange of not to exceed 10 per cent of the amounts appropriated under penal and correctional institutions on the objects named therein, except appropriations for construction and repair, working capital, and support of United States prisoners, with a restriction that the total of any appropriation shall not be increased by more than 10 per cent. Also the working capital funds for the United States penitentiaries at Leavenworth and Atlanta have been combined into a single fund, for the industrial enterprises authorized at those penitentiaries, including payment of obligations for such purposes for prior years. Under the act of March 4, 1925, providing for the establishment of a probation system in the United States courts except in the District of Columbia, there are now employed seven salaried probation officers. For the extension of this activity, the estimate for probation system, United States courts, is increased from $25,000 to $200,000, to provide for the salaries and expenses of 54 salaried officers and for the expenses of voluntary officers appointed by the court for temporary service. The increase from $2,450,000 to $3,000,000 in the estimate for support of United States prisoners is due prin cipally to the increase in the number of Federal prisoners confined in State institutions and increases in the rates charged by such institutions. Also there is paid from this appropriation the expenses of operating the United States jail in New York City, which cares for prisoners awaiting trial, short-term prisoners, and prisoners tem porarily detained pending transportation to a Federal penitentiary. The estimate for defending suits in claims against the United States is reduced from $80,000 to $70,000, based on expenditures during preceding years. A reduction is made in the estimate for salaries and expenses, Pueblo Lands Board, from $33,000 to $25,000, as it is expected that the work for which this board was established will be finished before the close of the fiscal year 1931. The estimate for salaries and expenses of commissioners, Court of Claims, has been reduced from $79,180 to $41,790, because the law authorizing the appointment of these commissioners will expire on January 10, 1931, and there is recommended for 1931 a pro rata amount of the appropriation for 1930. D E P A R T M E N T OF LABOR Appropriated for 1930___________________________ ____________ ____________________________________$10, 774, 430 Budget estimate for 1931_________ _______________________________________________________________ 12, 219, 770 Increase____________________________________________________________________________________ 1, 445, 340 The increase for 1931 is apportioned among several of the activities of the department, as follows: Salaries, Office of the Secretary________________________________________________________________________ Contingent expenses___________________________________________________________________________________ ' Printing and binding__________________________________________________________________________________ Expenses of regulating immigration______________________________________ ___________ ________________ Miscellaneous expenses, Bureau of Naturalization____________________________________________________ Investigation of child welfare, Children’s Bureau_____________________________________________________ General expenses, Children’s Bureau___________________ _______________________________________________ Salaries and expenses, Women’s Bureau____ __________________________________________________________ United States Employment Service_______________________ - ______________ __________ __________________ $2, 100 13, 500 25, 000 885, 000 253, 940 42, 000 5, 800 50, 000 168, 000 The increase for salaries in the Office of the Secretary is to provide principally a $1,000 increase in the salary of each of the two assistant secretaries. The increase of $13,500 in the item of contingent expenses is to equip and supply additional personnel and to rent punching and tabulating machines necessary to administer the act of March 2, 1929. XXIII EXPLANATORY SYNOPSIS OF ESTIMATES OF APPROPRIATIONS The increase in the amount for printing and binding is to meet the increased needs of the department. The increase for expenses of regulating immigration is for the pay and authorized expenses of 200 additional immigrant inspectors and 114 clerks in the field, and 14 employees in the District of Columbia, to administer the acts of March 2 and 4, 1929, and for inspection at new international bridges, roads, and tunnels. The increase for miscellaneous expenses, Bureau of Naturalization, is for the administration of the act of March 2, 1929, which provides for the issue of citizenship papers to wives and children of naturalized citizens, the issue of duplicate papers for certain lost or mutilated originals, and the annual preparation of a statistical report under section 10 of the act. The increase provides for the following additional personnel: 67 employees in the District of Columbia and 37 junior naturalization examiners and 40 clerks in the field. The increases for the Children’s Bureau are for expansion of the study of juvenile delinquency. The increase for the Women’s Bureau is for a study of human waste, with especial relation to women’s employment. An increase of $168,000 is recommended for the United States Employment Service for expansion of farm labor employment activities, and to assist ex-service and rehabilitated men of the World War and men discharged from the Regular Army in finding employment. NAVY DEPARTM ENT Appropriated for 1930___________________________________________________________________________ $362, 061, 247 Made available by transfer from the naval supply account fund_______________________________ 3, 500, 000 Made available by reappropriation of unexpended balances for prior years____________________ 1, 132, 023 Total for 1930____________________________________________________________________________ Budget estimate for 1931________________________________________________________ $380, 392, 526 To be made available by transfer from the naval supply account fund_________ 2, 000, 000 To be made available by reappropriation of unexpended balances for prior years_ 700, 000 366, 693, 270 Total for 1931____________________________________________________________________________ 383, 092, 526 Increase__________________________________________________________________________________ 16, 399, 256 The estimates for 1931 will provide for 84,500 enlisted men for the Navy and 18,000 enlisted men for the Marine Corps, the same as for 1930; for the maintenance, repair, and operation of practically the same number of ships in commission as will be in commission at the close of 1930; for the maintenance and operation of shore stations; for numerous public works projects, including continuation of work on ammunition storage facilities; for the completion of the fifth increment and the 5-year naval aircraft program, calling for 1,000 useful planes on hand and on order at the close of the fiscal year 1931; for continuation of work on the two large dirigibles now under contract; for the completion of the modernization of the battleships Pennsylvania and Arizona, as authorized by the act of February 25, 1929, and for continuing construction of ships authorized prior to February 13, 1929. For the 15 cruisers and 1 aircraft carrier authorized by the act of February 13, 1929, provision is made to carry forward work on 2 cruisers already laid down, for 3 cruisers and the aircraft carrier to be laid down late in the fiscal year 1930, and for the remaining 10 cruisers to be commenced late in the fiscal year 1931. The Budget estimate for 1931 shows a net increase of $16,399,256 over 1930. The principal items of difference are as follows: “ Engineering” increased from $20,436,300 (including $750,000 transferred from the naval supply account fund) to $21,215,000 (including $1,000,000 to be transferred from the naval supply account fund) which provides $750,000 for tools and machinery for shops, the same as for 1930, and increases of $628,700 for safety and salvage devices for submarines, $50,000 for screw-thread gages and $100,000 due to changes in status of ships; “ Con struction and Repair” increased from $18,677,500 (including $750,000 transferred from the naval supply account fund) to $18,941,300 (including $1,000,000 to be transferred from the naval supply account fund), which includes $750,000 for tools and machinery for shops, the same as for 1930, and $1,070,000 for safety and salvage devices for submarines as against $450,000 for this purpose for 1930; “ Pay, Subsistence, and Transportation, N avy” increased from $154,512,782 (including $578,500 reappropriated from unexpended balance for prior years) to $157,056,963, due principally to automatic increases under operation of law; “ Public W orks” increased from $5,197,350 to $7,500,000, due to additional requirements for ammunition storage facilities and improvements of naval air stations and other navy yards and stations; “ Aviation, N avy” increased from $31,430,000 to $32,230,000 to provide addi tional funds required toward the construction of the two large dirigibles now under contract; total for the Marine Corps from $25,156,877 to $25,741,693 due principally to automatic increases in pay and allowances of officers and men under operation of law, and increased requirements for subsistence and clothing; “ Major Alterations, Naval Vessels” increased from $450,000 for 1930 for the completion of the modernization of the Oklahoma and Nevada, to $7,400,000 for 1931 for the completion of the modernization of the Pennsylvania and Arizona for which purpose $7,400,000 was appropriated in the second deficiency act, 1929, to carry this work through 1929 and 1930; “ Increase of the N avy” increased from $48,550,000 (including $2,000,000 transferred from the naval supply account fund) to $49,800,000 to provide funds necessary to carry forward work on ships laid down under authorizations made prior to February 13, 1929, and for work on the 15 light cruisers and 1 aircraft carrier authorized by the act of February 13, 1929, as set forth above— (the Budget estimate is based on a program of ship construction requiring a total of $62,325,000 for 1931, the difference between this amount and the amount of $49,800,000, carried in the Budget, to be provided from the cash balance of over $28,000,000 carried from 1929 to 1930, of which at least $12,525,000 is expected to be carried from 1930 to 1931); and the other items of differences involve miscellaneous increases and decreases predicated upon the requirements of the naval service. Deducting the amounts pertaining to public works, major alterations of vessels, and increase of the Navy, there remains available for 1930, $311,925,920, and for 1931, $317,827,526, indicating an increase of $5,901,606 for 1931 over 1930 for current and ordinary requirements. XXIV THE BUDGET, 1931 POST OFFICE D E P A R T M E N T Appropriated for 1930___________________________________________________________________________ $818, 235, 725 Budget estimate for 1931________________________________________________________________________ 838, 970, 577 Net increase______________________________________________________________________________ 20, 734, 852 The Budget estimate of $838,970,577 for postal requirements in the fiscal year 1931 represents an increase over the appropriations for the previous year of $20,734,852, or 2.53 per cent. The postal revenues for 1931 are estimated at $754,400,000, an increase of $29,000,000 over the estimate for the previous year, or 4 per cent. On this basis the estimated postal deficiency for 1931 would be $84,570,577, but it is expected that probable unexpended balances in appropriations, which are usual in a service of this magnitude, will amount to at least $6,070,577, and that the esti mated deficiency will not be in excess of $78,500,000. Using the same method of computation it is estimated that the deficit for the fiscal year 1930 will not be more than $84,000,000. The operating deficit for the fiscal year 1929, which does not include retroactive mail pay to railroads, is estimated at $86,309,514. The principal items of increase or decrease which go to make up the net increase in the 1931 estimates over the 1930 appropriations are as follows: An increase of $47,590 in departmental salaries, to provide an executive assistant to the Postmaster General and additional personnel in the offices of the First Assistant, Third Assistant, and Chief Inspector. A decrease of $50,000 in the provision for freight, express, or motor transportation of equipment, due to appropria tions for these purposes in 1929 and 1930 being in excess of apparent needs. An increase of $100,000 for compensation of assistant postmasters, to provide for routine appointment and promotion of assistant postmasters. An increase of $6,950,000 for clerks, watchmen, messengers, and laborers at first and second class post offices, to provide for automatic promotions provided by law and normal increase in the force to handle the larger volume of mail. A decrease of $100,000 for clerks at third-class post offices, due to the appropriations for the past two years being in excess of apparent needs. An increase of $143,600 for miscellaneous items at first and second class post offices, to provide additional tele phone service and increases in salaries and personnel of the janitor force. An increase of $75,000 for village delivery service, to provide for the growth of the service and automatic pro motions. An increase of $3,955,000 for city-delivery carriers, to provide for necessary additional carriers and automatic promotions. An increase of $750,000 for special-delivery fees, to provide for probable further increase in this class of business. An increase of $550,000 for rural-delivery service, to provide for the extension of existing routes and the establish ment of new routes. An increase of $145,000 for power-boat service, to provide for the probable increased cost of new contracts. An increase of $3,500,000 for railroad transportation and mail-messenger service, to provide for handling the normal increase in the volume of mail transported. An increase of $100,000 for railway mail service salaries, to provide for necessary increase in the force and auto matic promotions. An increase of $100,000 for railway postal clerks travel allowances, made necessary by increase in force principally during the fiscal year 1930. An increase of $1,600,000 for foreign-mail transportation, to provide for increased volume of mail to be transported by steamships and for air-mail service to foreign countries. An increase of $100,000 for balances due foreign countries, to provide for increased service rendered by foreign postal administrations in the territorial transportation of foreign mails. An increase of $1,700,000 for contract air-mail service, to provide for the continued growth of this service. , An increase of $655,000 for star route service, to provide for probable increased cost of new contracts on existing routes and for the establishment of new routes. A decrease of $50,000 in manufacture of postage stamps, etc., due to a small decrease in stamp production and reduced demand for postal cards. A decrease of $300,000 in indemnities on domestic mail, due to improved methods of handling registered, insured, and collect-on-delivery matter. An increase of $170,000 for rent, light, and fuel, to provide for additional quarters and space for handling the mails and the increased cost of renewing leases. An increase of $300,000 for vehicle service, to provide for handling the increased volume of mail and the purchase of new equipment for the Government-owned mo tor-vehicle service. D E P A R T M E N T OF STATE Appropriated for 1930_________________________________________________________________________ $14, 794, 945. 68 Budget estimate for 1931___------------------------------------------------------------------------------------------------------ 17, 238, 659. 14 Increase________________________________________________________________________________ 2, 443, 713. 46 The estimate for salaries, Department of State, is increased from $1,340,000 to $1,854,765, which increase con sists of $242,085 for additional permanent and temporary personnel and $189,700 for the employment of permanent personnel to replace Foreign Service officers now on temporary detail to the department, $6,000 for increasing the salaries of the Undersecretary of State and the four Assistant Secretaries of State, $50,000 for promotion of other departmental personnel, and $26,980 for increases in salaries due to reallocations made by the Personnel Classification Board in 1929 and 1930 and which will be reflected in 1931. EXPLANATORY SYNOPSIS OF ESTIMATES OF APPROPRIATIONS XXV The principal items which make up the increase in contingent expenses, Department of State, from $70,705 to $117,818 are $20,002 for furniture and fixtures, $10,926 for typewriters and office machines, and $4,215 for communi cation service. The sum of $10,000 was included in the 1930 appropriation for examination of estimates in the field of the Departments of State and Commerce by the House Subcommittee on Appropriations, and a like amount is requested for 1931 to continue this examination. There is an increase in printing and binding, Department of State, from $210,000 to $277,665, mainly for the enlarged publication program of the Department of State, which contemplates publishing the United States Treaty Series, issuing wreekly press releases and monthly treaty bulletins, and bringing Foreign Relations as nearly as pos sible up to date. Funds are also provided to enable the department to catch up with the regular printing and binding and avoid carrying work over from year to year, which it has been found necessary to do in the past. An increase is recommended for passport agencies, Department of State, from $72,130 to $79,025, of which $3,280 is for the purpose of increasing the salaries of employees in these agencies to the average of the salary range, and the remainder is for the employment of temporary personnel during the busy season, traveling expenses, rent, and typewriters and office machines. The estimate of $15,000 for collecting and editing official papers of the Territories of the United States is recom mended pursuant to the act of February 28, 1929, entitled “ An act to amend an act entitled ‘ An act to authorize the collection and editing of official papers of the Territories of the United States now in national archives/ approved March 3, 1925,” which authorizes an appropriation of $125,000 for the purposes of the act with a provision that not more than $50,000 shall be appropriated for any one year. On the basis of expenditures during preceding years, the estimate for salaries, charges d’affaires ad interim, is increased from $24,000 to $30,000, for payment of the additional salary authorized by law^ to diplomatic or consular officers while in charge of a post during the absence of the principal officer. The increase in the estimate for allowance for clerks at embassies and legations from $398,400 to $456,850 is composed of $30,150 for additional personnel, and $28,300 for promotions. Contingent expenses, foreign missions, is increased from $919,100 to $1,411,325, of which $30,262 is for additional personnel including two supervisors of construction in connection with the erection of embassy and legation buildings in foreign countries, $38,001 for promotions, $57,020 for miscellaneous current expenses, $24,942 for rent of offices, and a new item amounting to $342,000 for rent, heat, and light of living quarters for diplomatic officers in foreign countries where there are no Government-owned residential buildings. The expenditures under expenses of Foreign Service inspectors have been comparatively small during recent years, but the department advises that it is the intention to increase the force of inspectors if the additional Foreign Service officers recommended in the 1931 Budget are allowed, and with that in view this estimate is increased from $22,000 to $25,000. The increase recommended in the estimate for allowance for clerks at consulates from $1,645,000 to $1,884,266 consists of $81,026 for promotions, $57,420 for additional consular clerks, and $100,820 for the employment of personnel to secure trade information for the use of the Secretary of Commerce as provided by the act of February 14, 1903. Contingent expenses, United States consulates, is increased from $1,063,000 to $1,782,140, of which increase $25,099 is for additional personnel including two supervisors of construction in connection with the erection of consular build ings in foreign countries, $27,603 for promotions, $78,278 for traveling expenses including $28,278 for travel within consular districts in foreign countries and $50,000 to be used by consular officers when visiting in the United States on their statutory leave for travel in conferring with business men at important commercial centers, $10,000 for tele graphing information regarding trade opportunities, $10,000 for subscription to important trade journals, $35,250 for miscellaneous current expenses, $110,910 for rent of offices including $53,000 for rent at Shanghai during con struction of the consulate general on the present site, and a new item of $422,000 for rent, heat, and light of living quarters for consular officers in foreign countries where there are no Government-owned residential buildings. An increase is recommended for immigration of aliens, Department of State, from $505,640 to $614,797, of which $5,640 is for additional personnel and promotions in the department, $62,570 for additional clerical personnel in the field including $30,000 on account of the national origins act and $28,000 for consular clerks to be employed in con nection with the examination of intending emigrants in Canada and Mexico, $20,022 for promotion of consular clerks, $14,593 for rent of offices, and $6,332 for miscellaneous current expenses. The estimate for salaries, Foreign Service officers, has been increased from $3,001,000 to $3,298,500, which increase includes $167,500 for 67 new officers in addition to the 40 now on temporary detail to the department whom it is proposed to send to the field after they have been replaced by permanent personnel, and $130,000 for promotion of 178 officers. The scope of the text of transportation of Foreign Service officers has been materially extended to cover items of expense not heretofore allowed, and the total amount of the estimate has been increased from $410,000 to $518,000, which includes an increase from $45,000 to $110,000 for the return on statutory leave of officers who have performed three years or more of continuous service abroad and who shall while on such leave be available for trade conference work or duty in the department, $12,000 to meet the increase in the rates of subsistence as provided by the subsistence expense act of 1926, and $31,000 for an increase in the members of officers’ families. The amount recommended for inclusion in the 1931 Budget toward financing the Foreign Service retirement and disability fund is the same as the appropriation for 1930, $216,000, and is based on*the advice of the Government actuary. Section 12 of the act of M ay 24, 1924, authorizes the President to grant to diplomatic missions and to consular offices at capitals of countries where there is no diplomatic mission of the United States representation allowances out of any money which may be appropriated for such purpose from time to time by Congress, and there is submitted for the first time an estimate for such allowances amounting to $92,000. The estimate for water boundary, United States and Mexico, is increased from $58,000 to $71,660, the principal items of this increase being $3,600 for an assistant engineer and $7,160 for new gages and cable stations for stream gaging. XXVI THE BUDGET, 1931 For the maintenance of the boundary line between United States and Canada and Alaska and Canada, as pro vided by the treaty of February 24, 1925, there is recommended an increase from $29,525 to 133,125, consisting of $4,600 for a geodetic engineer and an increase of $300 in the salary of the secretary, but the increase in this estimate is reduced to $3,600 by decreases in other items. Waterways treaty, United States and Great Britain: International Joint Commission, United States and Great Britain, is increased from $164,000 to $191,585. The allotment for the United States section of the commission is increased from $34,000 to $60,355, an amount of $16,230 is recommended for investigation by the Public Health Service of probable damage to human life by fumes from the smelter at Trail, British Columbia, in conjunction with the investigation which the Agriculture Department is conducting as to the effect of these fumes on plant and animal life, while the amount for the measurement of the waters of the Kootenai and other boundary rivers is reduced from $90,000 to $75,000, making a net increase in this estimate of $27,585. A reduction has been made in the estimate for the Foreign Service buildings fund from $2,000,000 to $1,700,000, as this amount with the unexpended balances from prior appropriations will be sufficient to carry the building program through the fiscal year 1931, all funds provided for this purpose being available until expended. The estimate for marking the boundary line between the United States and Canada and Alaska and Canada, under the treaty of April 11, 1908, is reduced from $23,960 to $17,460, as the field work has been completed and it is expected that all maps, reports, and other office work will be finished in 1931, after which no appropriation will be required for this purpose. Mixed Claims Commission, United States and Germany, and Tripartite Claims Commission, United States, Aus tria, and Hungary, is reduced from $132,927 to $125,075, and it is thought that the work of these commissions will be completed in 1931 and no further appropriations will be required. TR EA SU R Y D E P A R T M E N T (Exclusive of interest on and retirement of the public debt from ordinary receipts) Appropriated for 1930________________________________________________________________________$316, 270, 634. 00 Estimate of expenditures under permanent and indefinite appropriations and special funds. 26, 275, 181. 80 Transferred from the Executive Office for the White House police__________________________ 85, 900. 00 Unexpended balances in no-year appropriations for public buildings under act of May 25, 1926, brought over from previous fiscal year______________________________________________ 41, 481, 099. 03 Unexpended balances in appropriations for 1929-30_________________________________________ 1, 463, 045. 00 Total available for 1930_______________________________________________________________ Budget estimates for 1931____________________________________________________ $322, 102, 065 Estimate of expenditures under permanent and indefinite appropriations and special funds___________________________________________________________ 26, 004, 935 Approximate additional amount required for new public building projects under act of May 25, 1926, for which a supplemental estimate will be transmitted when the Treasury Department has concluded its survey of projects to be undertaken at this time____________________________________ 5, 000, 000 385, 575, 859. 83 Total, 1931____________________________________________________________________________ 353, 107, 000. 00 Decrease______________________________________________________________________________ 32, 468, 859. 83 In connection with the above summary it should be stated that of the $41,481,099.03 unexpended balances for public buildings under act of May 25, 1926, brought forward into 1930 from the previous fiscal year it is expected that about one-half will be carried forward into 1931, correspondingly increasing the amount available for that year and de creasing the amount available in 1930. If the amounts carried over are eliminated in respect to both years the decrease of $32,468,859.83 will be changed to an increase of $9,012,239.20. This increase of $9,012,239.20 is the net result of the estimates for 1931 showing increases in the amounts approved for certain purposes compared with, the appropriations for 1930, and decreases in others, the principal items of increase or decrease being as follows: OFFICE OF THE CHIEF CLERK AND S U P E R IN T E N D E N T An increase of $25,000 for contingent expenses, to provide for the increased requirements of the Bureau of Customs and Coast Guard headquarters for office equipment, and to effect necessary replacements in the department’s stock of typewriters. DIVISION OF BO O K K E E P IN G AND W ARRANTS An increase of $50,000 in the estimated requirements for recoinage of silver coins. PUBLIC DEBT SERVICE A decrease of $219,500 in the annual appropriation for expenses incident to the maintenance of the public debt service, due to transfer of certain work and the personnel employed thereon to the Office of Treasurer of the United States, and to the continued reduction in the amount of the public debt. In the indefinite appropriation items there is a decrease of $35,135 for “ Expenses of Loans” authorized by the act of September 24, 1917, due to a reduction in the force on work connected with public debt issues, and there is an increase of $52,703 in the item “ Preparation, Custody, and Delivery of Farm Loan Bonds (Reimbursable), ” due to greater activities in bond issues of this class. EXPLANATORY SYNOPSIS OF ESTIMATES OF APPROPRIATIONS XXVII CUSTOMS SERVICE A net increase of $479,300 in administrative expenses, including $52,390 for 24 additional positions at headquarters in Washington and $440,000 for additional personnel in the field. There is also a decrease of $13,090 in the provision for contingent expenses. Aside from administrative expenses there is a reduction of $500,000 in the indefinite appropria tion item “ Debentures or Drawbacks, Bounties or Allowances.” FEDERAL FARM LOAN BU R E A U An increase of $80,000 to provide for the increasing and complicated work of this activity. TR EASURER OF THE UN ITE D STATES An increase of $48,660 to provide for work and personnel transferred from other branches of the Treasury Depart ment and for one-step promotions to eligible employees two or more steps below the average of their grade. COMPTROLLER OF THE CURRENCY An increase of $200,000 in the indefinite appropriation “ Salaries and Expenses of National Bank Examiners” to provide for examination of the trust departments of national banks. IN T E R N A L R E V E N U E SERVICE A net decrease of $303,870 in the appropriation for expenses of collecting the internal revenue, made possible by a reduction of $232,300 now paid for rent of privately owned property because of the prospective occupancy on July 1, 1930, of the new Internal Revenue Building in Washington, and a further decrease in travel expenses of $56,500. The amount for personal services in the District of Columbia is increased to provide for the appointment of 25 attorneys and 25 stenographers in the Office of the General Counsel. The amount required for this additional personnel is reduced to $64,580 because of a reduction in the messenger force, due to greater facility of handling business in the new Internal Revenue Building. There is also an increase of $10,000,000 in the item for refunding taxes illegally collected, due to increased requirements for this purpose. COAST GUARD An increase of $2,298,869 involving $44,545 for additional salaries at headquarters in Washington, $1,030,146 for pay and allowances due principally to automatic promotions, additional men for new vessels placed in commission, and provision for mileage heretofore appropriated for separately, $283,150 for outfits and ship chandlery, including life boats, radio supplies, and ammunition, $269,000 for rebuilding and repairing stations, $72,000 for communication lines, including new lines in Florida, $1,330,000 for reconditioning 12 Navy destroyers to replace 12 destroyers now in the Coast Guard service, the continued operation of which is no longer economical because of large expenditures for repairs, $800,000 for 5 fast offshore patrol boats, $20,000 for 10 high-speed picket boats, and $320,000 for new seaplanes and their equipment. The estimates for 1931 also provides $800,000 for completing the ninth cutter of the 10 new cutters recently authorized by law and $100,000 for commencing the last cutter, also $45,000 for establishing a new Coast Guard station at Quillayute River, Wash. B U R E A U OF ENG R A VIN G AND PRIN TING A decrease of $251,260, due principally to reduction in number of plate printers and junior operators incident to the new small currency program, and reductions made possible through consolidation of appropriation items heretofore carried separately. SECRET SERVICE D IVISION An increase of $28,600 due principally to an increase of $18,400 for the White House police force, and $10,200 for the Secret Service force in the field. PUBLIC HEALTH SERVICE An increase of $619,229 made up principally of $19,684 for automatic promotions of commissioned officers, $56,844 for 18 additional commissioned officers, 14 of which are for assignment to duty in consular offices in Canada and Mexico as technical advisers in immigration cases, $20,900 for 16 additional acting assistant surgeons and $27,000 for 15 additional sanitary inspectors for border quarantine stations, $314,826 for increased personnel and expenses of hospitals due principally to new hospitals being opened in Cleveland and Detroit as well as a new relief station in Philadelphia. In addition to the foregoing $200,000 is provided for replacing quarantine boats at New York, San Diego, and Honolulu. OFFICE OF THE SUPERVISING ARCHITECT The appropriations for the fiscal year 1930 for public building construction under the act of May 25,1926, and for additional land in the so-called “ triangle” in the District of Columbia amounted to $39,475,500. The unexpended bal ance on July 1,1929, of appropriations made in previous years for the same purposes amounted to $41,481,099.03, mak ing the total available for 1930, $80,956,599.03. Against this total the Treasury contemplates spending $59,562,934 in the fiscal year 1930, leaving $21,393,665.03 to be carried over to the fiscal year 1931. The Budget for 1931 includes XXVIII THE BUDGET, 1931 $30,000,000 for buildings and land and a supplemental estimate of $5,000,000 for new projects will be transmitted at a later date when the Treasury Department has concluded its survey of projects desirable to be undertaken at this time. On this basis the estimates for 1931 are $4,475,500 less than the appropriations for 1930, but because of the fact that public building appropriations are immediately available and available until expended comparison between appropriations in one year and estimates for the succeeding year are useful only for statistical purposes. Aside from public buildings and land the estimates for the Office of the Supervising Architect are $936,520 in excess of the appropriations for 1930, made up of $150,000 for enlarging and remodeling public buildings, $300,000 for rent of temporary quarters during reconstruction, $40,000 for mechanical equipment, $44,670 for general expenses of public buildings, $350,000 for operating force, $90,000 for furniture and repairs to same, and $143,500 for operating supplies. The increases in the above-mentioned items for operating expenses are principally due to the enlargement of old buildings and the expected completion of 40 new buildings in 1931. There is a decrease of $180,000 in the amount provided for outside professional services. W AR D E P A R T M E N T National Home for Disabled Volunteer Soldiers War Department proper Inland Waterways Corporation Appropriated for fiscal year 1930 _______________ Unexpended balances reappropriated for 1930______ __ $433, 375, 357 300, 000 $10, 000, 000 $10, 066, 420 $10, Oil, 000 $463, 452, 777 300, 000 Total for 1930_ _________ ______________________ Budget estimate for fiscal year 1 9 3 1 _ ___ _______ __ 433,675,357 443, 529, 612 10, 000, 000 10, 066, 420 11, 235, 220 10, Oil, 000 11, 861, 500 463, 752, 777 466, 626, 332 ^Increase. _ ____________ _ _ _______ __ Decrease _ _ __ _______ _______ ________ 9, 854, 255 1, 168, 800 1, 850, 500 12, 873, 555 10, 000, 000 Net increase___ _______ M IL IT AR Y A N D ____ __ N O N M IL IT A R Y Panama Canal ” " i o ’ 666,'’ 666’ ____ _________ A CTIV ITIE S Total 2, 873, 555 (E X C L U S IV E OF N A T IO N A L PAN AM A HOM E FOR D ISABLED VOLUNTEER SOLDIERS AND CANAL) The amount estimated for the maintenance and operation of the Regular Army, supplemented by the use of other funds which will be available to the War Department for this purpose, will provide for an average strength throughout the year of 12,000 commissioned officers, 998 warrant officers, and 118,750 enlisted men, exclusive of the Philippine Scouts, for which an average enlisted strength of 6,500 is provided. The amount estimated for the civilian components will provide for the training of 20,000 reserve officers for an average of two weeks and of 840 reserve officers for periods varying from one month to one year, of which number 322 will be on active duty for one year with the Army Air Corps; for the attendance of 37,500 men at citizens’ military training camps in the United States and 3,000 in the Philippine Islands; for an enrollment of 127,500 students in the Reserve Officers’ Training Corps units; and for the maintenance of the National Guard at an aggregate strength of 190,000. The Budget estimate also provides for essentials connected with the maintenance and operation of active military posts, camps, and stations as now constituted. The estimates for 1931 for these purposes for barracks and quarters, other buildings, and utilities, amount to a total of $11,152,060, which is a decrease of $498,724 from the appropriation for 1930, made possible by new construction. For new construction at military posts, under the Army housing program, including the United States Military Academy, of barracks and quarters and utilities and appurtenances thereto, there is carried in the 1931 Budget the sum of $16,062,860, an increase of $1,620,910 over the amount appro priated for this purpose for 1930. In addition to the amount submitted for appropriation, provision is made in the 1931 Budget for obligation by contract to the extent of $3,000,000. Provision is made for necessary Army transportation, including the operation of the Army transport service, and for the purchase of 1,500 horses, 500 mules, and $495,650 worth of new motor cars, trucks, ambulances, and motor cycles; for the maintenance in part of war reserves; for surveillance of and protection of stocks of ammunition to prevent deterioration and spontaneous combustion; for the upkeep of existing fortifications and accessories, and for carrying forward the general plan for the protection of the Panama Canal. For the Air Corps of the Regular Army $35,823,473 is estimated as against a net appropriation for the fiscal year 1930 of $32,440,785. In addition, the Budget makes provision for Army aviation to the extent of $36,766,825, various sums aggregating this amount being included in the estimates for the pay and supply branches of the Army for application to the maintenance, operation, and expansion of the Air Corps of the Regular Army and in the esti mates for the National Guard, Organized Reserves, and Reserve Officers’ Training Corps. The amount provided in the Budget estimates for the purchase of airplanes, their spare parts and accessories, aggregates $18,423,548, of which $16,939,586 is for the Air Corps of the Regular Army, $849,825 for the National Guard, and $634,137 for the Organized Reserves and Reserve Officers’ Training Corps. The amount provided in the Budget for the purchase of new airplanes will procure 443 such planes for the Regular Army Air Corps, the total number pertaining to the fourth increment of the 5-year expansion program. The estimates provide $500,000 for the national rifle matches on the same basis as for the fiscal year 1930. Excluding all items of a nonmilitary character, the .total amount provided for national defense in the War Department Budget estimates is $339,418,362. The Budget estimates for military activities of the War Department show a net increase of $7,719,151 over the amount appropriated for 1930, due principally to the depletion of surplus stocks left over from the World War, to XXIX EXPLANATORY SYNOPSIS OF ESTIMATES OF APPROPRIATIONS the growth of the retired lists of the Army, and to increased requirements of the Air Corps expansion program, and the Army housing program. Funds recommended will care for the various nonmilitary activities of the War Department, such as national cemeteries, national military parks, national monuments and memorials, the Alaska cable and telegraph system, and roads, bridges, and trails in Alaska. For rivers and harbors, $55,000,000 is carried for the maintenance and improvement of existing river and harbor works, an increase of $5,000,000 over the appropriation for 1930. This is in addition to $6,862,600, which is approxi mately the annual amount available from permanent specific and indefinite appropriations and contributed and ad vanced funds. For flood control on the Mississippi River $35,000,000 is estimated as against $30,000,000 appropriated for 1930, and for flood control on the Sacramento River $1,000,000 is estimated, being the same amount as the appro priation for 1930. In addition $350,000 will be available from contributed funds for flood-control work on these two rivers. For the maintenance and operation of Dam No. 2, Muscle Shoals, Ala., including its hydroelectric power plant, $260,000 is estimated. The total provided for all items of river and harbor work, including flood control and maintenance and operation of Dam No. 2, Muscle Shoals, is $98,982,600. NA T IO N A L HOME FOR DISABLED VOLU N TE E R SOLDIERS The Budget estimate provides for the maintenance and operation of the 11 branch homes of the National Home for Disabled Volunteer Soldiers and for aid to State and Territorial homes for disabled soldiers and sailors. P AN AM A CANAL For the Panama Canal the Budget estimates provide for essentials necessary for the normal maintenance and operation of the canal, and for the sanitation and civil government of the Canal Zone. In addition, provision is made for capital additions consisting of $400,000 for continuing the construction of permanent quarters for canal employees; $200,000 for a modern fireproof ward for male insane; $10,000 for conversion of Balboa Harbor channel lights; $132,000 for the purchase of three towing locomotives; and $2,000,000 for continuing the construction of the Madden Dam across the Chagres River, at Alhajuela, Panama, commenced during the fiscal year 1929, to provide for additional storage of water for use in the operation of the canal. The total cost of this dam, including approach road and a hydro electric power unit, is estimated at $12,000,000. In connection with Budget estimates for maintaining and operating this great national asset the following information is of interest: The investment in the canal and its adjuncts is partly for national defense and partly commercial. To June 30, 1929, the investment charged to national defense was $113,127,338, and to commercial use $273,680,596, the total investment being $386,807,934, which is exclusive of fortifications, military posts, and naval bases. The total gross revenues from the opening of the canal to June 30, 1929, amounted to $407,156,730, derived from tolls, taxes, and business operations. Deducting from this the expenses incident to transiting vessels through the canal, $113,665,996, and expenses connected with business operations, $176,107,669, which includes the value of services, supplies, and materials sold, leaves a net revenue, excluding interest on the investment, of $117,383,065. Of this, $109,958,896 was from tolls and taxes and $7,424,169 from business operations. Included in the expense account for the canal are fixed annual charges of $989,938 for depreciation and amortization of canal fixed property and $887,949 for depreciation on canal plants and equipment. The amount of tolls collected has increased from $5,631,781 in 1917 to $27,123,534 in 1929, the increase for 1929 over 1928 amounting to $180,021. D ISTRICT OF COLUMBIA Appropriated for 1930____________________________________________________________________________ $44, 540, 115 Budget estimate for 1931_________________________________________________________________________ 47, 880, 228 Net increase_______________________________________________________________________________ 3, 340, 113 Increases for salary advancements amounting to approximately $100,000 are provided in the various estimates for personal services. Provision is also made for additional personnel in certain offices, including $42,640 in the building inspection division and $16,020 for the Public Utilities Commission. In the office of the director of traffic $14,580 is provided for the employment of civilian personnel to replace policemen now detailed to that office, and $60,000 is provided for purchase and installation of traffic signals, which will permit the assignment to other duties of certain traffic policemen. To carry out the provisions of the act of March 2, 1929 (45 Stat., p. 1487), for the establishment of the Farmers’ Produce Market, $300,000 is provided, and $10,000 is recommended for the construction at Eastern and Western Markets of market sheds for the use of farmers retailing farm produce. An item of $10,000 is included for repairs to the roof of the Municipal Building, and in addition to the $205,000 already available for the construction of a central garage and shops for the highway department, there is recommended for that purpose a further sum of $150,000. For construction and equipment of a building for the northeastern branch library $150,000 is included. For the purchase of land and for the preparation of plans for buildings for the Municipal Center, estimates of $3,000,000 and $65,000 are submitted. The estimates for the highway department include $211,000 for the elimination of the Fern Street grade crossing, $145,000 for the elimination of the Michigan Avenue grade crossing, and $250,000 toward the replacement (at a total cost of $500,000) of the Connecticut Avenue bridge over Klingle Valley. Under the refuse department is an increase of $25,000 for cleaning streets and an estimate of $550,000 for the purchase of land and beginning the con struction (at a total cost of $850,000) of two high-temperature incinerators for the destruction of combustible refuse. 62331— 29-------iv XXX THE BUDGET, 1931 For street lighting in 1931 there is provided an estimate of $915,000, together with an unexpended balance from the 1929 appropriation of approximately $85,000. For improvements to playgrounds, an increase of $29,000 is provided. For operating the public schools, the estimates for 1931 amount to $10,018,110, an increase of $385,510. This increase, aside from providing longevity increases in compensation of teachers, additional teachers for the schools and teachers’ colleges, and additional personnel in the administrative and custodial forces, includes $62,000 for com pleting equipment of the stages and $50,000 for other equipment and repair of equipment at Central and Dunbar High Schools, $25,000 for repairs to school buildings, and $30,000 for remodeling and equipping the Wilson and Miner Normal Schools for use as teachers’ colleges. For buildings and grounds, the Budget provides $2,710,000 for new construction and $300,700 for the purchase of school building sites, making a total of $3,010,700 as compared with 1930 appropriations of $2,352,000. The esti mate of $2,710,000 for new construction provides $300,000 for completion of construction of the Alice Deal Junior High School; $300,000 for completion of the Charles W. Eliot Junior High School; $600,000 for continuing construction of a new building for the Business High School; $75,000 for two new gymnasiums at the Gordon Junior High School; $15,000 for a shop for instruction in automobile repairing at the Columbia Junior High School; $225,000 for an 8-room third-story addition at the Powell Junior High School; $130,000 for a 4-room addition at the Congress Heights School; $200,000 for a new platoon school building in northeast Washington; $200,000 for a junior high school building in northeast Washington; $55,000 for the construction of the Western High School athletic field; $50,000 for a combina tion gymnasium and assembly hall at the Deanwood School; $200,000 for an 8-room extensible building, including gymnasium and assembly hall at Northampton Street and Broad Branch Road; $80,000 for a 4-room extensible building in Wesley Heights; $80,000 for a 4-room extensible building at Tenth and Franklin Streets NE., and $200,000 for a 12-room addition to the Anthony Bowen School. ^ The estimates for the police department total $3,097,745 as compared with $3,083,950 for 1930. Provision is made for a captain in the traffic bureau, and for two lieutenants and the increased compensation of 10 additional privates in the detective bureau. A decrease in the allowances for officers and men mounted on horses or motor cycles is offset by an increase in the estimate of appropriation for purchase and maintenance of motor vehicles. The estimates for the fire department include $34,500 for new fire apparatus and $150,000 for a site for a new fire station for engine company No. 16 (now located at Twelfth and D Streets NW.) and truck company No. 3 (now located at Fourteenth Street and Ohio Avenue NW.). Under the health department the estimate of appropriation for hygiene and sanitation in the public schools is increased from $78,600 to $93,920, to provide for an additional dental clinic and for additional medical inspectors and nurses, and there is an increase of $5,100 for the public crematorium for repair of equipment. The estimates for the juvenile, police, and municipal courts, and for the court of appeals, show little change over current appropriations. The estimates for the supreme court are increased by approximately $15,000, due chiefly to increased expenses resulting from the legislation providing an additional justice for that court. The estimates for the Department of Public Welfare amount to $5,129,927, as compared with $4,507,080 for 1930. An increase of $14,365 for the jail is due to an increase in number of inmates. The appropriation items for the workhouse and reformatory have been consolidated in the interest of better accounting methods, with estimates totaling $976,620, as compared with 1930 appropriations of $565,440. The increase of $411,180 includes $22,680 for additional personnel and $13,500 for additional maintenance, due to increased number of inmates; a consolidation in the maintenance item of $65,500 for fuel; $190,000 for construction of buildings, including $150,000 for the con struction of buildings in a walled inclosure for the more difficult prisoners; $135,000 for repairs and improvements, including $30,000 for laundry machinery and equipment, $32,500 for an improved water-supply system, and $55,000 for remodeling the heating and power plant; and a direct appropriation of $50,000 for the working-capital fund. A decrease of $15,000 in the estimate for the National Training School for Boys is occasioned by a decrease in the number committed to that institution. An additional amount of $175,000 is provided for completing the nurses’ home at Gallinger Hospital. The estimates for the District Training School provide $130,000 for the construction of a domestic service build ing, and include increases of $12,000 for repairs and improvements to buildings and grounds and $8,500 for equipment of the employees’ building and the superintendent’s residence. For replacement of farm buildings at the Industrial Home School for Colored Children, $12,000 is provided. The estimates for personal services and general expenses at the Home for Aged and Infirm are increased by $14,580 on account of increased number of inmates. There is a decrease of $5,000 in the item for repairs and improvements; and increases of $3,000 for extension of water mains, $3,400 for motor-vehicle equipment, $25,000'for purchase and installation of electrical equipment, and $8,000 for remodeling and enlarging the infirmary building. For support, at St. Elizabeths Hospital, of indigent insane of the District of Columbia, there is an increase of $143,472, due to increased number of patients and increased per capita cost of maintenance. The estimate for reclamation and development of Anacostia Park includes an increase of $150,000 for the purchase of land. For public buildings and parks, the estimates provide a total increase of $139,385. For the continued develop ment of park improvements, the estimates include $100,000 for Meridian Hill Park, $134,755 for the Rock Creek and Potomac connecting parkway, $25,000 for Anacostia Park, $10,000 for the improvement of newly acquired reserva tions, $15,000 for minor auxiliary structures, $3,000 for Rock Creek Park lights, and $14,300 for the Burroughs Recrea tional Center. For the park police there is an increase of $12,330. For the work of the National Capital Park and Planning Commission, including the purchase of land for park and playground purposes, $1,000,000 is provided. An increase of $17,000 is recommended for additional personnel and expenses at the Zoological Park. For water service, the estimates amount to $1,647,860, as compared with 1930 appropriations of $1,495,330. There are increases of $40,000 for beginning a survey of water waste, $35,000 for laying service mains, and $50,000 for replacing old water mains. The estimate for installing hydrants is decreased by $25,000, due to the progress XXXI EXPLANATORY SYNOPSIS OF ESTIMATES OF APPROPRIATIONS made in this direction during the last two years. The estimates include $20,000 for lowering a water main in New Hampshire Avenue from M Street to Dupont Circle, $110,000 for a water main from Bryant Street pumping station to Georgia Avenue, and $75,000 for purchase and installation of a new pump at the Bryant Street pumping station. An appropriation for 1930 of $105,000 for a main in M Street NW., from Eleventh Street to New Jersey Avenue, is reappropriated for laying a main in Eleventh Street NW., from Florida Avenue to Kenyon Street, and west on Kenyon Street to Thirteenth Street. The total of the estimates for permanent and indefinite appropriations is $2,482,500. The decrease of $570,000 under the appropriations for 1930 is occasioned by the decreased estimate of expenditures for extension of streets and avenues and to an expected decrease in trust-fund deposits. R E T IR E M E N T OF TH E PUBLIC D E BT REQUIRED TO BE M A D E FROM O R D IN A R Y RECEIPTS Estimate of expenditures under indefinite appropriations for 1930, revised as shown in the Budget for 1931_______________________________________________________________________________ $623, 894, 100 Budget estimate for 1931________________________________________________________________________ 635, 324, 000 Increase__________________________________________________________________________________ 11, 429, 900 This amount is made up of an increase of $12,904,000 in sinking fund operations, a decrease of $1,450,000 in retirements from proceeds of principal and interest of foreign government obligations, a decrease of $54,100 in retire ments of bonds and notes from estate taxes, an increase of $40,000 in forfeitures, gifts, etc., and a decrease of $10,000 in retirements from net earnings derived from intermediate credit banks. IN TE R E ST ON TH E PUBLIC D EBT Estimate of expenditures under indefinite appropriations for 1930, revised as shown in the Budget for 1931_______________________________________________________________________________ $656, 000, 000 Budget estimate for 1931________________________________________________________________________ 619, 000, 000 Decrease_________________________________________________________________________________ 37, 000, 000 The reduction for 1931 below 1930 is due to the continued curtailment of the public debt. The estimated expenditures for the fiscal year 1930, as shown in the Budget for that year, was $640,000,000. Due to the high money rates which have prevailed for some time past it has been necessary to increase the estimated ex penditures for that year by $16,000,000. THE CHART PRESENTATION The chart presentation of the estimates of receipts, expenditures, and appropriations for the fiscal year ending June 30, 1931, given opposite page A2, sets forth graphically the source of income and how the average dollar of the estimated expenditures and appropriations is apportioned to organization units and functions in the Budget for the fiscal year 1931. Chart 1 exhibits the estimates of appropriations by organization units, exclusive of the Post Office Department payable from postal revenues and gives the allocation of the average dollar to the several departments and estab lishments for which the appropriations are recommended. It will be seen that of the average dollar to be appro priated 0.75 cent is for the legislative establishment; 17.13 cents for independent offices, of which 15.72 cents is for the Veterans’ Bureau; that 4.40 cents is for the Department of Agriculture; 8.11 cents for the Department of the Interior; 10.14 cents for the Navy Department; 12.44 cents for the War Department; 42.71 cents for the Treasury Department, of which 17.77 cents is for interest on the public debt and 15.36 cents for reduction in principal of the public debt payable from ordinary receipts; and only 4.32 cents for the Departments of Commerce, Justice, Labor, and State, the District of Columbia, and the Executive Office. Chart 2 gives the estimates of appropriations by governmental functions and exhibits the purpose for which the average dollar is to be appropriated for the fiscal year 1931. It shows that of each dollar recommended for appro priation 3.41 cents goes for general functions; 36.43 cents for military functions, of which 19.17 cents is for national defense and 17.26 cents for military pensions, retirement pay of the Coast Guard, annuities, World War allowances, and life-insurance claims. It also shows that of the average dollar to be appropriated 16.81 cents is for civil functions, of which 0.97 cent is for promotion, regulation, and operation of marine transportation, and 6.32 cents for public works. Of the total, 43.35 cents of each dollar included in the estimates is for nonfunctional purposes. This includes 4.37 cents for refunds, drawbacks, and like appropriations, 16.93 cents for public-debt retirements, and 16.50 cents for interest on the public debt. Chart 3 gives the estimates of expenditures by organization units for the fiscal year 1931. Of the average dollar to be expended it shows that 10.85 cents will be disbursed by the Veterans’ Bureau; 4.07 cents by the Department of Agriculture; 1.25 cents by the Department of Commerce; 6.97 cents by the Department of the Interior; 0.77 cent by the Department of Justice; 0.29 cent by the Department of Labor; 9.38 cents by the Navy Department; 10.99 cents by the War Department; 0.39 cent by the State Department; 43.82 cents by the Treasury Department, of which 15.49 cents represents reduction in principal of public debt payable from ordinary receipts, and 15.09 cents for interest on the public debt; 1.11 cents by the District of Columbia; 1.91 cents for postal deficiency; 4.18 cents for investment of trust funds; 3.28 cents to be disbursed by the legislative branch, the independent establishments other than the Veterans’ Bureau, and the Executive Office; and 4.92 cents for the Federal Farm Board, including loans. Chart 4 gives the estimate of. expenditures by governmental functions. It supplies information showing for the average dollar the general end or purpose to be accomplished by the expenditures during the fiscal year 1931. Of the average dollar to be expended during that fiscal year 3.19 cents will be spent for the general functions of the Government; 32.58 cents will go for military functions, of which 17.25 cents is for national defense, and 15.33 cents for military pensions, retirement pay of the Coast Guard, annuities, World War allowances, and life-insurance claims. The chart also shows that 19.05 cents will be expended for civil functions, of which 2.15 cents goes for promotion, regu lation, and operation of marine transportation, 6.64 cents for public works, and 10.26 cents for other civil functions; that 45.18 cents will be expended for nonfunctional operations, of which 8.99 cents represents refunds and miscellaneous; 30.57 cents for fixed-debt charges, of which 15.48 cents is for public-debt retirements payable from ordinary receipts, and 15.09 cents for interest on the public debt; and 5.62 cents for the disbursement of trust funds. Chart 5 exhibits the estimated receipts of the Government by sources of revenue, exclusive of postal revenues for the fiscal year 1931. Of the average dollar to be received 73.36 cents comes from internal revenue, 14.25 cents will be received from customs, and 12.39 cents will be derived from miscellaneous sources, such as interest and discount, sale of Government property, public-domain receipts, fees, fines, penalties and forfeitures, gifts and contributions, re payments of investments, District of Columbia receipts, Panama Canal receipts, and trust-fund receipts. The amounts which form the basis for computing the allocation of the average dollar for the estimates of appro priations by functions for the fiscal year 1931, Chart 2, are given in detail in Budget Statement No. 11. The data used for the income statement, Chart 5, are supplied by Budget Statement No. 6; the data for computing the average dollar for the estimated expenditures by functions, Chart 4, are given in Budget Statement No. 14. The data for Chart 3, giving the average dollar allocation of the estimates of expenditures by organization units, are given in Budget Statement No. 2, and similar data for Chart 1 are given in the recapitulation of estimates of appropriations. Chart 5 does not include the estimated postal revenues for the fiscal year 1931, because such revenues are not considered receipts of the general fund. a I a2 THE BUDGET, 1931 Comparative statement showing how the average dollar oj estimates of appropriations and expenditures, exclusive of the Postal Establishment payable from postal revenues, is apportioned to governmental functions in the Budget for the fiscal year ending June SO, 1931 Function 1. General functions ___ ________________ _____ __________ ___ 2. Military functions: 1. National defense. ____ __ _________ ___ _____ _________ __ _ __ _ _ _ _____ 2. Military pensions, retirement pay, annuities, World War allowances, and life-insurance claims____ Total, military functions__ __ __ _________ _ _ __ _ ______ __ 3. Civil functions: 1. Promotion, regulation, and operation of marine transportation. _ _ _____ __ 2. Public w o r k s____ ____ ____ _______ _ _____ __ _ _ _ _ __ _ _ _ _ ___ 3. Other civil functions __ _ _ _ _ __ ____ _ _ _____ ___ ___ _ Total, civil functions. _ _ _ _ _ _ _ _ _ 4. Nonfunctional operations: 1. Refunds, loans, and miscellaneous-- __ __ _ ___ _______ _ _ _ _ _____ 2. Fixed-debt charges— 1. Public-debt retirement from ordinary receipts__ _________ _ _ 2. Interest on the public debt __ __ ___ _ _ _ _ _ __________ Total, fixed-debt charges___ ______ 3- Trust fu n ds.___ _ _______ _____ _____ _ _ _ ___________________ Total, nonfunctional operations___ _ _ __________ ____ __ _____ _________ __ __ _______ _ _ _______ _____ __ ____ __ _____ __ ____ _ ____ __________ __ Total______________________________________________________________________________________ Estimates of appropriations, excluding Postal Establishment, payable from postal revenues Estimates of expenditures, excluding Postal Establishment, payable from postal revenues Cents Cents 3. 41 3. 19 19. 17 17. 26 17. 25 15. 33 36. 43 32. 58 . 97 6. 32 9. 52 2. 15 6. 64 10. 26 16. 81 19. 05 4. 37 8. 99 16. 93 16. 50 15. 48 15. 09 33. 43 30. 57 5. 55 5. 62 43. 35 45. 18 100. 00 100. 00 Comparative statement showing how the average dollar of estimates of appropriations and expenditures, exclusive of the Postal Establishment payable from postal revenues, is apportioned to organization units in the Budget for the fiscal year ending June SO, 19S1 Organization unit 1. Legislative 2. Executive. . . . __________ _ _ __________ _ _ . _ _ _ _ _ _ _ ___________ __________ ______ _ ___ 3. Independent offices: 1. United States Veterans’ Bureau. _____ . _ _ _ _ _ _ _ _ _____ ____________________ 2. Federal Farm Board__ __ _ _____ _________ __ _ _ _ _ _ _ _ _ _ _ _ ___________ __ ___ 3. All other. __ __ _____ _____ ___ _ _ _ _ _ __ _ __________ Total, independent offices 4. 5. 6. 7. 8. 9. 10. 11. 12. 13 14. 15. _ . _ _ _ _ _ _ _ _ _ _ _ ______ __________ __ Department of Agriculture. _ _ __ __ . . . _ _________ ___________________ ___ Department of Commerce __________ _ _ _ _ _ _______________ __ __ _________ Department of the Interior _ _____ ___ _____ _ _ _ _ _ _ _____ ____ ___________ Dpnartment of Justice (including iudicial) Department of Labor. __ _ ______ __ _____ _ _____ __ __ ______ ____________ ____ Navy Department. ______ ____ __ ____ __ _ ___________ __ _ _ _ _ _____________ _ _ Post Office Department (estimated deficiency). _ ___ _ _ ___________ __ State Department ___ _ _ _ _ _ . __________ _____ ___ Treasury Department _ _ _ _____ _____ _____ War Dpnartment (including Panama Canal) . . . District of Colum bia_______ _________ ___ _ _ ___________ ___________ Investment of trust funds _________ __ __ _ _ _ ______ __ __________ __ Total_______ ___________ .. _____ ___ _ __ _____________ Estimates of appropriations, excluding Postal Establishment, payable from postal revenues Estimates of expenditures, excluding Postal Establishment, payable from postal revenues Cents Cents 0. 75 . 01 0. 70 . 01 15. 72 . 05 1. 36 10. 85 4. 92 2. 57 17. 13 18. 34 4. 1. 8. . . 10. 40 40 11 85 32 14 . 42. 12. 1. 46 71 44 28 4. 07 1. 25 6. 97 . 77 . 29 9. 38 1. 91 . 39 39. 64 10 99 1. 11 4. 18 100. 00 100. 00 CHARTS OFESTIMATESOFAPPROPRIATIONS, EXPENDITURES,AND RECEIPTS OFTHE U.S.GOVERNMENT, EXCWDimTHE POSTOFFICEDEPARTMENT, FOR THE FISCAL YEARENDINGJUNE30,1331. I 1 f I i 1 C H A R T I, E S T I M A T E S O F A P P R O P R I A T I O N S B Y O R G A N I Z A T I O N U N I T S . 1 $ 28345.067 0.75% p I I LEGISLATIVE ESTABLISHM ENT 1 422.320 EXECUTIVE OFFICE 0.01 r 1 1 15.72 589.758*000 U.S. 1'ETER AIH S'BU R EAU 11 rAim p / iiUL.rL.1 f 1/L.n! u r r t^ c o , IS-IO 1 OTHER INDEPENDENT ESTABLISHMENTS 52.843.914 /.4i p r J 4.40 P M DEPARTMENT OFAGRICULTURE I65.0SS.506 52.362.270 1.40 jm DEPARTMENT OF COMMERCE 304.302.348 IN TERIO R DEPARTMENT 8.11 ' .......1 0.85 p r DEPARTMENTOFJUSTICE.INCLJUDICIAL 32.017.292 0.32 I 12.219.770 DEPARTMEN T OF LABOR I 380.392526 1w x Z M NA VY DEPARTMEN T 17.238.659 0.46 i | I STATE DEPARTMENT . .. , . ..1 348.107.000 9.28 1 TREASURE DEPARTMENT PROPER I EXPENDED THROUGH 63S.3Z4.C00 16.93 PUBLIC DEBT RETIREMENT * t S'S* -> A "3t S\.*\S\ Jt o •51 os j r\us\our\ r is c r j.,ty i.o u £ .* r G f.u u v ,‘ tc.riA> I 619.000.000 J> INTEREST ON PUBLIC DEBT 12.44 j 466.626.332 WAR DEPARTMENT. INCL PANAMA CANAL 47.880.228 128 T I 1 DISTRICT OFCOLUMBIA 1 60% | 5# K)% 15% 20% 25% 30% 35% 40% 45% 50% 55% TOTAL ESTIMATESOMPPROPRIATIOH5 $3JSI34S232 ]|IOOJQOX| C H A R T 2., E S T IM A T E S O F A P P R O P R IA TIONS B Y 6 0 V E R N M E T iT F U N C T I O N S . GENERAL FUNCTIONS 128.082.859 3.41% 1 J 1 _........ 1........... 1 1I I 1 . 1 1 NA TIONA L DEFENSE 719.089.388 19.17 /Vf// fTA F?V rU FFfN C IlU n ** • rtf 36.43% fV rllUIAt\T o, $it /.JOV.04/.03/, 17.26 MILFEN^IOliS.RETIREMENTFAY. LIFEH1S..ETC. 647S58.143 ------ 1--------......... y ■■ — 1' ■■ ■ H............ i - ......t... ■ ■I--....... 6.32 \ PUBLIC WORKS 237.176.161 PROMOTION,ETCOFMARINE TRANSPORTATION 36.549.757 0.97 pT j £ CIVIL FUNCTIONS, $ 630,762,102, 16.SI % OTHER CIVIL FUNCTIONS 357.056184 9.52 J■- ■- .... | - ■| ■■■ - l ------- h - 4 ------ 1— ------1--------... -■■■ 437 ipippif | R E FU N D S 164.044^00 16.93 PUBL.DEBTRETIREMTPROMORDINARYRECEIPTS 635.324.000 f 43? I> nNHN u n - rFfuINTTt/^N n u / k j h aAlt , i.ocorrjc./4U, 4335% 16.50 IN TEREST ONPUBLICDEBT 619.000.000 5.55 HH^Sa I I TRUST FUNDS 208064.240 ' i 1 i i i i L_ 100.00% j 5% K)% 15% 20% 25% 30% 35% 40% 45% 50% 55% 6Q%TOTALESTIMATES OMPPROPRIATIOIiS fi3.7Sl.94S.232 | C H A R T 3 , E S T IM A T E D E X P E N D IT U R E S B Y O R G A N IZ A T IO N U N I T S . 1 LEGISLATIVE ESTABLISHMENT $ 28.879.500 0.70X I 410.700 0.01 1 EXECUTIVE OFFICE . . !L___ . i ____ ,1 445.325.000 I 10.85 E U.S. VETERANS1BUREAU 1 201.900X100 FEDERAL FARM BOARD. INCL .LOANS 432 W//////M h IN DEPENDENT OFFICES,, #752563.300* 2&34% 1 257 ijppl 105338.300 OTHER INDEPENDENT ESTABLISHMENTS --- ! 4.07 WjmM DEPARTMENT OFAGRICULTURE 167.068.600 125 Hi DEPARTMEN T OFCOMMERCE 51.184.000 285.810.000 L 6.97 J wmWffJwA 1 1 INTERIOR DEPARTMENT ---- ! 0.77 B | 31.752.000 DEPARTMENT.OFJUSTICE.INCLJUDICIAL 11.997.400 0.29 J 1 DEPARTMENT OF LABOR | 9.38 N A V Y DEPARTMENT 38S.000.000 78.500.000 L91 mm ] DEFICIENCY IN POSTAL REVENUES STATE DEPARTMENT 15.821300 039 pr I 1 371822.000 TREASURY DEPARTMENT PROPER 906 I EXPENDED THROUGH 635.324.000 IS.49 PUBLIC DEBT RE TIREMENT 619000.000 INTEREST ON PUBLICDEBT 15.09 ^ TREASURY DEPT., $ 1.797.476.000. 4 3 .8 2 % I J1 171.330.000 4.18 Eilliil I I IN VES TMENT OF TRUST FUNDS 1 WARDEPARTMENT.INCL.PANAMA CANAL 451.060.900 1 10.99 | 45.415.000 | 1 DISTR ICT OFCOLUMBIA [« A// ^ I I 1 1 1100.00%\ 5% 10% 15% 20% 25% 30% 35% 40% 45% 50% 55% | TOTAL ESTIMATED EXPENDITURES $ 4.102.938.700 \ €0% C H A R T 4 , E S T I M A TED E X P E N D /T U R E S B Y G O V E R N M E N T F U N C T I O N S . 3.19 % | | 1 GENERAL FUNCTIONS & 130.999.700 17.25 P07.425I00 NA TJONAL DEFENSE \ n/t / / it-jt o\s C//MiMrr/^A/ r» <#i *>~>s? r-tr- s\t*~\ > m iLU AK T r u n c r iu N o . #l.oo0.olo.010. 32.58% MIL.PENSIONS. RETIREMENTPAY, LIFE1/15..ETC. 629.089.910 15.33 J 1 1 1 1 1 I1 i" 1......... 11- .... .1 1 ----- 1--------27237S.900 6-64 | PUBLIC WORKS 2.1S pis J 1 PROMOTION,ETC.OFMARINE TRANSPORTATION 88J82.600 [ CIVIL FUNCTIONS. $ 7 8 L 5 4 7 4 9 0 , 19.05% OTHER CIVIL FUNCTIONS 420-985.990 10.26 ^ i i * i i i i i i y i I-...... (• " t...... 1 1 ■ _r_. 368.852.300 899 [ REFUNDS AND MISCELLANEOUS * PUBL.DEBTRETIREMT FR.ORP/NARYRECEIPTS 635324.000 15.48 l ats>Kt r/iiu/'ri/i<u ii 4* / om ft~i/' r~s\s\ /■ NON"FUNCTIONAL, # I.<s5o.o7o.50U, 45.18X INTEREST ON PUBLIC DEBT 15.09 619.000.000 230.700.200 5.62 WMmm 1 I T R U ST FU N D S . i i l i i i i 5% 10% 15% 20% 25% 30% 35% 40% 45% 50% 55% TOTAL ESTIMATED EXPENDITURES $ 4J02.938.700 100.00% | 60% & Includes $ 200.000. OOOJlgriculkczraLMarKeting Xbaas. C H A R T S , ESTIM ATED R E C E IP T S B Y S O U R C E S O F R E V E N U E . IN C O M E TAX $ 2.460.000.000 58.21% wm m mm mm 640.000.000 MISCELLANEOUS INTERNAL REVENUE 15.15 -INTERNAL REVENUE RECEIPTS, 4 3.100.000. OOO, 7336% l l y 602.000.000 CUS TOMS RE VE1HUE 14.25 I CUSTOMS RECEIPTS, $ 602.000.000, 14.25% I | | INTEREST. PREMIUM, AND DISCOUNT 195.586.371 4.63 1 1 1 1 1 FEESflNES.PENALTIESjAND FORFEITURES 31.391.181 0.74 B 1 1 1 * MISCELLANEOUS ' 63.694.699 1.51 fig REPAYMENTS OF INVESTMENTS 1 D c/*c/oro ........ 1 | r\CUL.IrlO, t S23.7Z7.666, 12.39,% 2.27 m s TRUST FUND RECEIPTS 95.867.800 137.187.615 OTHER MISCELLANEOUS RECEIPTS 3.24 B i J 1 1 1 1 I 1 1 5% K)% 15% 20% 25% 30% 35% 40% 45% SOX S5X 60% TOTAL E S T IM A T E D RECEIPTS. $ 4225.727.666 ■100.00%\1 SBureau o f thebudget,ZkcemAerZ,1929. 1 | DESCRIPTION OF GOVERNMENTAL FUNCTIONS INTRODUCTION A classification by governmental functions has for its purpose to set forth the general end or purposes accom plished by the expenditures made by the several organization units of the Government. Each function of govern ment represents a service rendered directly to the people or else a service performed as a means of promoting, protecting, regulating, or administering services directly rendered. The classification set forth on statements Nos. 11 and 14 presents, first, the general functions of the Govern ment. These correspond closely to the main organs of government established by the Constitution. The general functions have been divided into the following: 1. Legislative, 2. Judicial, 3. Executive, and 4. General administration. The activities and duties of each of these deal with matters in all other functional fields. Of the specific functions it is important in the case of the National Government to segregate clearly the expendi tures for military and distinctly war purposes from expenditures for civil services. Therefore a segregation is made of the specific functions into the following classes: 1. Military functions. 2. Civil functions. 3. Nonfunctional expenditures. The military functions represent those activities conducted for military and war purposes and include those activities of special war agencies and expenditures made by civil services arising from war conditions. These were of special importance during the recent World War, and some of them are likely to continue for an indefinite period. The civil functions include those functions of government which have to do with the promotion of friendly relations with foreign powers; those which have to do with the conservation of social order and property; those which have to do with the conservation of natural resources and economic interests of the people; those activities which relate to the promotion and protection of health, the care and education of Indians, and the promotion of public education, educational research, and science. The nonfunctional expenditures include certain important expenditures which are of a nonorganizational char acter. These are for the most part expenditures arising out of war, such as interest on and redemption of public debt, investments, refunds, and disbursement of trust funds. The “ refunds” and “ investments” are segregated from other departmental expenditures because the former represents the repayment or refund of the whole or part of an amount previously received in payment of indebtedness to the United States, and the latter represents expenditures made in the purchase of notes, bonds, and other choses in action, and loans to foreign governments, railroads, and the like, which are not expenses of operation but the conversion of cash into other assets. D E FINITION S OF G O VER NM EN TAL FUNCTIONS For the purpose of defining the expenditures or appropriations comprehended within each general function, the following definitions are given: Legislative.— Under this function are grouped only those activities of Congress as a legislative body. Judicial.— Under this function are grouped those expenditures having to do with the judicial branch of the Government. It includes all United States courts expenses other than the District of Columbia courts which are included under “ Local government.” Executive.— Under this function are included the direct cost of the Executive Office, including the salary and expenses of the President and Vice President and the cost of maintaining the Executive Mansion and grounds. General administration.— Under this heading are grouped the expenditures of certain administrative agencies which are of a general character, dealing with matters in all the various fields of administrative functions and those departmental expenditures which can not now be allocated to specific civil functions. This general title includes expenditures for (1) financial administration, (2) Government supply services, (3) public-buildings service, (4) civil pensions and allowance administration, and (5) institutional and general expenses. Under “ Financial administration” are included the Treasury fiscal services, the Bureau of the Budget, the services having to do with the collection of taxes, the public-debt service, and the General Accounting Office. Under “ Government supply services” are included those organization units of the Government whose function it is to supply personnel, services, or materials to all other agencies of the Government. It includes such services as the Civil Service Commission, the Bureau of Efficiency, the Government Printing Office, the Superintendent of Public Documents, the Bureau of Engraving and Printing, the Government fuel yards in the District of Columbia, the General Supply Committee, and the Coordinator of General Supply. a3 a4 THE BUDGET, 1931 Under “ Public buildings service” are included all expenses incurred in connection with the maintenance and operation of public buildings within and without the District of Columbia. It includes the maintenance and operation of the Capitol Building and Grounds, the Senate and House Office Buildings, the Capitol power plant, all other build ing maintenance and operation expenditures connected with the legislative branch, and like expenses for maintenance and operation of buildings under the Office of Public Buildings and Public Parks of the National Capital, Interior Department buildings, Treasury Department buildings, public buildings under the Supervising Architect of the Treasury, public buildings and grounds under the Chief of Engineers of the Army, and the Congressional Library buildings and grounds. The “ Civil pensions and allowance administration” comprises the general expenses of the Employees’ Compensa tion Commission and the cost of administering the act retiring civil-service employees, which is supervised by the Pension Office of the Interior Department. It excludes the payments made out of the employees’ compensation fund, which are reported under “ Promotion of labor interests.” The “ Institutional and general expenses” include only the salaries and expenses of the Treasury and Interior Departments not directly chargeable to any specific civil function. These include the salaries of the chief clerk’s office of the Treasury Department (other than those relating to buildings service); other institutional services of the Treas ury Department, such as appointment division, the printing division, the disbursing clerk, and the mail and files division; and like expenses of the Interior Department. National defense.— Under this general title are included the military activities of the War Department, the naval and military activities of the Navy Department, and the special-defense appropriations given directly to the civil departments. It excludes all trust-fund expenditures. Under “ War Department” are included the salaries and contingent expenses of the department proper and all military activities involved in recruiting, training officers and men at schools and training camps, maintenance and operation of armed forces, and provisions for war equipment and stores, which comprehend the purcHase, operarion, maintenance, or construction, as the case may be, of fortifications, ordnance, ammunition, and other military equipment and supplies. Under the “ Navy Department” are included the salaries and contingent expenses of the department proper, and all naval and military activities involved in the maintenance, equipment, and training of regular forces, the militia and other reserve forces as indicated in the preceding paragraph, inclusive of the cost of operation, mainte nance, construction, or purchase of vessels, ordnance, ammunition, and of plants and materials for the manufacture of supplies and equipment for use by the Navy. Special war agencies.— Under this caption are included the war agencies organized in 1917 as a result of the World War. Military pensions, annuities, World War allowances, and life-insurance claims.— Under this group are included all payments to persons by way of accruals or fixed charges made as compensation for past military services to the Government, including pensions on account of disability or death due to military service, pensions on account of services, allowances on account of military and naval services in the World War, losses on Government life-insurance policies, and salaries and expenses of the United States Veterans’ Bureau; also the salaries and expenses of the Pen sion Office of the Interior Department exclusive of the administration of the act retiring civil-service employees. Foreign relations and protection of American interests abroad.— Under this general title of civil functions are included the activities of the State Department in the conduct of relations with foreign governments, local representation abroad, cooperation for settlement of international controversies, and the promotion of friendly intercourse with foreign peoples. General law enforcement.— Under this general title are included the activities having to do with the enforcement of the general laws and the administration and enforcement of special acts like the national prohibition act, the nar cotic act, and the investigation and prosecution of war-con tract frauds. Provision for control of currency and banking.— Under this function are included the expenses incurred in connec tion with the regulation ot currency and of banking through the office of the Comptroller of the Currency and publicdebt service; the Federal Reserve Board; the Federal Farm Loan Bureau; and the expenditures made by the Bureau of the Mint and mint and assay offices in the maintenance of a money standard. Administration of Indian affairs.— Under this caption are grouped the expenditures of the National Government in the care and education of the Indian wards of the Nation. Administration of public domain.— Under this general title are included the activities of the Government having to do with the care and utilization of public lands and the care and utilization of the national forests. Promotion and regulation of commerce and industry.—Under this general title are included those activities of the several departments and independent establishments having to do with the promotion and regulation of commerce and industry. Promotion, regulation, and operation of marine transportation.— Under this general title are included the activities having to do with the preparation of charts and sailing directions, the supplying of public facilities for navigation, the provision for a merchant marine, and the rescue and relief of seamen and passengers, including the activities of the United States Shipping Board and Merchant Fleet Corporation and the Coast Guard Service. Promotion and regulation of land transportation.— Under this general title are included those activities of the Government having to do with the promotion and regulation of land transportation, including the Federal control of transportation systems exercised during the World War, and the payments and advances made by the Govern ment since the termination of Federal control in the form of guaranties as provided by the transportation act of 1920. Postal Service.— Under this general title are included the deficiencies in postal revenues paid from the Treasury. DESCRIPTION OF GOVERNMENTAL FUNCTIONS a5 Promotion and regulation of agriculture.— Under this function are grouped the activities of the Department of Agriculture in the promotion of agriculture and game preservation and the expenses incurred through the State Department in the support of the International Institute of Agriculture at Rome, Italy. Promotion and regulation of fisheries.— Under this function are grouped those activities of the Department of Commerce in the propagation and distribution of food fishes, the protection of Alaska seal and salmon fisheries in Alaska, and other like activities. Promotion of labor interests.— Under this particular function are grouped the activities of the independent estab lishments and the Department of Labor having to do with the compilation of labor laws and statistics, the investi gation of labor questions, the improvement in housing conditions, the establishment of employment agencies, the payments made by the United States Employees’ Compensation Commission to Government employees from the compensation fund, and other like activities. Immigration and naturalization.— Under this general title are included the expenses involved in regulating immigra tion, preventing importation of contract labor, the enforcement of laws against alien anarchists, deportation of aliens, care of interned aliens, and the regulation of naturalization. Promotion of public health.— Under this general title are included those activities having to do with the promo tion and protection of public health, exclusive of the Medical Corps of the Army, the Bureau of Medicine and Sur gery of the Navy Department, the medical corps of institutions for the care of aged and sick soldiers and sailors, and like expenditures of the Veterans’ Bureau, all of which are reported under military functions. Promotion of public education.— Under this general caption are included those activities of the several depart ments and independent establishments having to do with the promotion of public education and all activities of the Federal Board for Vocational Education. Science and research.—Under this general title are included the activities of the Government having to do with the investigation and publication of knowledge gained and verified by exact observation; the reporting of results of investigations that have been worked out and systematized concerning some subject or group of subjects of ascer tained facts, and the principles covering or attempting to give adequate expression to a great natural group or division of knowledge. In addition, it also includes those research activities conducted for the purpose of adding to human knowledge, such as investigations of some phenomenon or series of phenomena by experimental methods to discover facts or to coordinate them as laws. Public works.— Under this general heading are included the capital expenditures of the Government in constructing public works within and without the District of Columbia other than those outlays for plant facilities and additions which, being essential to the proper performance of specific activities, are included under their respective functions. This function is subdivided to segregate the expenditures under the captions o f: 1. General supervision, design, and overhead; 2. Public improvements; and 3. Government plant additions. The first subdivision represents the general expenses incurred in designing and supervising the construction of public improvements and plant additions. The second subdivision comprises the capital outlays made by the Government in the construction of public works, such as the Panama Canal, rivers and harbors, and flood-control structures, railroad construction in Alaska, construction of irrigation systems by the Reclamation Service, public roads and rural post roads, hospital con struction and hospital facilities for war patients, and like capital expenditures. The third subdivision comprises those structures which are constructed or additions made thereto which are built primarily to house the personnel of the Government and to provide proper facilities for the efficient operation of governmental activities. It includes the cost of construction and cost of improvements only, the operation and maintenance expense being reported under “ Public buildings service.” The structures comprehended within this group are those purchased or built under the direction of the Architect of the Capitol; the acquisition or construction of diplomatic premises and buildings by the State Department; the construction work performed under the Supervising Architect of the Treasury in erecting public buildings in Wash ington, customhouses, courthouses, and post offices, and like structures. Revenue-producing enterprises.— Under this general title are included the operations of the Government which are (or it is assumed will become) self-supporting. The only activities included in this group at the present time are the operation of the Center Market, District of Columbia, by the Department of Agriculture, and the maintenance and operation of the Panama Canal and of the Alaska Railroad. Local government.— Under this function are included the expenditures of the local government in the District of Columbia and the Territories of Alaska, Hawaii, and other insular possessions and such aid as is given to State govern ments by the National Government in the form of subventions, exclusive of specific grants for education, public health, construction of rural post roads, etc. Relief expenditures.— Under this general title are grouped those expenditures of the Government made in giving relief to American citizens abroad, contributions toward the maintenance of foreign hospitals which admit citizens of the United States, and other like welfare operations, both foreign and domestic, such as those conducted to alleviate the distress and suffering in foreign countries. Refunds, losses, contingencies, and miscellaneous.—Under this general title of nonfunctional expenditures are grouped the expenditures made by the Government in repayment or refund of the whole or part of an amount or amounts previously received in payment of indebtedness to the United States, losses and contingencies, such as charges on bullion sold, recoinage of gold, silver, and minor coins, and other bullion and coinage losses, and miscellaneous expenses incurred by the Government in connection with tercentenary and other celebrations. a 6 THE BUDGET, 1931 Investments.— Under this general title of nonfunctional expenditures are grouped those expenditures made by the Government in the purchase of notes, bonds, and other choses in action; loans to foreign governments; and loans to railroads, exclusive of advances to carriers and the American Express Co., under section 209 of the transportation act of 1920, which are reported under “ Promotion and regulation of land transportation,” C-8. Fixed debt charges.— Under this general heading are grouped the expenditures made from ordinary receipts in the redemption and purchase of outstanding bonded indebtedness and payments to the sinking fund. It also includes the amount of interest paid on the public debt, all of which is payable from ordinary receipts. It excludes refunding operations and additional redemptions paid from surplus and balances. Trust funds.— Under this general heading are grouped all expenditures made by the Government (including District of Columbia trust funds) in the nature of repayments of amounts not subject to demand or claim by the United States. It is the repayment of those moneys received by the Government in trust for private purposes and over which it exercises the responsibility of custodian rather than owner. DESCRIPTION OF BUDGET STATEMENTS The Budget statements given herein supply data regarding the income and outgo of the Government, actual and prospective, during the last completed fiscal year, the year in progress, and the ensuing fiscal year. They also give financial data showing (1) the financial condition of the Treasury at the end of the last completed fiscal year (balance sheets), (2) the means by which such condition was reached (operating statements), and (3) the publicdebt transactions and the condition at the close of business June 30, 1929. Statement No. 1 is the master or key statement of the Budget. This statement, it will be seen, shows not merely the balance in the general fund at the end of the two last completed years, the estimated surplus that will exist at the end of the year in progress, and the estimated balance at the end of the ensuing fiscal year if the financial proposals contained in the Budget are adopted, but the means by which this balance has been and will be reached. It shows, in a word, the revenues and expenditures of .the Government, past and prospective, for these years and exhibits the effect of these amounts in increasing or decreasing the available balance of the general fund. In considering the showing, past and prospective, it should be noted that payments in respect to the reduction of the public-debt figure among the general-fund expenditures of the Government. The total amount of debt redemp tions included among the general-fund expenditures during the fiscal year ending June 30, 1929, amounted to $673,204,717.33, of which $549,603,703.75 was required by existing law to be made from ordinary receipts, and the remainder, $123,601,013.58, represents the amount of general fund applied to the redemption of debt in addition to that now required by law to be made from ordinary receipts. The estimated surplus of $225,581,534 for the fiscal year 1930 is reached after deducting the sum of $630,365,600 for the reduction of public debt now required by existing law to be made from ordinary receipts. Taking this item into account, it shows that the ordinary revenue exceeds all other estimated ordinary expenditures by $855,947,134, or an estimated improvement in the financial condition of the Government of this amount for the fiscal year ending June 30, 1930. The estimated surplus of receipts of $122,788,966 for the fiscal year 1931 has been decreased by the inclusion of $635,324,000 for debt redemptions out of ordinary receipts. Adding these redemptions to the estimated surplus of receipts reported in Statement No. 1 indicates an improvement of the financial condition of the Government of $758,112,966 for the fiscal year ending June 30, 1931. Statement No. 2 supports Statement No. 1 and supplies the details of the expenditures made for 1929, compared with the estimates for 1930, and the proposals for 1931, by main branches or administrative divisions of the Govern ment. Statement No. 3 is a detailed statement showing the agencies collecting Government revenue by sources. It supplies the actual revenue items collected in 1929 and estimates of the revenue items to be collected by the several departments and other organization units during the fiscal years 1930 and 1931. Statement No. 4 is a detailed statement of receipts, summarizing the items in Statement No. 3 by sources under organization units. In Statement No. 5 the expenditures are classified according to character rather than by organization units, as is done in Statements 1 and 2. It will thus be noted that a distinction is made between those expenditures which are for the current operations of the Government, those that are of a nonadministrative character, those for construction work, including national-defense structures, and other expenditures. The importance of the distinctions here made may be seen from the fact that though the expenditure program for 1931 calls for a total expenditure of $4,102,938,700, only $1,096,468,000 is for the current operations of the Government. The latter sum, it will be seen, is $10,831,300 more than the corresponding item for the year in progress, 1930. Nonadministrative expenses, including such items as interest on the public debt, pensions, etc., call for the expenditure of no less than $1,469,400,400 in 1931. Statement No. 6 also supports Statement No. 1 and supplies details of the sources of revenue of the Government. It sets out in detail the sources from which the income of the Government was derived in 1929 and is expected to be derived in 1930 and 1931. Statement No. 7 has to do with the operations of the Post Office Department and Postal Service, payable from postal revenues. Beginning with the fiscal year 1923, the departmental expenditures of the Post Office Department at Washington are also financed from the postal receipts. This statement shows the results of the operations, which for 1929, 1930, and 1931, show a deficit, and gives in detail the expenditures made and to be made out of the postal revenues. The deficiency in postal revenues, it will be noted, is carried in Statement No. 1 and represents the amount of money which will need to be advanced from the general fund to meet the program recommended in the Budget for the Postal Establishment. Statements Nos. 8 and 9 give a summary of the complete operations on accrual basis of the Panama Canal and Shipping Board Merchant Fleet Corporation, respectively, showing the relationship of the purely governmental transactions of these agencies to their total transactions. Statement No. 10 shows the transactions in various accounts, funds, and authorizations for the fiscal years concerned. a7 a 8 THE BUDGET, 1931 Statement No. 11 summarizes the estimates of appropriations by governmental functions for the fiscal year 1931 and the appropriations made for the fiscal year 1930. This statement sets forth the general end or purposes to be accomplished by the expenditure of the appropriations recommended for 1931, compared with the appropriations which have already been made for the fiscal year 1930. The classification given on this statement presents first the general functions of the Government. This corresponds closely to the main organs of the Government established by the Constitution. The general functions have been divided into (a) legislative, (b) judicial, (c) executive, and (d) general administration. The specific functions are segregated to distinguish the expenditures for military and distinctly war purposes from expenditures for civil services; therefore the segregation made in this statement divides the specific functions into (a) military functions, (b) civil functions, and (c) nonfunctional operations. This statement not only gives the amount of money recommended for appropriation for the fiscal year ending June 30, 1931, compared with the actual appropriations already made by Congress for the fiscal year 1930, but it also shows the percentages of the amounts allocated to the different purposes. This statement will be found interesting and informative, showing as it does the approximate amounts devoted to important Government activities and interests. It will be found that a total of $128,082,858.98 is carried for general functions, which include the legislative, judicial, executive, and the general administrative operations of the Government which can not be allocated to specific civil functions. The sum of $1,366,647,531 is provided for military functions, which includes military pensions, retirement pay, annuities, World War allowances, and national defense. The amount recommended for national defense is divided intro two classes: Army, $308,744,101; Navy, $339,767,199. The amount provided in the Budget for military pensions and allowances includes $215,667,400 for pensions, $417,925,000 for World War allowances, and $1,226,210 for retirement pay of the Coast Guard. The amount recommended for civil functions totals $630,782,101.88. Under this general function $16,731,865.60 is allowed for foreign relations and protection of American interests abroad; $48,909,854 for general law enforcement, which includes activities having to do with the enforcement of general laws and the administration and enforcement of special acts like the national prohibition act and the narcotic act; $8,663,499 for the control of currency and banking; $20,598,029.74 for the administration of Indian affairs; $35,528,139 for the administration of public domain, which includes those activities of the Government having to do with the care and utilization of public lands and the care and utilization of national forests; $25,307,821 for the promotion and regulation of commerce and industry, which includes the activities of the Tariff Commission, the Federal Trade Commission, the Patent Office, and those activities of the Departments of Agriculture and Commerce having to do with the promotion and regulation of commerce and industry; $36,549,757.50 for the promotion, regulation, and operation of marine transportation, which includes $6,396,000 for the Shipping Board and Merchant Fleet Corporation; $10,330,763 for the promotion and regulation of land transporta tion; $51,530,236 for the promotion and regulation of agriculture; $2,225,060 for the promotion and regulation of fish eries; $6,000,170 for the promotion of labor interests; $10,178,930 for immigration and naturalization; $20,656,661.74 for promotion of public health; $12,459,605 for promotion of public education; $22,804,468.30 for science and research; $54,033,806 for local government, including the District of Columbia. For public works under civil functions, $237,176,161 is carried, which includes $98,972,600 for rivers and harbors, flood control, and items of similar character; $84,500,000 for roads; $8,346,000 for Reclamation Service; $1,000,000 for railroads in Alaska; and $44,357,561 for other public improvements and Government plant additions. Under nonfunctional appropriations is carried a total of $1,626,432,740, which includes $164,044,500 for refunds, losses, contingencies, and miscellaneous; $635,324,000 for public-debt retirements payable from ordinary receipts; $619,000,000 for interest on the public debt; and $230,700,200 for disbursement and investment of certain trust funds. Statement No. 12 summarizes the estimates of appropriations by character and objects of expenditure for the fiscal year 1931 and the appropriations made for the fiscal year 1930. It makes a distinction between those appro priations already made and herein recommended for (a) current expenses, (b) fixed charges, (c) acquisition of property, {d) payment of debt, and (e) payments for rights and obligations. Statement No. 13 shows the expenditures of the Government, exclusive of the Postal Service, for the fiscal years 1926 to 1929, inclusive, under the same classification as appears in Statement No. 12. Statement No. 14 gives similar data to that presented by Statement No. 12. It is a summary of expenditures classified by governmental functions for the fiscal year 1931 compared with prior years. It not only gives the amount of money spent but that which it is estimated will be spent during the current fiscal year and the ensuing fiscal year. It also furnishes the percentages allocated to the different functions of the Government. The expenditures given for the fiscal year 1929 are on the basis of checks drawn and charged to appropriation accounts, authorizing with drawal of cash from the Treasury as reported by the Secretary of the Treasury in the “ Combined statement of receipts and disbursements, balances, etc., of the United States,” brought to the actual cash expenditure by an adjustment figure. Statement No. 15 gives the appropriations recommended and appropriations made by Congress during the fiscal year 1930, compared with the fiscal year 1929, classified by organization units, including those appropriations made by Congress for which no estimates were submitted by the Chief Executive. Statement No. 16 summarizes the estimates of appropriations for the fiscal year 1931 and appropriations for 1930. It shows the amounts and percentages applied to current operations of the Government by Government departments and offices. DESCRIPTION OF BUDGET STATEMENTS a9 Statement No. 17 exhibits the appropriations made for the years 1930 and 1929. Statement No. 18 gives the amount of annual, permanent, or other appropriations, including balances of appro priations for prior fiscal years, available for expenditure during the fiscal year in progress, 1930, as of November 1, 1929. This statement shows the total amount available for expenditure during the fiscal year 1930 to that date. Statement No. 19 is a consolidated current balance sheet; that is, it consolidates the general fund, which includes all other expendable funds, with the loan funds. Statement No. 20 is a statement of operations of the general fund showing how the condition reported in the general-fund balance sheet was reached. Statement No. 21 is a statement of operations of the public-debt (loan) funds for the fiscal year ending June 30, 1929. It shows the receipts and expenditures of the loan funds for that year. Statement No. 22 is a consolidated statement of operations showing how the condition reported in Statement No. 19 was reached. Statement No. 23 is a summary statement of outstanding debt at the close of business June 30, 1929, compared with June 30, 1928, and June 30, 1916, on the basis of revised figures reported in the “ Statement of the public debt of the United States.” It shows that the gross outstanding debt on June 30, 1916, was $1,225,145,567.53 and that the gross debt as of June 30, 1928, was $17,604,290,562.93, while the gross debt outstanding on June 30, 1929, was $16,931,197,747.60. It will be noted that the gross debt was reduced over $650,000,000 in the fiscal year 1929. Statement No. 24 is a detailed statement of outstanding debt at the close of business June 30, 1929, compared with June 30, 1928, and June 30, 1916. It supports Statement No. 23. Statement No. 25 exhibits the securities owned by the United States Government on June 30, 1929, with a memorandum as to capital stock of various corporations. Statements Nos. 26, 27, and 28 report information regarding the sinking-fund operations for the fiscal year 1929 and the estimated operations for the fiscal years 1930 and 1931, respectively. Statement No. 29 supplies information as to the proposed borrowings from the public for redemptions and pur chases of public-debt issues during the fiscal year 1931, compared with those expected to be made in 1930 and the actual borrowings and redemptions which were made during the fiscal year 1929, exclusive of those certificates of indebtedness which are issued and redeemed within the same fiscal year. Statement No. 30 summarizes and compares by classification services and grades for the fiscal years 1931, 1930, and 1929, the average number of employees, the average salary rates, and the total salaries of the personnel of the executive departments and independent establishments in the District of Columbia classified under the act of March 4, 1923, as amended. Statement No. 31 summarizes and compares by departments and independent establishments, for the fiscal years 1931, 1930, and 1929, the average number of employees, the average salary rates, and the total salaries of the personnel in the District of Columbia classified under the act of March 4, 1923, as amended. BUDGET STATEMENTS B udget Statem ent N o. 1 Balanced statement of (1) the condition of the Treasury at the end of the fiscal years 1929 and 1928; (2) the estimated con dition of the Treasury at the end of the fiscal year in progress, 1930; and (3) the estimated condition of the Treasury at the end of the ensuing fiscal year, 1931, if the financial proposals contained in the Budget are adopted Reference to statement Estimated, 1931 No. Estimated, 1930 Actual, 1929 1 Actual, 1928 1 Page a 16 a 16 a 17 a 17 a 17 a 17 a 18 a 18 a 18 a 18 a 18 a 18 a 18 a 18 a 18 a 18 a 18 a 18 a 18 a 18 a 19 a 19 |a 19 [a 19 a 19 a 19 a 19 a 19 a 19 Expenditures: I. Ordinary expenditures— (ia) General expenditures— Legislative establishment______________ Executive Office and independent estab lishments— Executive Office_____________________ United States Veterans’ Bureau_____ Other independent offices and commis sions— Alaska relief fu n d ___________________ Alien Property Custodian__________ American Battle M onuments Com m ission___________________________ Arlington Memorial Bridge Commis sion_______________________________ Board of M ediation________________ Board of Tax A ppeals______________ Bureau of Efficiency________________ Civil Service Com m ission__________ Commission of Fine A rts___________ Em ployees’ Com pensation Commis sion_______________________________ Federal Board for Vocational Educa tion _______________________________ Federal Farm B oard________________ Federal Oil Conservation B oard____ Federal Power Com m ission_________ Federal Radio Com m ission_________ Federal Reserve B oard_____________ Federal Trade Com m ission_________ General Accounting Office__________ George Rogers Clark Sesquicentennial Com m ission_________________ George W ashington Bicentennial Com m ission______________________ Housing Corporation_______________ Interstate Commerce Commission _ _ M ount Rushmore National M e morial Com mission______________ National Advisory Com m ittee for Aeronautics______________________ Personnel Classification B oard_____ Porto Rican Hurricane Relief Com mission___________________________ Protecting interests of the United States in leases on oil lands______ Public Buildings and Public Parks of the National Capital_____________ Public Buildings Commission_______ Smithsonian Institution and Na tional Museum___________________ Tariff Commission__________________ United States Geographic Board___ United States Supreme Court Build ing Commission__________________ Miscellaneous items________________ $28, 879, 500. 00 $21, 702, 000. 00 $17, 546, 655. 67 $16, 402, 048. 28 410, 700. 00 445, 325, 000. 00 476, 100. 00 434, 451, 500. 00 487, 250. 03 417, 280, 404. 40 589, 497. 19 401, 324, 833. 17 15, 000. 00 15, 000. 00 13, 118. 93 1, 561. 81 18, 625. 22 34, 508. 12 975, 000. 00 2, 400, 000. 00 772, 202. 27 117, 218. 83 990, 245, 683, 219, 1, 354, 9, 000. 000. 100. 000. 000. 000. 00 00 00 00 00 00 3, 332, 245, 707, 219, 1, 398, 9, 000. 000. 600. 000. 700. 000. 00 00 00 00 00 00 2, 368, 243, 698, 214, 1, 244, 7, 501. 343. 730. 883. 639. 695. 86 00 38 12 86 69 2, 266, 275, 663, 216, 1, 150, 7, 406. 828. 585. 311. 852. 195. 82 07 42 31 65 04 4, 230, 000. 00 4, 115, 000. 00 4, 050, 055. 45 3, 642, 577. 97 8, 300, 500. 00 1, 900, 000. 00 8, 544, 500. 00 1, 452, 000. 00 15, 000 00 180, 000 00 164, 000. 00 2, 605, 000. 00 1, 230, 000 00 4, 145, 600. 00 7, 763, 224. 70 7, 610, 930. 57 9, 132, 266, 2, 905, 1, 166, 4, 131, 48, 54, 2, 050, 984, 3, 952, 20, 000. 00 184, 168, 2, 560, 1, 425, 4, 181, 900. 000. 300. 000. 000. 00 00 00 00 00 . . . 846. 362. 818. 479. 582. 403. 39 19 48 71 44 83 470. 036. 974. 490. 989. 95 88 27 54 54 199, 900. 00 54. 07 295, 000. 00 9, 100, 000. 00 9, 600. 00 303, 800. 00 8, 300, 000. 00 7, 382. 06 477, 451. 13 7, 832, 513. 64 12, 044. 69 477, 348. 65 7, 147, 548. 71 60, 000. 00 100 , 000 . 00 1, 440, 800. 00 1, 372, 200. 00 607, 123. 15 73, 318. 64 535, 548. 78 1, 541, 600. 00 5, 783, 300. 00 265, 714. 49 25, 000. 00 100, 000. 00 39, 935. 30 76, 930. 59 3, 566, 000. 00 57, 100. 00 2, 913, 600. 00 57, 800. 00 2, 935, 728. 04 38, 441. 89 2, 446, 064. 92 65, 420. 39 1, 202, 000. 00 1, 107, 000. 00 808, 500. 00 9, 000. 00 1, 147, 983. 72 762, 458. 54 4, 499. 54 937, 401. 23 646, 298. 78 4, 052. 52 14, 300. 00 25, 000. 00 297, 914. 64 32, 562. 17 820, 000. 00 14, 000. 00 1 On bases of daily Treasury statements June 30, 1928 and 1929. -13 a !4 THE BUDGET, 1931 No. 1.— Balanced statement oj (1) the condition oj the Treasury at the end of the fiscal years 1929 and 1928; (2) the esti mated condition oj the Treasury at the end oj the fiscal year in progress, 1930; and (3) the estimated condition oj the Treasury at the end oj the ensuing fiscal year, 1931, ij the financial proposals contained in the Budget are adopted— Continued Reference to statement Estimated, 1931 No. Actual, 1929 Estimated, 1930 Actual, 1928 Page Expenditures— Continued. I. Ordinary expenditures— Continued. (a) General expenditures— Continued. Executive Office and independent estab lishments— Continued. Adjustment between cash expendi tures and checks issued__________ Total other independent offices and commissions____________ a 19 a 21 a 23 a 25 a 26 a 26 a 28 a 29 a 30 a 33 a 37 a 31 a 31 a 32 a 28 a 36 a 19 a 19 a! 9 a 17 a 18 a 17 a 24 a 17 a 37 a 29 a 19 Total Executive Office and in dependent establishments___ Department of Agriculture______________ Department of Commerce______________ Interior Department____________________ Department of Justice__________________ Department of Labor___________________ Navy Department______________________ Post Office Department_________________ (For deficiency in postal revenues, see below.) State Department_______________________ Treasury Department___________________ (For refund of receipts, see below.) War Department________________________ (For Panama Canal, see below.) District of Columbia____________________ $45, 581, 300. 00 $51, 856, 400. 00 491, 167, 51, 285, 31, 11, 385, 486, 173, 58, 288, 29, 11, 384, 317, 068, 184, 810, 752, 997, 000, 000. 600. 000. 000. 000. 400. 000. 00 00 00 00 00 00 00 784, 796, 478, 759, 014, 269, 900, 000. 300. 600. 700. 500. 300. 000. 00 00 00 00 00 00 00 2 $197, 249. 33 $205, 238. 82 40, 308, 719. 63 35, 681, 462. 45 458, 171, 39, 301, 28, 11, 364, 43, 076, 147, 987, 122, 891, 311, 561, 090, 374. 262. 346. 596. 620. 190. 543. 870. 06 58 45 27 32 36 99 27 437, 159, 34, 298, 27, 9, 331, 595, 914, 383, 999, 600, 821, 335, 276, 792. 696. 165. 534. 254. 480. 491. 692. 81 27 32 09 81 97 98 81 15, 821, 300. 00 209, 301, 500. 00 13, 411, 400. 00 239, 340, 900. 00 13, 284, 510. 33 200, 447, 224. 41 11, 607, 071. 23 195, 648, 941. 27 439, 215, 900. 00 443, 153, 000. 00 416, 901, 546. 42 390, 540, 803. 49 45, 415, 000. 00 43, 811, 200. 00 40, 116, 586. 38 39, 399, 622. 44 Adjustment of unclassified items. 2, 106, 485, 327. 51 17, 803. 40 1, 953, 525, 595. 77 198, 554. 39 Total general expenditures____ 2, 162, 762, 200. 00 2, 194, 420, 900. 00 2, 106, 503, 130. 91 1, 953, 327, 041. 38 (b) Interest on public debt________________ (c) Customs refunds______________________ (d) Internal-revenue refunds______________ (e) Postal deficiency______________________ (/) Panama Canal________________________ (9) Railroads______________________________ (h) War Finance Corporation_____________ tt) Merchant Fleet Corporation and Ship ping Board__________________________ O') Alien property funds__________________ (*) Agricultural marketing, loan fund____ (.1) Adjusted service certificate fund______ (m) Civil service retirement fund__________ (to) Government life insurance____________ (O) District of Columbia teachers’ retire ment________________________________ ip) Foreign Service retirement____________ (9) General railroad contingent___________ 619, 21, 141, 78, 11, 1, 000, 009, 511, 500, 845, 790, 2 50, 000. 500. 000. 000. 000. 000. 000. 00 00 00 00 00 00 00 59, 417, 000. 00 2 500, 000. 00 200, 000, 000. 00 111, 775, 000. 00 20, 850, 000. 00 37, 830, 000. 00 585, 000. 00 290, 000. 00 1, 000 , 000 . 00 Total ordinary expenditures___ 3, 467, 614, 700. 00 II. Public-debt retirements required to be paid from ordinary receipts— a 32 (a) Sinking fund_________ _________________ a 32 (b) Purchases and retirements from foreign repayments__________________________ a 32 (c) Received from foreign governments under debt settlements_____________ a 32 (d) Received for estate taxes______________ 2Deduct—excess of credits. 656, 21, 151, 84, 000, 009, 541, 000, 000. 500. 000. 000. 00 00 00 00 10, 111, 000. 00 2 7, 925, 800. 00 2 50, 000. 00 30, 447, 2 500, 75, 000, 111, 775, 20, 500, 45, 110, 700. 000. 000. 000. 000. 000. 678, 330, 21, 826, 190, 727, 94, 699, 9, 045, 2 1, 857, 2 611, 399. 435. 887. 744. 647. 633. 414. 50 69 12 06 29 06 95 731, 764, 476. 21, 856, 901. 148, 286, 060. 32, 080. 202. 10, 448, 879. 2 619, 721. 2 3, 813, 040. 30 13 13 46 83 67 77 00 00 00 00 00 00 15, 889, 059. 12 2 1, 345, 327. 26 34, 881, 713. 16 2 351, 151. 52 111, 772, 809. 62 19, 955, 190. 64 52, 160, 111. 83 111, 817, 839. 69 109, 272. 28 61, 701, 568. 44 585, 000. 00 292, 000. 00 1, 000 , 000 . 00 503, 158. 37 282, 444. 12 977, 842, 88 513, 917. 75 80, 938. 85 1, 179, 957. 39 3, 393, 316, 300. 00 3, 298, 859, 485. 88 3, 103, 264, 854. 83 395, 624, 000. 00 389, 191, 500. 00 370, 277, 100. 00 354, 741, 300. 00 1, 800, 000. 00 20, 050, 000. 00 571, 150. 00 19, 068, 000. 00 231, 500, 000. 00 214, 700, 000. 00 54, 100. 00 175, 642, 350. 00 162, 736, 050. 00 1, 500. 00 20, 000. 00 a 15 BUDGET STATEMENTS N o. 1.— Balanced statement of (1) the condition of the Treasury at the end of the fiscal years 1929 and 1928; (2) the esti mated condition of the Treasury at the end of the fiscal year in progress, 1930; and (3) the estimated condition of the Treasury at the end of the ensuing fiscal year, 1931, if the financial proposals contained in the Budget are adopted— Continued Reference to statement No. Estimated, 1931 Estimated, 1930 Actual, 1929 Expenditures— Continued. II. Public-debt retirements required to be paid from ordinary receipts— Con. (c) Purchases and retirements from fran chise tax receipts (Federal reserve and Federal intermediate credit banks)______________________________ (/) Forfeitures, gifts, etc__________________ $6, 200, 000. 00 200, 000. 00 $6, 210, 000. 00 160, 000. 00 $2, 933, 400. 00 159, 703. 75 $618, 367. 05 3, 089, 803. 25 Total public debt retirements required to be paid from or dinary receipts______________ 635, 324, 000. 00 630, 365, 600. 00 549, 603, 703. 75 540, 255, 020. 30 Actual, 1928 Page a 32 a 32 T O T A L E X P E N D IT U R E S payable from ordinary receipts. 4, 102, 938, 700. 00 4, 023, 681, 900. 00 3, 848, 463, 189. 63 3, 643, 519, 875. 13 a 56 a 56 a 56 Receipts: Ordinary receipts— (а) Customs_______________________________ Internal revenue— (б) Income tax____________________________ 2, 460, 000, 000. 00 640, 000, 000. 00 (c) Miscellaneous internal revenue_______ Total internal revenue________ a 59 a 56 a 43 a 65 a 65 602, 000, 000. 00 Miscellaneous receipts— Proceeds of Government-owned securi ties— (d) Principal, foreign obligations_____ (e) Interest, foreign obligations______ (/) Railroad securities________________ (g) All other__________________________ (Ji) a 65 (i) a 65 a66 (j) (Jc) Total proceeds of Governmentowned securities_____________ Trust fund receipts (appropriated for investment)________________ Proceeds of sales of surplus prop erty------------------------------------------Panama Canal tolls, etc__________ Other miscellaneous______________ Total miscellaneous receipts. 602, 000, 000. 00 602, 262, 786. 17 568, 986, 188. 50 2, 480, 000, 000. 00 2, 330, 711, 822. 66 2, 173, 952, 556. 73 607, 307, 548. 98 635, 000, 000. 00 621, 018, 665. 64 3, 100, 000, 000. 00 3, 115, 000, 000. 00 2, 938, 019, 371. 64 2, 794, 971, 222. 37 51, 184, 11, 6, 579, 564, 213, 985, 059. 540. 350. 540. 00 00 00 00 97, 141, 4, 6, 614, 935, 708, 699, 913. 095. 600. 275. 00 00 00 00 38, 160, 15, 7, 790, 340, 473, 031, 660. 908. 795. 516. 67 23 82 21 47, 161, 164, 9, 841, 084, 407, 153, 166. 775. 076. 397. 70 99 01 94 254, 342, 489. 00 250, 957, 883. 00 221, 636, 880. 93 382, 486, 416. 64 39, 570, 000. 00 46, 750, 000. 00 53, 641, 113. 08 63, 395, 443. 58 4, 604, 300. 00 28, 060, 600. 00 197, 150, 277. 00 7, 139, 800. 00 28, 218, 660. 00 199, 197, 091. 00 9, 398, 732. 44 28, 046, 704. 23 180, 244, 636. 56 8, 770, 250. 64 28, 141, 474. 61 195, 597, 159. 85 523, 727, 666. 00 532, 263, 434. 00 492, 968, 067. 24 678, 390, 745. 32 T O T A L O R D IN A R Y R E C E I P T S ___________________ 4, 225, 727, 666. 00 4, 249, 263, 434. 00 4, 033, 250, 225. 05 4, 042, 348, 156. 19 Excess of ordinary receipts over expendi tures payable therefrom________________ Balance in general fund at beginning of ■ fiscal year_______________________________ 29 a 113 Balance and excess of ordinary re ceipts over expenditures payable therefrom________________________ Deduct amount of general fund applied or estimated to be applied to redemption of public debt, in addition to sinking fund and redemptions from restricted receipts. Balance in general fund at end of fiscal year for working capital___ 122, 788, 966. 00 225, 581, 534. 00 184, 787, 035. 42 398, 828, 281. 06 265, 526, 980. 63 326, 713, 002. 63 265, 526, 980. 79 234, 057, 409. 85 388, 315, 946. 63 552, 294, 536. 63 450, 314, 016. 21 632, 885, 690. 91 122, 788, 966. 00 286, 767, 556. 00 123, 601, 013. 58 367, 358, 710. 12 265, 526, 980. 63 265, 526, 980. 63 326, 713, 002. 63 265, 526, 980. 79 N o t e .— Estimated figures for 1931 and 1930 in Budget Statement N o . 1, above, are based on existing revenue laws. The Budget contains a recom mendation that taxes be reduced upon incomes for the calendar year 1929. If this recom m endation is adopted it is estimated that during the last half of the fiscal year 1930 and the first half of the fiscal year 1931 there would be a total reduction of approxim ately $160,000,000 in the estimated receipts. a !6 THE BUDGET, 1931 B u d get S ta tem e n t No. 2 Estimated expenditures, fiscal year 1931, compared with prior years D e ta il by C h a ra c te r of E x p e n d itu r e s U nder O r g a n iz a tio n U n its [Supports summary Budget Statement No. 1] Classification I. O R D IN A R Y E X P E N D IT U R E S: 1. L E G I S L A T I V E E S T A B L I S H M E N T — (a) General expenditures— 1. Senate— 1. Salaries and mileage of Senators______ 2. Salaries, officers and employees_______ 3. Contingent expenses____________ _______ 4. Gratuities and miscellaneous___________ Total, Senate_ 2. House of Representatives— 1. Salaries and mileage of Members and Delegates. 2. Salaries of officers and employees________________ 3. Contingent expenses_____________________________ 4. Gratuities and miscellaneous____________________ Total, House of Representatives. 3. Legislative miscellaneous— 1. Capitol police, salaries and contingent.. 2. Joint Committee on Printing___________ 3. Office of Legislative Counsel___________ 4. Statement of appropriations____________ 5. Memorial to women of the World W ar. 6. Expenses of inaugural ceremonies______ 7. Miscellaneous----------------------------------------Total, legislative miscellaneous. Estimated, 1931 Estimated, 1930 $1, Oil, 000. 00 $1, Oil, 000. 00 1, 687, 900. 00 443, 800. 00 40, 000. 00 1, 686, 800. 00 443, 800. 00 50, 000. 00 3, 182, 700. 00 3, 191, 600. 00 2, 876, 299. 18 4, 396, 800. 3, 085, 200. 336, 600. 8, 700. 4, 404, 000. 3, 109, 700. 338, 600. 25, 000. 4, 702, 709. 2, 613, 998. 366, 741. 129, 894. 00 00 00 00 7, 827, 300. 00 91, 11, 75, 4, 400. 600. 000. 000. 00 00 00 00 Total, Library of Congress. 91, 11, 75, 4, 126, 400. 500. 000. 000. 500. 00 00 00 00 00 27 71 81 55 7, 813, 344. 34 77, 713. 27 10, 990. 00 56, 143. 13 8, 000. 00 364, 848. 86 39, 642. 26 1, 370. 50 558, 708. 02 45, 371, 199, 154, 910, 147, 142, 160, 95, 105, 834, 89, 373, 600, 104, 89, 98, 97, 457, 96, 13, 831. 167. 297. 778. 871. 706. 192. 77 44 27 23 17 61 46 71, 76, 36, 188, 5, 920. 920. 417. 077. 000. 18 37 85 12 00 Total, Architect of the Capitol. 6. Library of Congress— 1. Salaries------------------------------------------------------------2. Increase of Library___________________________ 3. Printing and binding_________________________ 4. Contingent and miscellaneous expenses______ 5. Care and maintenance________________________ 6. Contributed funds------------------------------------------7. Interest on bequest of Gertrude M. Hubbard. 8. Trust fund, investment account______________ 9. Special deposit accounts---------------------------------- 7, 877, 300. 00 54 12 94 58 308, 400. 00 30, 000. 00 3, 614, 700. 00 581, 400. 00 Total, Botanic Garden. 00 00 00 00 $1, 093, 760. 1, 317, 415. 442, 836. 22, 286. 182, 000. 00 4. Architect of the Capitol— 1. Salaries_________________________________________ 2. Capitol Building and Grounds_________________ 3. Senate Office Building, maintenance___________ 4. House Office Building, maintenance____________ 5. Capitol power plant____________________________ 6. Library Building and grounds__________________ 7. Bookstacks, Library Building__________________ 8. Additional land, Library Building_____________ 9. Enlarging and improving the Capitol Grounds. 10. Botanic Garden (site and buildings)___________ 11. Reconstruction, Senate wing___________________ 12. Senate and House ventilation__________________ 13. Purchase of painting, “ Peace” _________________ 14. Senate Office Building, completion------------------15. Site and construction House Office Building___ 16. Supreme Court Building_______________________ 17. Miscellaneous---------------------------------------------------- 5. Botanic Garden— 1. Salaries_______ 2. Improvements. Actual, 1929 1 300. 100. 200. 300. 500. 300. 00 00 00 00 00 00 700. 300. 600. 400. 400. 400. 800. 000. 00 00 00 00 00 00 00 00 823,666766 5, 000. 00 138, 500. 00 2, 730, 300. 00 2, 300, 000. 00 10, 000. 00 1, 275, 000. 00 25, 006. 00 12, 084, 100. 00 4, 653, 100. 00 1, 362, 220. 82 101, 700. 00 71, 000. 00 101, 000. 00 71, 000. 00 94, 801. 87 71, 912. 83 172, 700. 00 172, 000. 00 166, 714. 70 1, 000, 000. 00 ~ 1,034.35 1, 303, 145, 364, 22, 154, 232, 800. 500. 500. 400. 000. 700. 800. 00 00 00 00 00 00 00 2, 223, 700. 00 1, 222, 100, 341, 20, 153, 205, 400. 500. 000. 500. 400. 000. 800. 100, 000 . 00 00 00 00 00 00 00 00 2, 143, 600. 00 i Actual expenditures by checks issued for fiscal year 1929 brought to cash expenditures, as per Treasury statement, by adjustment. 1, 173, 120, 332, 10, 151, 201, 013. 818. 306. 622. 936. 903. 54 64 69 98 11 82 49,’ 942.“ 75 2 31, 623. 86 2, 008, 920. 67 2 Deduct, excess of credits. a !7 BUDGET STATEMENTS N o. 2 .— Estimated expenditures, fiscal year 1931, compared with prior years— Continued D e ta il by C h a ra c te r of E x p e n d itu r e s U nder Classification I. O R D IN A R Y E X P E N D IT U R E S — Continued. 1. L E G I S L A T I V E E S T A B L I S H M E N T — Continued. (a) General expenditures— Continued. 7. Government Printing Office— 1. Public printing and binding _ _ ____ ____________________ 2. Salaries and expenses, office of Superintendent of Docu ments- __________ _____ _____________ __ _ __ _____ 3. Special deposit accounts._ _ _ ____ __________ _______ Total, Government Printing Office __ _________________ Adiustment between cash expenditures and checks issued________ U n its— Continued E stim ated, 1931 E stim ated, 1930 $2, 450, 000. 00 $2, 650, 000. 00 $2, 597, 754. 22 757, 000. 00 706, 000. 00 622, 675. 14 1 140, 921. 78 3, 207, 000. 00 3, 356, 000. 00 3, 079, 507. 58 A ctu al, 1929 17, 865, 715. 31 319, 059. 64 _ Total, legislative establishment, general expenditures (a) _ 2. E X E C U T IV E O F F IC E A N D IN D E P E N D E N T E S T A B L IS H M E N T S — 1. Executive Office— (a) General expenditures— 1. Salary of the President ___ _ ____________ 2. Salary of the Vice President __ _ ______ 3. Salaries and expenses, Executive Office _ __ ___ 4. Printing and binding _ _____ __ 5. Traveling expenses of the President _ _ ____________ 6. Maintenance, Executive Mansion and grounds___ ____ __ 7. White House police _ _ _ _ _ _ _ _ _ 8. Extraordinary repairs, reconstructing roof, etc., Executive Mansion, _ _ ___ _________ __ 9. Purchase of portrait of President Coolidge _______ __ Adiustment and checks issued J V V between v-/V-/A* cashA expenditures V JT O r g a n iz a tio n 28, 879, 500. 00 75, 15, 165, 2, 23, 130, 000. 000. 000. 700. 000. 000. 21, 702, 000. 00 00 00 00 00 00 00 75, 15, 157, 2, 23, 110, 85, (2) 000. 000. 300. 700. 000. 000. 400. 17, 546, 655. 67 00 00 00 00 00 00 00 75, 15, 137, 2, 28, 126, 86, 2, 700. 00 5, 000. 00 2. United States Veterans’ Bureau— (a) General expenditures— 1. Salaries and expenses_______ __ _________________ __ _ 2. Printing and binding _ __ ______ ____ _____ _____ 3. Nonadministrative expenses— 1. Militarv and naval compensation _ 2. Medical and hospital services. _ _ _ _ _ 3. Military and naval insurance 4. Military and naval insurance— special fund 5. Hospital facilities and services 6. Losses on converted insurance— Government life insur ance fund _ __ _ _ _ _ _ _ 7. Adjusted service and dependent pay __ _ _ __ _ 8. Loans to policyholders— Government life-insurance fund9. Miscellaneous items _ _ _ 10. Special deposit accounts ___ Total, nonadministrative expenses 488, 972. 27 1, 722. 24 410, 700. 00 476, 100. 00 487, 250. 03 45, 500, 000. 00 125, 000. 00 43, 350, 000. 00 127, 500. 00 40, 655, 063. 56 128, 397. 09 196, 000, 000. 00 35, 500, 000. 00 120, 000, 000. 00 5, 000, 000. 00 194, 31, 120, 1, 6, 450, 475, 250, 000, 000, 000. 000. 000. 000. 000. 00 00 00 00 00 189, 29, 115, 5, 4, 000, 345, 693, 675, 044, 640. 422. 798. 401. 349. 49 85 19 14 46 20, 700, 000. 00 2, 500, 000. 00 20, 000, 000. 00 17, 400, 000. 00 3, 899, 000. 00 16, 500, 000. 00 14, 355, 781. 39 6, 456, 440. 40 13, 305, 540. 56 67, 953. 26 1 579, 226. 99 399, 700, 000. 00 390, 974, 000. 00 377, 366, 100. 75 418, 149, 561. 40 869, 157. 00 Adjustment between cash expenditures and checks issued_____ Total, United States Veterans’ Bureau, (a) general expenditures _ __ 00 00 76 88 25 58 82 18, 043. 98 ____ ------- Total, Executive Office, general expenditures (a) 000. 000. 003. 610. 705. 547. 060. 445, 325, 000. 00 434, 451, 500. 00 417, 280, 404. 40 111, 775, 000. 00 37, 830, 000. 00 111, 775, 000. 00 45, 110, 000. 00 111, 772, 809. 62 52, 160, 111. 83 594, 930, 000. 00 591, 336, 500. 00 581, 213, 325. 85 ____________ 15, 000. 00 15, 000. 00 13, 118. 93 4. Alien Property Custodian— (a) General expenditures. __________________ _ __________________ (J) Alien property funds____ _____ _______ _______ __ _____ _ 1 500, 000. 00 1 500, 000. 00 1, 561. 81 1 1, 345, 327. 26 1 500, 000. 00 1 500, 000. 00 1 1, 343, 765. 45 (I) Adjusted service certificate fund_ _ _ _ __ (n) Investment of Government life insurance fund, _____ __ Total, United States Veterans’ Bureau 3. Alaska relief funds, (a) general expenditures______ Total, Alien Property Custodian_______ | 1 Deduct, excess of credits. _ ___ _________ 2 Included in the Secret Service Division, Treasury Department, for 1931. a THE BUDGET, 1931 18 N o. 2 .— Estimated expenditures, fiscal year 1931, compared with, prior years— Continued D e t a il by C haracter of E x p e n d it u r e s U nder I. O R D IN A R Y E X P E N D IT U R E S— Continued. 2. E X E C U T IV E O F F IC E A N D IN D E P E N D E N T E S T A B L I S H M E N T S — Continue d. 5. American Battle Monuments Commission, (a) general expendi tures- _ _ ______ ____ - _____ __ __________ ______________ _ 6. Arlington Memorial Bridge Commission, (a) general expendi tures _____ ______ ____ __ ____ __ _ ___________ ___________ 7. Board of Mediation, (a) general expenditures. __ ____ _____ 8. Board of Tax Appeals, (a) general expenditures___ __ _ _ _ _ 9. Bureau of Efficiency, (a) general expenditures______________ _ __ 10. Civil Service Commission, (a) general expenditures__ __ __ _ 11. Commission of Fine Arts, (a) general expenditures. _ _ _ _ 12. Employees' Compensation Commission, (a) general expendi tures— 1. Salaries and expenses _ _ _ ____ __ . _ _____ __ ________ 2. Nonadministrative expenses, United States employees’ compensation payments _ _ _ _ _ _ _____ __ _ _ _ 3. Trust funds— 1. Relief and rehabilitation. _ _________ __ __ _ _ _ 2. In v e stm e n t.____ __ ___ ____________ ____________ Total, Employees’ Compensation Commission__ 13. Federal Board for Vocational Education, (a) general expendi tures— 1. Salaries and expenses— 1. Board proper_______ ______ _ _ ______ ____ _______ 2. Rehabilitation of persons disabled in in du stry______ __ 3. Further development of vocational education_________ 4. Cooperative vocational rehabilitation, District of Co lumbia _ _____ __ __________ _______ __________ Total, salaries and expenses_____________ _ ______ 2. Nonadministrative expenses— 1. Cooperative education in agriculture, including Hawaii. 2. Cooperative education, teacher training, including Hawaii __ _ _ _ _ _ __ _ _ _____ 3. Cooperative education in trade and industry, including Hawaii. _ __ __ ___ ___ 4. Rehabilitation of persons disabled in industry, includ ing Hawaii _ _ __ _____ 5. Cooperative vocational education in agriculture _____ 6. Cooperative vocational education in home economics___ Total, nonadministrative expenses. _ __ _ _ Total, Federal Board for Vocational Education __ ___ _ __ Total, general expenditures (a) _ _ (k) Agricultural marketing (revolving loan fund) Total, Federal Farm Board____ 15. 16. 17. 18. 19. 20. 21. U n it s — Estimated, 1931 Classification 14. Federal Farm Board— (a) General expenditures— 1. Salaries* and expenses _____ 2. Cooperative marketing. __ O r g a n iz a t io n _ . i 000. 000. 100. 000. 000. 000. Estimated, 1930 Actual, 1929., $2, 400, 000. 00 $975, 000. 00 990, 245, 683, 219, 1, 354, 9, Continued 00 00 00 00 00 00 3, 332, 245, 707, 219, 1, 398, 9, 000. 000. 600. 000. 700. 000. 00 00 00 00 00 00 501. 343. 730. 883. 639. 695. 86 00 38 12 86 69 470, 000. 00 507, 353. 39 3, 700, 000. 00 3, 600, 000. 00 3, 542, 261. 77 5, 000. 00 15, 000. 00 2, 000. 00 43, 000. 00 440. 29 4, 230, 000. 00 4, 115, 000. 00 4, 050, 055. 45 213, 000. 00 203, 577. 91 77, 868. 57 93, 000. 00 212, 500. 00 79, 000. 00 83, 000. 00 14, 500. 00 10, 000. 00 320, 500. 00 384, 500. 00 281, 446. 48 2, 960, 000. 00 2, 900, 000. 00 2, 835, 680. 93 1, 090, 000. 00 1, 060, 000. 00 1, 022, 790. 68 3, 040, 000. 00 3, 000, 000. 00 2, 942, 439. 5F 700, 000. 00 250, 000. 00 250, 000. 00 680, 867. 10 445, 000. 00 445, 000. 00 7, 980, 000. 00 8, 160, 000. 00 7, 481, 778. 22 8, 300, 500. 00 8, 544, 500. 00 7, 763, 224. 70 1, 500, 000. 00 400, 000. 00 1, 162, 000. 00 290, 000. 00 1, 900, 000. 00 1, 452, 000. 00 _____ 200, 000, 000. 00 75, 000, 000. 00 ___ _ 201, 900, 000. 00 76, 452, 000. 00 Federal Oil Conservation Board, (a) general expenditures______ Federal Power Commission, (a) general expenditures _____ ____ Federal Radio Commission, (a) general expenditures. _________ Federal Reserve Board, (a) general expenditures _ ______ __ Federal Trade Commission, (a) general expenditures______ ____ General Accounting Office, (a) general expenditures. _ __ _ George Rogers Clark Sesquicentennial Commission, (a) general expenditures _ _ _ _ _ _ _ _ _ _ _ _ _ 22. George Washington Bicentennial Commission, (a) general ex penditures___ __ ________ ____ 23. Housing Corporation, (a) general expenditures ________ 2, 368, 243, 698, 214, 1, 244, 7, 510, 000. 00 _ __ $772, 202. 27 20, 184, 168, 2, 560, 1, 425, 4, 181, 000. 900. 000. 300. 000. 000. 15, 180, 164, 2, 605, 1, 230, 4, 145, 00 00 00 00 00 00 295, 000. 00 i 1The amount of $244,273.52 was expended for this purpose in 1929 under the Department of Agriculture. 000. 000. 000. 000. 000. 600. 00 00 00 00 00 00 0) 9, 132, 266, 2, 905, 1, 166, 4, 131, 846. 362. 818. 479. 582. 403. 39 19 48 71 44 83 199, 900. 00 54. 07 9, 600. 00 303, 800. 00 7, 382. 06 477, 451. 13 a 19 BUDGET STATEMENTS N o. 2 .— Estimated expenditures, fiscal year 1931, compared with prior years— Continued D e t a il by C haracter of E x p e n d it u r e s U nder C lassification I. O R D IN A R Y E X P E N D IT U R E S — Continued. 2. E X E C U T I V E O F F I C E A N D IN D E P E N D E N T E S T A B L I S H M E N T S — C on tin u ed. _ ! 24. Interstate Com merce Commission— (a) General expenditures _ _ (g) Railroads— 1. Reimbursement to carriers, sec. 204, transportation act_ 2. Guaranty to carriers, sec. 209, transportation a c t______ ( q ) Investment of general railroad contingent fund _ _ O r g a n iz a t io n U n it s — E stim ated, 1931 E stim ated, 1930 A ctu al, 1929 $9, 100, 000. 00 $8, 300, 000. 00 $7, 832, 513. 64 200, 000. 00 50, 000. 00 1, 000, 000. 00 300, 000. 00 150, 000. 00 1, 000, 000. 00 11, 671. 24 26, 063. 63 977, 842. 88 9, 750, 000. 00 8, 848, 091. 39 10, 350, 000. 00 Total, Interstate Commerce Commission ! .... . - . ................ 25. M ount Rushmore National M emorial Commission, (a) general 1 60, 000. 00 expenditures 26. National Advisory Committee for Aeronautics, ( a ) general ex 1 ; 1, 440, 800. 00 penditures _ _ 27. Personnel Classification Board, (a) general expenditures 28. Porto Rican Hurricane Relief Commission, ( a ) general expendi 1, 541, 600. 00 tures 29. Protecting interests of United States in oil leases and oil lands, (a) 25, 000. 00 general expenditures, 30. Public Buildings and Public Parks of the National Capital— ( a ) General expenditures— 1. Salaries 2. Fuel, lights, repairs, etc Total, Public Buildings and Public Parks of the National Capital _ _ 32. Railroad Administration— (g) Railroads— 1. Judgments, decrees, and awards 2. Net operating expenses 3. Federal control of transportation s y s t e m s ____ Total, Railroad Administration _ 33. Shipping Board and M erchant Fleet Corporation— O') Shipping Board and M erchant Fleet Corporation Statement No. 9 for operations on accrual basis) 100, 000. 00 1, 372, 200. 00 607, 123. 15 73, 318. 64 5, 783, 300. 00 265, 714. 49 100, 000. 00 39, 935. 30 2, 414, 000. 00 1, 152, 000. 00 2, 005, 300. 00 908, 300. 00 2, 009, 377. 60 926, 350. 44 3, 566, 000., 00 2, 913, 600. 00 2, 935, 728. 04 57, 100. 00 57, 800. 00 38, 441. 89 1, 500, 000. 00 40, 000. 00 2, 000. 000. 00 1 10, 375, 800. 00 173, 967. 70 1 1, 107, 928. 38 1 961, 407. 25 1, 540, 000. 00 1 8, 375, 800. 00 1 1, 895, 367. 93 59, 417, 000. 00 30, 447, 700. 00 15, 889, 059. 12 60, 000. 00 1, 142, 000. 00 60, 000. 00 1, 047, 000. 00 74, 504. 38 1, 073, 479. 34 1, 202, 000. 00 1, 107, 000. 00 1, 147, 983. 72 820, 000. 00 14, 000. 00 808, 500. 00 9, 000. 00 762, 458. 54 4, 499. 54 1 50, 000. 00 1 50, 000. 00 25, 000. 00 1 611, 414. 95 14, 300. 00 297, 914. 64 31. Public Buildings Commission, (a) general expenditures. ! " Continued ........ " " (see 34. Smithsonian Institution, (a) general expenditures— 1. Interest from trust fund 2. Governm ent activities in charge of Smithsonian Institution. _ Total, Smithsonian Institution . 35. Tariff Commission, (a) general expenditures 36. United States Geographic Board, (a) general expenditures 37. United States Supreme Court Building Commission, (a) general expenditures _ 38. (h) War Finance Corporation, (a) general expenditures 39. Other independent bureaus and commissions, (a) general expendi tures _ _ _ _ _ _ | Adjustm ent between cash expenditures and checks issued Total, Executive Office and independent establishments Total, all other, general expenditures, independent offices in cluded above 3. D E P A R T M E N T O F A G R IC U L T U R E — (a) General expenditures— 1. Office of the Secretary— 1. Salaries, office of the Secretarv 2. Mechanical shops and power plant 3. Miscellaneous expenses _ 4. Rent of buildings _ _ _ __ _ ! Total, office of the Secretary, 2. Office of inform ation— 1. Salaries and expenses------__ _ __ _ 2 Printing and binding ------------------------------ ------------- -_ ___ j Total, office of information Doduct, excess of credits _ _ 1 635, 259, 071. 57 197, 249. 33 902, 579, 000. 00 741, 640, 900. 00 635, 061, 822. 24 45, 581, 300. 00 51, 856, 400. 00 40, 308, 719. 63 736, 101, 196, 100, 000. 000. 000. 000. 00 00 00 00 726, 100, 147, 202, 000. 000. 000. 000. 00 00 00 00 724, 118, 138, 197, 431. 169. 354. 437. 58 99 86 30 1, 133, 000. 00 1, 175, 000. 00 1, 178, 393. 73 403, 000. 00 922, 000. 00 395, 000. 00 840, 000. 00 395, 414. 95 672, 387. 66 1, 325, 000. 00 1, 235, 000. 00 1, 067, 802. 61 a 20 THE BUDGET, 1931 No. 2 .— Estimated expenditures, fiscal year 1931, compared with prior years—Continued D e ta il by C h a ra c te r of E x p e n d itu r e s U n d e r Classification 4. Office of Experiment Stations— 1. Salaries and expenses. _ 2. State agricultural experiment stations _ _ Total, Office of Experiment Stations 5. Extension service— 1. Salaries and expenses. 2. Cooperative agricultural extension work _ 3. Cooperative farm forestry___ 4. Flood relief 5. Fourth World’s Poultrj^ Congress Grand total, office of the Secretarj^ _ 7. Bureau of Animal Industry— 1. Salaries and expenses._ 2. Indemnities for animals slaughtered _ 3. Meat inspection , 4. Eradication of foot-and-mouth and other diseases $100, 000. 00 $95, 566. 17 412, 000. 00 4, 340, 000. 00 397, 000. 00 4, 335, 000. 00 397, 207. 97 3, 840, 000. 00 4, 752, 000. 00 4, 732, 000. 00 4, 237, 207. 97 1, 663, 000. 00 7, 671, 900. 00 67, 000. 00 1, 610, 000. 7, 661, 900. 62, 000. 91, 000. 18, 000. 1, 589, 700. 7, 150, 974. 53, 430. 305, 311. 10. Forest Service— 1. Salaries and expenses, 2. Forest-fire cooperation. _ 3. Acquisition of lands for protection of watersheds __ 4. Federal forest-road construction. _ 5. Cooperative distribution, forest planting stock __ 6. National Forest Reservation Commission 7. Miscellaneous 8. Special funds— 1. Refunds to depositors, excess of deposits . 2. Payment to States and Territories, national-forest funds 3. Cooperative work, Forest S ervice___ 4. Payment to school funds, Arizona and NewT Mexico national-forest funds _ _ 5. Roads and trails for States, national-forests fund 12. Bureau of Entomology— 1. Salaries and expenses __ 2. Preventing spread of moths 3 Preventing spread of European corn b o r e r ___ 4. Preventing spread of Mexican bean beetle 5 Preventing spread of Japanese and Asiatic beetles 6 Control of Mexican fruit worm — 13. Bureau of Biological Survey— 1. Salaries and expenses__ 2. Upper Mississippi River Game Refuge. . 3. Bear River Migratory Bird Refuge 4. Migratory bird conservation refuge. _ 5. Miscellaneous. _ . Total, Bureau of Biological Survey _ 19 82 73 62 9, 442, 900. 00 9, 099, 417. 36 16, 722, 900. 00 16, 684, 900. 00 15, 678, 387. 84 3, 462, 000. 00 2, 935, 965. 11 4, 780, 000. 00 5, 000, 000. 00 5, 620, 000. 00 100, 000. 00 _ 8. Bureau of Dairy Industry, salaries and expenses 9. Bureau of Plant Industry, salaries and expenses 11. Bureau of Chemistry and Soils, salaries and expenses 00 00 00 00 00 9, 408, 900. 00 15, 500, 000. 00 Total, Forest Service A ctu al, 1929 i Total, Bureau of Animal Industry Total, special funds ! i | $104, 000. 00 4, 076, 000. 00 6. Weather Bureau, salaries and expenses Continued E stim ated, 1930 7, 000. 00 Total, Extension Service i Deduct, excess of credits. U n its— E stim ated, 1931 I. O R D IN A R Y E X P E N D IT U R E S : 3 . D E P A R T M E N T O F A G R I C U L T U R E — Continued, (a) General expenditures— Continued. 3. Library, Department of Agriculture, salaries and expenses Total, Bureau of Entomology O r g a n iz a tio n i 1 i 4, 568, 000. 00 | 5, 000, 000. 00 5, 600, 000. 00 100, 000. 00 8, 100, 079. 85 5, 560, 907. 29 199, 383. 45 13, 860, 370. 59 15, 268, 000. 00 625, 000. 00 5, 285, 000. 00 582, 000. 00 j 4, 937, 000. 00 543, 639. 95 4, 659, 763. 38 12, 830, 000. 00 1, 680, 000. 00 2, 000, 000. 00 7 7 12, 710, 000. 00 1, 380, 000. 00 1 1, 900, 000. 00 10, 158, 482. 09 1, 384, 176. 98 1, 146, 882. 99 13, 263. 07 76, 556. 60 538. 53 1 232. 28 90, 000. 00 500. 00 80, 000. 00 500. 00 i 75, 000. 00 75, 000. 00 81, 174. 67 1, 600, 000. 00 1, 700, 000. 00 1, 564, 700. 00 1, 700, 000. 00 1, 350, 928. 95 1, 814, 827. 76 40, 000. 00 600, 000. 00 41, 000. 00 ! 530. 000. 00 35, 854. 57 419, 167. 15 4, 015, 000. 00 3, 910, 700. 00 3, 701, 953. 10 20, 615, 500. 00 19, 981, 200. 00 16, 481, 621. 08 1, 769, 000. 00 1, 584, 000. 00 1, 353, 426. 94 j 2, 400, 000. 00 2, 135, 000. 00 1 I ! 2, 400, 000. 00 2, 135, OOO. 00 1, 280, 207, 107, 199, 1, 206, 180, 210, 69, 000. 000. 000. 000. 00 00 00 00 i 1, 793, 000. 00 | I OW. 1j 000. 00 ! 000. 00 I 000. 00 ( i i1 1, 665, 000. 00 1, 971, 48, 288, 2, 31, 12, 163. 926. 725. 368. 121. 254. 54 32 89 52 06 21 2, 354, 559. 54 1,117,^ 55.87 181, 133. 05 35, 704. G7 3, 158. 83 1, 337, 952. 42 A21 BUDGET STATEMENTS No. 2.— Estimated expenditures, fiscal year 1931, compared with prior years— Continued D e t a il by C h aracter op E x p e n d i t u r e s U n d e r O r g a n i z a t io n U n i t s — Continued ClassifHat ion I. ORDINARY EXPENDITURES— Continued. 3 . D E P A R T M E N T O F A G R I C U L T U K E — Continued. (a) General expenditures— Continued. 14. Bureau of Public Roads, salaries and expenses.............. .. 15. Bureau of Agricultural Economics— 1. Salaries and expenses_________ ___ .. . -----2. Enforcement of cotton futures and cotton standards acts__ 3. Enforcement of grain standards act_______________ _______ 4. Administration of ware>i< >sise a c t-------------------------------- --------- 5. 6. 7. 8. Enforcement of standard container and produce agency act. Salaries *and expenses, wool division_____________ _ ______ Operation of Center Market. ______ _____________ __________ Expenses cotton standards act (special fund)______________ 9. Classification of cotton________________ ____________________ 10. Establishing wool standards (special fund)____ 11. Miscellaneous---------------------- -------------------------------------------Total, Bureau of Agricultural Economics. 16. 17. 18. 19. 20. 21. 22. 23. 24. 25. 26. 27. 28. 29. 30. 31. 32. 33. 34. 35. 36. Bureau of Home Economics, salaries and expenses_____________ Plant Quarantine and Control Administration__________________ Enforcement of packers and stockyards act_____________________ Enforcement of grain futures act_____ _____________________ Food, Drug, and Insecticide Administration, salaries and expenses_____________ _______ ________________________________ Experiments in dairying and livestock production______________ Dairying and livestock experiment stations_____________________ Seed loans and collections______________________________________ Forest roads and trails_________________________________________ Cooperative construction of rural post roads____________________ Operation of national arboretum_______________________________ Flood relief, New Hampshire, Vermont, and Kentucky_________ Flood relief, Missouri, Mississippi, Iowa, and Arkansas_____ Mount Vernon Highway________________________________________ Relief to hay growers in Texas____ __________ ______ ____________ Federal Horticultural Board, salaries and expenses_____________ Leaf hopper and curly top investigations_______________________ Special barley investigations_____________ ______________________ European corn borer control (special research)__________________ Miscellaneous items____________________________________________ Special deposit accounts________________________________________ $595, 000. 00 1 4, 760, 000. 230, 000. 830, 000. 253, 000. 44, 000. 7, 200. Actual, 1929 Estimated, 1930 Estimated, 1931 00 00 00 00 00 00 95, 000. 00 1 4, 402, 000. 215, 000. 810, 000. 253, 000. 39, 000. 7, 200. 145, 000. 95, 000. 00 00 00 00 00 00 00 00 4. D E P A R T M E N T O F C O M M E R C E — (a) General expenditures— 1. Secretary s office—■ 1. Salaries, office of the Secretary____________ ___________ 2. Contingent and miscellaneous expenses________ . _ 3. Printing and binding ____________ _________________ 4. Aircraft in commerce, __________ ____ * ______________ 5. Enforcement wireless communication laws..... - ~......... 1 | 6. Rent_ ____ _ _______________ __________ 4, 339, 896. 214, 145. 776, 545. 226, 308. 34, 771. 6, 589. 134, 138. 56, 812. * 33, 296. 9, 756. 2 38. 17 76 11 00 59 61 88 18 06 88 48 40, 000. 00 30, 000. 00 6, 259, 200. 00 6, 056, 200. 00 5, 765, 629. 64 203, 000. 00 3, 625, 000. 00 163, 000. 00 6, 086, 000. 00 148, 000. 00 135, 000. 00 145, 3, 472, 10, 130, 885. 055. 046. 245. 63 20 41 65 1, 536, 99, 43, 5, 600, 9, 067, 84, 006, 996. 723. 603. 175. 501. 619. 63 06 64 15 48 00 1, 591, 000. 00 113,000.00 69, 000. 00 I 2 680, 000. 00 8, 000, 000. 00 75, 000, 000. 00 30, 000. 00 1, 000, 000. 00 2, 000, 000. 00 209, 000. 00 120,"ooa oo" 1, 519, 000. 113, 000. 96, 000. 2 3, 644, 000. 8, 500, 000. 79, 000, 000. 3, 279, 2, 654, 2, 425, 150, 000. 000. 000. 000. 00 00 00 00 00 00 00 00 00 00 1, 917,124. 96 76, 109. 44 66, 188. 00 16, 741. 84 210, 000. 00 25, 000. 00 240, 000. 00 103, 031. 43 2 8, 496. 81 171, 673, 722. 10 526, 459. 52 Adjustment between cash expenditures and checks issued. Total, Department of Agriculture, including rural post roads, general expenditures (a)______________________________________ $418, 854. 90 $490, 000. 00 167, 068, 600. 00 310, 000. 290, 000. 1, 750, 000. 8, 500, 000. 500, 000. 152, 000. 00 00 00 00 00 00 173, 796, 300. 00 300, 282, 1, 750, 6, 400, 500, 146, 000. 000. 000. 000. 000. 900. 00 00 00 00 00 00 171, 147, 262. 58 304, 496. 276, 250. 1, 739, 582. 4, 944, 59a 351, 941. 64, 041. 62 93 05 79 39 56 9, 378, 900. 00 7, 680, 906. 34 260, 000. 00 4, 300, 000. 00 i 260,000. 00 I 4, 100,000. 00 I 268, 235. 98 3, 996, 929. 11 4, 560, 000. 00 4, 360, 00a 00 j 4, 264, 166. 09 ____________ 11, 502, 000. 00 2. Bureau of Foreign and Domestic Commerce— 1. Salaries__ ______________ _ ___________ * ______________ 2. Promoting commerce, etc_______ - ____________________ _ Total, Bureau of Foreign and Domestic Commerce. . 3. Bureau of Census— 1. Salaries______ . . _ _______ _ ___________ _______ 2. Miscellaneous expenses______ _________. _ . ______________ 7, 900, 000. 00 580, 000. 00 16, 847, 000. 00 2, 089, 000. 00 1, 069, 594. 80 1, 103, 804. 95 Total, Secretary's office ......... .......... - Total, Bureau of Census................................... .................... 8, 480, 000. 00 18, 936, 000. 00 2, 173, 399. 75 4. Steamboat Inspection Service— 1. Salaries__ _ ________________________________ 2. Clerk hire_______________ ______ __ _________________ 3. Contingent expenses____________________ ______ __________ _ 990, 000. 00 180, 000. 00 175, 000. 00 873, ooa 00 169, ooa 00 153, ooa 00 853, 512. 04 155, 839. 18 140, 942. 91 Total, Steamboat Inspection Service....... ............................. i, 345, ooa 00 1,185, ooa 00 1,150, 294. 13 i Expenditures for Cooperative Marketing for 1931 and 1930 are transferred to Federal Farm Board. i Deduct, excess of credits. a22 THE BUDGET, 1931 No. 2.— Estimated expenditures, fiscal year 1931 >compared with prior years— Continued D e t a il by C haracter op E x p e n d i t u r e s U n d e r O r g a n i z a t io n Classification I. ORDINARY EXPENDITURES— Continued. 4 . D E P A R T M E N T O F C O M M E R C E — Continued (o) General expenditures— Continued. 5. Bureau of Navigation— 1. Salaries___ _______ ________________________________________ 2. Contingent and miscellaneous expenses (including expendi tures from indefinite appropriations) .................... ....... U n it s — C ontinued Estimated, 1931 Estimated. 1930 Actual, 1929 $125, 000. 00 $115, 000. 00 $108, 129. 96 260, 000. 00 240, 500. 00 231, 535. 10 Total, Bureau of Navigation_______ 385, 000. 00 355. 500. 00 339, 665. 06 6. Bureau of Standards— 1. Salaries. . ______________ _______________ 2. Contingent and miscellaneous expenses. 700, 000. 00 2, 020, 000. 00 685, 000. 00 1, 815, 000. 00 663, 857. 56 1, 775, 797. 77 Total, Bureau of Standards------------------------ 2, 720, 000. 00 2, 500, 000. 00 2, 439, 655. 33 Bureau of Lighthouses, exclusive of public works— 1. Salaries_______________________________________ 2. Lighthouse Service— 1. Salaries____ ______________________________ 2. General expenses_________________________ 109, 000. 00 109, 000. 00 101, 300. 53 5, 350, 000. 00 4, 450, 000. 00 5, 250, 000. 00 4, 295, 000. 00 5, 239, 437. 08 4, 816, 932. 41 9, 909, 000. 00 9, 654, 000. 00 10,157, 670. 02 1, 120, 000. 00 685, 000. 00 860, 000. 00 85, 000. 00 65, 000. 00 2, 815, 000. 00 1, 030, 000. 00 635, 000. 00 625, 000. 00 78, 000. 00 122, 700. 00 2, 490, 700. 00 1, 070, 224. 42 590, 350. 32 608, 966. 89 87, 318. 49 194, 666. 16 2, 551, 526. 28 830, 000. 00 840, 000. 00 362, 000. 00 23, 000. 00 800, 000. 00 825, 000. 00 360, 000. 00 24, 000. 00 224, 700. 00 2, 055, 000. 00 2, 233, 700. 00 777, 249. 12 884, 208. 80 323, 540. 32 26, 962. 38 10, 584. 20 1, 335. 64 2, 023, 880. 46 3, 240, 000. 00 65, 000. 00 3, 038, 800. 00 65, 000. 00 230, 000. 00 3, 333, 800. 00 2, 943, 424. 29 78, 433. 20 258, 437. 89 3, 280, 295. 38 90, 000. 00 420, 000. 00 320, 000. 00 95, 000. 00 1, 275, 000. 00 173, 867. 94 421, 996, 56 328, 990. 64 1, 321, 277. 23 1,154, 350. 17 3, 400, 482. 54 Total, Bureau of Lighthouses, exclusive of public works..________ ________________________________ Coast and Geodetic Survey— 1. Salaries and expenses-------2. Pay of personnel of vessels. 3. Field expenses____________ 4. Repairs of vessels_________ 5. Vessel and tender_________ Total, Coast and Geodetic Survey___ 9. Bureau of Fisheries, exclusive of public works1. Salaries__________________________________ 2. Miscellaneous expenses....... ................ .......... 3. Alaska, general service----------------------------4. Mississippi wild life and fish refuge_____ 5. Power vessels____________________________ 6. Miscellaneous................................................... Total, Bureau of Fisheries, exclusive of public works. 10. Patent Office— 1. Salaries_________________________________________________ 2. Miscellaneous expenses_________________________________ 3. Photolithography_______________________________________ Total, Patent Office------------- 11. Bureau of Mines— 1. Salaries and general expenses___ 2. Investigating mine accidents____ 3. Operating mine rescue cars_____ 4. Helium plants and investigation. 5. Miscellaneous items_____________ Total, Bureau of Mines. 220, 000. 00 3, 525, 000. 00 90, 000. 00 430, 000. 00 330, 000. 00 300, 000. 00 1 350, 000. 00 2, 500, 000. 00 2, 200, 000. 00 41, 257. 79 37, 508. 94 12. Miscellaneous items. --------- -------------------------- -------- --------------13. Special deposit accounts______________________________ _____ 14. Public works— 1. Existing projects— 1. Lighthouses, beacons, fog signals, light vessels, etc. 2. Fish hatcheries____________________________________ 3. Power plant, Bureau of Standards________________ 650, 000. 00 23, 000. 00 875, 000. 00 21, 500. 00 Total, existing projects________________________ 673, 000. 00 896, 500. 00 650, 000. 00 '65, 000. 00 715, 000. 00 875, 000. 00 79, 500. 00 954, 500. 00 1, 388, 000. 00 1, 851, 000. 00 2. New projects— 1. Lighthouses, beacons, fog signals, light vessels, etc. 2. Fish hatcheries............................ .......... ............ .............. Total, new projects___________________________ Total, public works, Department of Commerce. 970, 481. 07 40,511,188. 18 523, 841. 73 Adjustment between cash expenditures and checks issued____ Total, Department of Commerce, general expenditures (a). 900, 491. 04 19, 430. 18 50, 559. 85 970, 481. 07 51,184,000. 00 58, 478, 600. 00 39,987, 346. 45 a 23 BUDGET STATEMENTS No. 2.— Estimated expenditures,fiscal year 1981, compared with prior years— Continued D e t a il by C haracter of E x p e n d i t u r e s U n d e r O r g a n i z a t io n U Estimated, 1931 Classification I. ORDINARY EXPENDITURES— Continued. 5. (1) I N T E R I O R D E P A R T M E N T (exclusive of Indian Service and pensions) — (a) General expenditures— 1. Office of the Secretary— 1. Salaries, office of the Secretary________________________ 2. Contingent and miscellaneous expenses_______________ 3. Printing and binding__________________________________ Continued Actual, 1929 Estimated, 1930 $521, 300. 00 187, 500. 00 300, 000. 00 $507, 200. 00 185, 000. 00 300, 000. 00 $516, 628. 45 217, 974. 50 230, 967. 04 1,008,800.00 992, 200. 00 965, 569. 99 720, 000. 00 698, 000. 00 88, 000. 00 190, 000. 00 425, 000. 00 750, 000. 00 760, 000. 00 88, 000. 00 195, 000. 00 425, 000. 00 737, 752. 94 748, 944. 63 88, 513. 18 193, 069. 27 438, 173. 69 18, 000. 00 585,000.00 20, 000. 00 590, 000. 00 8, 755. 44 296, 951. 15 1 4, 530. 55 27, 000. 00 1, 500, 000. 00 15, 000. 00 35, 000. 00 35, 000. 00 1, 430, 000. 00 15, 000. 00 43, 500. 00 26, 757. 79 1, 820, 238. 53 19, 245. 35 1, 118, 979. 64 j ! 38, 000. 00 i , ooo. oo 700. 00 1, 000. 00 1, 000. 00 4, 131. 30 J 4,340,700.00 4, 353, 500. 00 5, 502, 797. 47 Geological Survey— Salaries and general expenses_____________________________ 2, 325, 000. 00 2, 071, 800. 00 2, 140, 300. 75 National parks— 1. Salaries and expenses___________ 2. National parks, monuments, etc. 3. Construction of roads and trails. 4. Special funds___________________ 2, 531, 300. 00 99, 600. 00 2, 600, 000. 00 J. 3, 596, 000. 00 85, 000. 00 2,128,360.11 4, 149, 008. 73 47, 238. 73 6, 772, 400. 00 6, 380, 600. 00 6, 324, 607. 57 253, 800. 00 230, 900. 00 11, 000. 00 225, 992. 22 40, 000. 00 45, 000. 00 575, 000. 00 35, 789. 77 487, 296. 38 168, 000. 00 18, 800. 00 157, 702. 71 14, 963. 21 2, 550, 000. 00 25, 000. 00 2, 550, 000. 00 25, 000. 00 2, 550, 000. 00 9, 805. 77 3, 895, 800. 00 3, 663, 700. 00 | 3, 494, 563. 10 Total, office of the Secretary. 2. n it s — General Land Office— 1. Salaries and expenses__________________________________ 2. Surveying public lands________________________________ 3. Salaries and commissions of registers____.._____________ 4. Contingent expenses, land offices______________________ 5. Protecting public lands, timber, etc___________________ 6. Indefinite appropriations— 1. Repayment for lands erroneously sold____________ 2. Oregon and California land-grant fund____________ 3. Surveying within land grants__ __________________ 7. Special funds— 1. Deposits for surveying public lands_______________ 2. Payments to States under oil-leasing acts_________ 3. 5, 3, and 2 per cent funds to States____________ 4. Coos Bay wagon-road fund_______________________ 5. Payment to Oklahoma, royalties, oil and gas, south half of Red River_________________ _____ ________ 6. Miscellaneous_____________________________________ 8. Trust funds________________________ - _________________ Total, General Land Office------------------------------------- j i i ! ! | | ! | i 141, 100. 00 4, 000, 000. 00 100, 000. 00 Total, National Park Service. Bureau of Education— 1. Salaries____________________________________________________ 2. Miscellaneous expenses_____________________________________ 3. Investigation of teacher training___________________________ 4. Investigation of land-grant colleges________________________ 5. Investigation of secondary education_______________________ 6. Education of the natives of Alaska_________________________ | 7. Indian boarding school, Shoemaker Bay, Alaska----------------- 1 8. Medical relief in Alaska____________________________________ 9. Reindeer for Alaska________________________________________ 10. Colleges for agriculture and mechanic arts (permanent specific)__________________________________________________ 11. Special funds_______________________________________________ Total, Bureau of Education. 6. Territorial governments— 1. Alaska— 1. Salaries, governor and secretary__________ 2. Contingent and legislative expenses_______ 3. Care and custody of insane in Alaska_____ 4. Suppressing liquor traffic in Alaska_______ 5. Special fund— Public schools, Alaska fund. 6. Reindeer for Alaska_______________________ 2. Hawaii— 1. Salaries, governor and secretary___________ 2. Contingent and legislative expenses_______ Total, Territorial governments. 1 Deduct, excess of credits. 20, 000. 00 48, 000. 00 95, 000. 00 645, 000. 00 69, 000. 00 190, 000. 00 5, 815. U 13, 013. 04 1 ! ! 1 j 10, 700. 00 10, 700. 00 68, 000. 00 147, 000. 00 14, 000. 00 55, 000. 00 20, 500. 00 156, 600* 00 12, 300. 00 74, 300. 00 15, 800. 00 35, 000. 00 15, 800. 00 4, 800. 00 15, 800. 00 34, 630. 86 366, 000. 00 296, 900. 00 342, 107. 44 22, 400. 00 10, 700. 00 58, 608. 50 155, 492. 81 11, 366. 52 55, 508. 75 a 24 THE BUDGET, 1931 No. 2.— Estimated expenditures, fiscal year 1931, compared with prior years— Continued D e t a il by C haracter of E x p e n d it u r e s U nder Classification I. ORDINARY EXPENDITURES— Continued. 5 . (1) I N T E R I O R D E P A R T M E N T — Continued, (a) General expenditures— Continued. 7. Beneficiaries— 1. St. Elizabeths Hospital_______________________ 2. Columbia Institution for the Deaf____________ 3. Howard University___________________________ 4. Freedmen's Hospital_________________________ 5. Trust funds, St. Elizabeths Hospital__________ Total, beneficiaries (exclusive of public works). 8. Judgments, reliefs, and miscellaneous. 9. Special deposit accounts_____________ 10. Public works— 1. Buildings and grounds, Howard University________________ 2. Buildings and grounds, Freedmen’s Hospital_______________ 3. Buildings and grounds, St. Elizabeths Hospital____________ 4. Bureau of Reclamation— 1. Reclamation fund, construction and operation of recla mation projects________________________ _____________ 2. Investigations of arid, semiarid, swamp, and cut-over timberlands______________________ __________________ 3. Colorado River levee system__________________________ 4. Auxiliary reclamation fund, Yuma project, Arizona____ 5. Investigations, Columbia Basin, irrigation project_____ Total, Bureau of Reclamation. Total, public works, Interior Department. 11- Alaska Railroad. Total, Interior Department (exclusive of Indian Service and pensions), general expenditures (a).______________________ . (2 )fI N D IA N S E R V IC E — (a) General expenditures— 1. Bureau of Indian Affairs— 1. Salaries__________________________________________________ 2. Indian Service— 1. Current and contingent expenses of the Indian Service. 2. Fulfilling treaty stipulations and treaty supports of Indian tribes______________________________________ 3. Miscellaneous supports of Indian tribes_____________ 4. General and miscellaneous expenses of the Indian Service___________________ __________ ___ _____ _____ 5. Support of schools________________________ ______ ___ 3. Indefinite appropriations— 1. Interest on Indian trust funds_______________________ 2. Civilization of the Sioux Indians____________________ 4. Trust funds— 1. Indian tribal funds, principal________________________ 2. Indian moneys, proceeds of labor____________________ 5. Special deposit accounts______________________ ___________ Total, Bureau of Indian Affairs, general expendi tures (a)__________________________________________ . ( 3 ) P E N S IO N S — (a) General expenditures— 1. Bureau of Pensions— 1. Army and Navy pensions____________ 2. Salaries and expenses________________ 3. Investigation of pension cases_______ 4. Fees of examining surgeons, pensions. Total, Bureau of Pensions, general expenditures (a) _ O r g a n iz a t io n U n i t s — Continued Estimated, 1931 $1, 090, 125, 380, 289, 700 000. 000. 000. Estimated, 1930 00 00 00 00 215, 000. 00 $952, 119, 283, 281, 215, 500. 500. 000. 100. 000. Actual, 1929 00 00 00 00 00 168. 653. 820. 981. 074. 58 74 02 83 32 2, 099, 700. 00 1, 851, 100. 00 1, 550, 698.149 28, 200. 00 28, 200. 00 45, 283. 55 129, 426. 21 310, 000. 00 155, 000. 00 670, 000. 00 466, 600. 00 177, 000. 00 609, 700. 00 9,011. 35 39," 784. 09 11, 000, 000. 00 11, 000 , 000. 00 10, 529, 703. 65 100 000 00 30, 000. 00 85, 000. 00 30, 000. 00 8, 337. 29 74, 192. 25 1 30, 339. 35 948. 36 11, 130, 000. 00 11,115, 000. 00 10, 582, 842. 20 12, 265, 000. 00 12, 368, 300. 00 10, 631, 637. 64 1, 100, 000 . 00 1 200 000 00 1, 124, 786. 85 34, 201, 600. 00 33, 206, 300. 00 32, 251, 779. 06 000. 00 377, 908. 39 1, 029, 800. 00 1, 041, 044. 73 929, 100. 00 914, 700. 00 922, 010. 77 900, 250. 82 5, 241, 600. 00 7, 875, 900. 00 6, 854, 245. 66 7, 434, 246. 44 000. 00 100, 000. 00 856, 510. 09 151, 800. 00 12, 000, 000. 00 12, 000, 000. 00 3, 000. 000. 00 500, 000. 00 12, 431, 195. 78 3,311, 789. 27 2, 961, 837. 48 35, 859, 000. 00 32, 766, 100. 00 37, 242, 839. 43 , . . 443, 000 00 1, 148, 000 . 00 . 1, 028, 000 00 1, 058, 000 . 00 .. 6, 981, 000 00 8, 901, 000 00 000. 00 100, 000. 00 700, 3, 000, 500, 000. 00 000. 00 , , . 400, 775, 00 00 00 00 221, 000, 000. 00 215, 749, 400. 00 222, 787, 300. 00 214, 000, 000. 1, 301, 400. 150, 000. 298, 000. 1, 306, 000. 00 150, 000. 00 331, 300. 00 229, 549, 430. 1, 326, 627. 126, 164. 451, 772. 04 35 13 38 231, 453, 993. 90 300, 948, 612. 39 173, 983. 88 Adjustment between cash expenditures and checks issued_______ Total, Interior Department, including Indian Service and pensions, general expenditures (a)_____________ $948, 129, 239, 6, 226, 285, 810, 000. 00 288, 759, 700. 00 301, 122, 596. 27 (m) Civil-service retirement fund, investments. 20, 850, 000. 00 20, 500, 000. 00 19, 955, 190. 64 Total, Interior Department___ 306, 660, 000. 00 309, 259, 700. 00 321, 077, 78a 91 a 25 BCJDGET STATEMENTS No. 2.— Estimated expenditures} fiscal year 1931, compared with prior years—Continued D e t a il by C haracter of E x p e n d i t u r e s U n d e r O r g a n i z a t io n U n i t s — Continued Classification I. ORDINARY EXPENDITURES— Continued. 6. D E P A R T M E N T O F J U S T IC E — (a)lGeneral expenditures— 1. Departmental salaries_____________________________________ 2. Contingent and miscellaneous expenses____________________ 3. Rent of buildings---------------------------------------------------------------4. Printing and binding______________________________________ 5. Miscellaneous objects— 1. Protecting interests of the United States in customs matters_____________________________________________ 2. Defending suits and claims against the United States_ 3. Detection and prosecution of crimes___________________ 4. Examination of judicial offices_________________________ 5. Enforcement of antitrust laws_________________ _______ 6. Investigation and prosecution of war frauds----------------7. Miscellaneous items___________________________________ Estimated, 1930 Estimated, 1931 Actual, 1929 tiy Total, Department of Justice proper. 6. (2 ) J U D IC IA L — («)^General expenditures— 1. Salaries, etc.— 1. Salaries and expenses, Supreme Court_______ 2. Salaries of circuit, district, and retired judges. 3. National park commissioners________________ 4. Court of Customs Appeals----------------------------5. Court of Claims--------------------------------------------6. Territorial courts____________________________ Total salaries, etc_ 2. Expenses, etc., United States courts— 1. Salaries, fees, and expenses of marshals________ ______ _ 2. Salaries and expenses of attorneys_____________________ 3. Salaries and expenses of clerks of circuit and district courts_______________________________________________ 4. Fees of commissioners_________________________________ 5. Fees of jurors_________________________________________ 6. Fees of witnesses______________________________________ 7. Pay of bailiffs_________________________________________ 8. Miscellaneous expenses of United States courts________ 9. Rent, supplies, and purchase of books_________________ Total expenses, United States courts______________ 3. Penal and correctional institutions, exclusive of public works— 1. United States penitentiary, Leavenworth, Kans_______ 2. United States penitentiary, Atlanta, Ga____ __________ 3. United States penitentiary, McNeil Island, Wash_____ 4. Federal Industrial Institution forWomen, Alderson, W. Va* 5. United States Industrial Reformatory, Chillicothe, Ohio. 6. National Training School for Boys, Washington, D. C7. Probation system, etc_________________________________ 8. Support of prisoners----------------------------------------------------9. Working capital, United States penitentiaries__________ 10. Miscellaneous_________________________________________ Total, penal and correctional institutions, exclusive of public works_________________________________ 4. Special deposit accounts. 5. Miscellaneous___________ 6. Public worksUnited States penitentiary, Leavenworth, Kans_______ 2. United States penitentiary, Atlanta, Ga_______________ 3. United States penitentiary, McNeil Island, Wash_____ 4. Federal Industrial Institution for Women, Alderson, W. Va______________________________________________ 5. National Training School for Boys, Washington, D. C_. 6. Industrial Reformatory, Chillicothe, Ohio.............. ......... Total, public works________________________________ Total, judicial. Adjustment between cash expenditures and checks issued_____ Total, Department of Justice, general expenditures (a)__ 1 Deduct, excess of credits. $1, 225, 98, 118, 250, 000. 000. 000. 000. 00 00 00 00 119, 70, 2, 770, 170, 200, 000. 000. 000. 000. 000. 00 00 00 00 00 $1, 228, 86, 118, 260, 300. 000. 000. 000. 00 00 00 00 $1, 341, 93, 109, 268, 970. 977. 536. 952. 77 36 07 00 112, 500. 70, 000. 2, 275, 000. 169, 500. 185, 000. 00 00 00 00 00 113, 54, 2, 243, 178, 178, 1, 79, 228. 212. 194. 583. 540. 266. 395. 68 90 33 51 72 75 88 215, 000. 00 62, 000. 00 5, 235, 000. 00 4, 566, 300. 00 4, 662, 858. 97 335, 000. 00 , 090, 000. 00 18, 000. 00 340, 000. 00 1, 930, 000. 00 215, 000. 00 182, 000. 00 2, 951, 000. 00 245, 000. 00 182, 000. 00 2, 823, 000. 00 327, 1, 921, 14, 94, 257, 172, 2, 787, 3, 830, 000. 00 3, 600, 000. 00 3, 750, 000. 00 3, 200, 000. 00 3, 757, 978. 62 3, 150, 960. 51 2, 100, 000. 00 550, 000. 00 1, 943, 000. 00 550, 000. 00 3, 650, 000. 00 3, 550, 000. 00 111, 000. 00 485, 950, 270, 15, 435, 16, 000. 00 110, 000 . 00 000. 000. 000. 000. 00 00 00 00 455, 910, 225, 14, 583, 000. 000. 000. 000. 00 00 00 00 1, 620, 000. 1, 040, 000. 435, 000. 390, 000. 560, 000. 215, 000. 185, 000. 3, 000, 000. 00 00 00 00 00 00 00 00 1, 030, 915, 375, 280, 325, 205, 38, 3, 000, 000. 000. 000. 000. 000. 000. 000. 000. 00 00 00 00 00 00 00 00 062. 405. 022. 759. 310. 632. 192. 57 13 31 23 89 21 34 1, 953, 659, 1, 901, 1, 708, 443, 877, 292, 14, 746, 092. 506. 793. 902. 347. 846. 771. 199. 07 51 56 17 59 97 54 54 1, 037, 881, 356, 234, 396, 183, 19, 3, 699, 1 263, 12, 349. 208. 811. 524. 962. 401. 544. 818. 116. 478. 35 43 05 01 92 66 92 85 97 40 7, 445, 000. 00 6, 168, 000. 00 6, 558, 982. 62 62, 000. 00 7, 000. 00 62, 000. 00 7, 000. 00 62, 049. 24 7, 031. 22 , . 22 000 00 100, 000. 00 235, 500. 00 144, 700. 00 47, 797. 46 90, 666. 50 142, 591. 87 350, 000. 00 617, 000. 00 325, 000. 00 805, 200. 00 99, 66, 76, 523, 26, 517, 000. 00 24, 448, 200. 00 24, 685, 409. 09 29, 014, 500. 00 29, 348, 268. 06 456, 647. 74 28, 891, 620. 32 70, 000. 00 175, 000. 00 31, 752, 000. 00 652. 728. 516. 954. 45 96 89 13 THE BUDGET, 1931 a26 No. 2.— Estimated expenditures, fiscal year 1931, compared with prior years— Continued D e t a il by C haracter of E x p e n d it u r e s U nder Classification I. ORDINARY EXPENDITURES— Continued. 7. D E P A R T M E N T O F L A B O R — (a) General expenditures— 1. General— 1. Salaries, office of the Secretary------------2. Commissioners of conciliation__________ 3. Contingent and miscellaneous expenses . 4. Printing and binding__________________ 5. Rent---------------------------------------------------Total, general..------------------------------ 2. Bureau of Labor Statistics— 1. Salaries_____________________________ 2. Miscellaneous expenses______________ Total, Bureau of Labor Statistics. O r g a n iz a t io n U n it s — Continued Estimated, 1930 Estimated, 1931 $ 212, 000. 00 201, 000. 00 68, 000. 00 230, 000. 00 $209, 205, 64, 230, 400. 000. 000. 000. Actual, 1929 00 00 00 00 $213, 191, 57. 223, 307. 758. 527. 541. 39 08 26 63 68, 01*). 00 68, 000. 00 68, 000. 00 779, 000. 00 776, 400. 00 754, 134. 36 272, 000. 00 86, 100. 00 358, 100. 00 272, 900. 00 358, 900. 00 266, 090. 92 87, 664. 28 353, 755. 20 , . 86 000 00 3. Bureau of Immigration— 1. Salaries_____________________________________ 2. Expenses of regulating immigration_________ 3. Special funds— refund of passage money, etcTotal, Bureau of Immigration___________ 113, 200. 00 8, 672, 000. 00 113, 900. 00 8, 200, 000. 00 8, 785, 200. 00 8, 313, 900. 00 4. Bureau of Naturalization— 1. Salaries____________________________________ 2. Miscellaneous expenses_____________________ 3. Publishing citizenship textbooks (indefinite) _ Total, Bureau of Naturalization________ 112, 1, 020, 9, 1, 142, 00 00 00 00 113, 896, 4, 1, 013, 000. 200. 500. 700. 00 00 00 00 118, 000. 00 361, 400. 00 117, 142, 58, 14, 332, 700. 500. 000. 700. 900. 00 00 00 00 00 107, 141, 54, 1, 218, 1, 521, 091. 776. 583. 120. 571. 84 50 08 44 86 153, 600. 00 368, 900. 00 108, 500. 00 215, 000. 00 49, 000. 00 150, 000. 00 106, 205, 1 44, 12, 183, 492. 308. 852. 528. 372. 44 80 98 56 13 5. Children's Bureau— Salaries. Investigation of child welfare. General expenses____________ Maternity and infancy______ Total, Children's Bureau. 6. 7. 8. 9. 10. Women's Bureau: Salaries and expenses____ Employment Service: Salaries and expenses_ Special deposit accounts____________________ Miscellaneous items________________________ Public works, immigrant stations----------------- Adjustment between cash expenditures and checks issued____ Total, Department of Labor, general expenditures (a). 8. N A V Y D E P A R TM E N T— (a) General expenditures— 1. Office of the Secretary— 1. Pay, miscellaneous__________________________________ 2. Contingent, Navy___________________________________ 3. Temporary government for West Indian islands_____ 4. State marine schools_________________________________ 5. Care of lepers, island of Guam_____ _________________ 6. Naval Research Laboratory_________________________ 7. Miscellaneous_______________________________________ Total, office of the Secretary. Bureau of Navigation— 1. Recreation for enlisted men_ _ ^..................... ..... 2. Contingent, Bureau of Navigation____________ 3. Gunnery and engineering exercises____________ 4. Instruments and supplies_____________________ 5. Ocean and lake surveys______________________ 6. Naval training stations_______________________ 7. Naval Reserve________________________________ 8. Naval Reserve Officers' Training Corps........... 9. Naval War College___________________________ 10. Indefinite appropriations— 1. Naval Home, Philadelphia, Pa___________ 2. Navy fines and forfeitures (special fund). 11. Transportation_______________________________ 12. Miscellaneous items__________________________ Total, Bureau of Navigation. 1 D educt, excess of credits. 500. 700. 000. 200. 179, 900. 00 63, 500. 00 11, 997, 400. 00 1, 500, 23, 270, 75, 35, 225, 150, 2, 278, 000. 000. 000. 000. 000. 000. 000. 000. 00 00 00 00 00 00 00 00 380, 8, 48, 565, 85, 900, 4, 500, 000. 000. 000. 000. 000. 000. 000. 00 00 00 00 00 00 00 120, 000. 00 115, 000. 00 11, 269, 300. 00 1, 450, 30, 314, 75, 35, 000. 000. 000. 000. 000. 00 00 00 00 00 220, 000. 00 94, 7, 315, 1, 7, 410, 022. 459. 472. 954. 03 13 87 03 101, 705. 67 747, 061. 84 848, 767. 51 11,352, 031. 91 40, 841. 55 11,311, 190. 36 1, 461, 19, 259, 75, 32, 202, 322. 120. 341. 000. 753. 298. 39 12 87 00 28 08 25, 000. 00 2, 149, 000. 00 2, 049, 835. 74 395, 000. 00 8, 000. 00 43, 000. 00 588, 000. 00 85, 400. 00 924, 000. 00 4, 500, 000. 00 95, 000. 00 114, 000. 00 376, 7, 44, 533, 76, 915, 3, 815, 46, 110, , . 180, 000. 00 100, 000. 00 207, 000. 00 7, 001, 000. 00 7, 059,400.00 100 000 00 176. 168. 318. 939. 388. 831. 999. 298. 882. 41 17 66 68 51 33 64 20 54 173, 526. 12 95, 151. 26 7, 526. 40 26. 96 6, 203, 233. 88 a 27 BUDGET STATEMENTS No. 2.— Estimated expenditures, fiscal year 1931, compared with prior years— Continued D e t a il by C h aracter of E x p e n d it u r e s U nder Classification O r g a n iz a t io n U n it s — Continued Estimated, 1930 Estimated, 1931 Actual, 1929 ORDINARY EXPENDITURES— Continued. 8 . N A V Y D E P A R T M E N T — Continued. (a ) General expenditures— Continued. 3. Bureau of Engineering— 1. Engineering____________________ _________ __________ 2. Engineering experimental station (Annapolis)________ $20, 000. 000. 00 174, 500. 00 $20, 386, 000. 00 174, 500. 00 $19, 514, 733. 99 172, 058. 70 Total, Bureau of Engineering______________________ 20, 174, 500. 00 20, 560, 500. 00 19, 686, 792. 69 18, 310, 000. 00 18,411, 494. 88 i 12, 100, 000. 00 740, 000. 00 | 5, 000. 00 12, 235, 278, 29, 145, 4. Bureau of Construction and Repair— 1. Construction and repair of vessels__ ____ 19, 000, 000. 00 f 5. Bureau of Ordnance— 1. Ordnance and ordnance stores _ _- _ ____________ 2. Torpedoes and appliances __ ________ _______________ 3. Experiments^ __ ______ __ _________________________ 4. Miscellaneous items________ ___________________________ 12, 000, 000. 00 450, 000. 00 Total, Bureau of Ordnance______________ ____________ 12, 450, 000. 00 12, 845, 000. 00 12, 498, 154. 07 154, 750, 000. 00 9, 900, 000. 00 9, 800, 000. 00 152, 000, 000. 00 9, 900, 000. 00 9, 750, 000. 00 148, 231, 435. 87 9, 570, 071. 37 9, 634, 364. 22 95, 676. 78 1 635, 584. 26 130, 119. 15 300, 000. 00 900, 000. 00 125, 000. 00 1, 000, 000. 00 15, 000. 00 1, 000, 000. 00 300, 000. 00 22, 500. 00 300, 000. 00 300, 000. 00 22, 500. 00 Total, Bureau of Supplies and Accounts__________ 176, 197. 500. 00 174, 187, 500. 00 7. Bureau of Medicine and Surgery— 1. Medical Department___ _______ ____ ______ __ 2. Care of the dead ______________________________________ 3. Naval hospital fund, special fund. ______ _________ 4. Contingent and miscellaneous 2, 050, 000. 00 65, 000. 00 1, 000, 000. 00 / 2, 050, 000. 00 70, 000. 00 1, 172, 000. 00 Total, Bureau of Medicine and Surgery_ 3, 115, 000. 00 3, 292, 000. 00 3, 432, 409. 06 7, 880, 000. 00 110, 000. 00 7, 630, 000. 00 124, 000. 00 7, 447, 333. 31 100, 395. 58 7, 990, 000. 00 7, 754, 000. 00 7, 547, 728. 89 6. Bureau of Supplies and Accounts— 1. Pav, subsistence, and transportation _ __ 2. Maintenance ~ ^ 3. Fuel and transportation____ __ ____ _ _ _____ 4. General account of advances___________ _______ __ _ 5. Naval supply account fund____ ________________________ 6. Naval working fund _ . . ____ .. . 7. Judgments of courts, relief acts, etc _ 8. Reserve stores— 1. Reserve material „ _______ _ ______- 2. Reserve fuel oil . . _______ _____________________ 9. Indefinite appropriations— 1. Ship's stores profits- __ - 2. Clothing and small stores fund____ ________________ 3. Pay of the Navy, deposit fund, trust fund _ ____ 10. Miscellaneous __ __ ______ _ 8. Bureau of Yards and Docks, exclusive of public works— 1. Maintenance__ ________ _____ ______________ 2. Contingent___ _ __ — ______________________ Total, Bureau of Yards and Docks, exclusive of public works. _ ---------------- --------------------- _ 9. Bureau of Aeronautics— 1. Aviation, Navv___ __ 2. Miscellaneous __ _____ 256, 1 217, 16, * 24, 357. 772. 824. 799. 177. 981. 885. 160. 10 23 57 83 02 72 48 91 167, 057, 003. 00 2, 055, 879. 92 57, 809. 28 1, 317, 886. 36 833. 50 _____________________ __ 30, 000, 000. 00 29, 000, 000. 00 _ 28, 134, 303. 92 10, 856. 00 Total, Bureau of Aeronautics- ______ _____ _____ 30, 000, 000. 00 29, 000, 000. 00 28, 145, 159. 92 10. Naval Academy— 1. Pay_____: _____________________________________________ 2. Current and miscellaneous expenses____ ____ 3. Maintenance and repairs___ _____________________ 4. Boathouse _ _ _ _ ______ 905, 000. 00 85, 000. 00 985, 000. 00 890, 000. 00 90, 000. 00 1, 000, 000. 00 1, 975, 000. 00 1, 980, 000. 00 Total, Naval Academy - __ __ — -- 11. Marine Corps— 1. P ay.._ _______ __ ... _________ _ _______ 2. Pay of civil force, Marine Corps______________ _________ 3. General expenses _ _ „ ___________ - _______ 4. Pay of Marine Corps, deposit fund, trust fund * ______ 5. Reserve supplies_____ _______ _____ _______________ Total, Marine Corps________________ i Deduct, excess of credits. 62331— 29------ vi __ _________ 16, 000, 314, 8, 800, 200, 000. 000. 000. 000. 00 00 00 00 25, 314, 000. 00 | 15, 800, 292, 8, 605, 210, 000. 500. 000. 000. 00 00 00 00 24, 907, 500. 00 847, 81, 966, 30, 784. 430. 052. 032. 33 61 52 97 1, 925, 300. 43 15, 583, 168, 10, 627, i 24, 82, 863. 794. 149. 647. 673. 18 59 54 38 97 26, 437, 833. 90 a THE BUDGET, 1931 28 No. 2.— Estimated expenditures, fiscal year 1931, compared with prior years— Continued D e t a i l by C h a r a c t e r op E x p e n d itu r e s U n d e r O r g a n iz a tio n U n it s — Classification I. ORDINARY EXPENDITURES— Continued. 8 . N A V Y D E P A R T M E N T — Continued, (a) General expenditures— Continued. 12. Alterations to naval vessels______________ 13. Increase of the Navy____________________ 14. Miscellaneous— 1. Miscellaneous items______ 2. Special deposit accounts-_ 3. Miscellaneous trust funds. Total, miscellaneous _ 15. Public works— 1. Navy yards and stations-----------------------2. Depots for fuel--------------------------------------3. Naval operating bases__________________ 4. Hospitals and medical supply depots___ 5. Marine barracks------------------- ---------------6. Buildings and grounds, Naval Academy7. Naval training stations, buildings----------8. Naval magazines and proving grounds... 9. Aviation________________________________ 10. Miscellaneous_______________ ___________ Total, public works. 16. Salaries, Navy Department— 1. Office of the Secretary______________________ 2. General Board.____ ________________________ 3. Naval examining and retiring boards________ 4. Compensation board________________________ 5. Office of Naval Records and Library________ 6. Office of Judge Advocate General___________ 7. Office of Chief of Naval Operations_________ 8. Board of Inspection and Survey_____________ 9. Office of Director of Naval Communications. 10. Office of Naval Intelligence_________________ 11. Bureau of Navigation_______________________ 12. Hydrographic Office_________________________ 13. Naval Observatory__________________________ 14. Nautical Almanac Office____________________ 15. Bureau of Engineering______________________ 16. Bureau of Construction and Repair_________ 17. Bureau of Ordnance_________________________ 18. Bureau of Supplies and Accounts____________ 19. Bureau of Medicine and Surgery____________ 20. Bureau of Yards and Docks_________________ 21. Bureau of Aeronautics_____________________ Total, salaries, Navy Department. 17. Contingent expenses, etc.— 1. Contingent expenses of the department____________________ 2. Printing and binding_______________________________________ 3. Administrative expenses, World War adjusted compensa tion act_________________________________________ _____ ___ 4. Contingent and miscellaneous expenses, Hydrographic Office. 5. Contingent and miscellaneous expenses, Naval Observatory. 6. Miscellaneous______________________________________________ Total, contingent expenses. Continued Estimated, 1931 Estimated, 1930 Actual, 1929 $7, 500, 000. 00 59, 500, 000. 00 $8, 815, 000. 00 60, 200, 000. 00 $9, 006, 364. 06 46, 475, 447. 83 500, 000. 00 550, 000. 00 5, 303, 144. 89 1 12, 236. 81 209. 99 500, 000. 00 550, 000. 00 5, 291, 118. 07 2, 167, 047. 420. 274, 199. 8, 294. 1, 596, 837. 44 88 95 72 95 00 00 00 00 00 000. 00 000. 00 000. 00 12, 000. 00 555, 000. 00 294, 000. 00 95, 000. 00 2, 396, 000. 00 1, 662, 000. 00 764, 000. 00 26, 2, 033, 226, 981, 09 19 53 52 7, 000, 000. 00 8, 469, 000. 00 7, 314, 021. 27 193, 000. 00 12, 900. 00 2, 315, 000. 00 140, 000. 00 200, 000. 00 100, 000 . 00 175, 000. 50, 000. 1, 888, 000. 1, 672, 000. 460, 000. 2, 444, 54, 193, 9 . P O S T O F F IC E D E P A R T M E N T — Payable from the Treasury— (a) General expenditures— 1. Claims and judgments_______________________ 2. Back railway-mail payment to inland carriers. 3. Miscellaneous items__________________________ (e) Deficiencies in postal revenue_____________________ Total, Post Office Department, payable from the Treasury_____________________________________________ » Deduct, excess of credits. 603. 379. 159. 640. 946. 900. 624. 770. 503. 848. 961. 084. 716. 127. 900. 186. 127. 169. 108. 125. 542. 54 84 92 48 23 45 40 18 17 36 18 47 • 38 28 50 74 65 48 89 70 28 8, 39, 134, 72, 600. 000. 000. 800. 00 00 00 00 132, 40, 494, 414, 185, 000. 500. 000. 000. 000. 00 00 00 00 00 00 00 00 00 00 00 00 00 00 00 00 00 00 314, 390, 160, 855, 95, 310, 285, 000. 000. 000. 000. 000. 000. 000. 00 00 00 00 00 00 00 00 00 00 00 00 00 00 4, 166, 000. 00 4, 061, 800. 00 3, 928, 427. 12 83, 000. 00 525, 000. 00 76, 900. 89 525, 442. 80 10, 200. 00 21, 000. 00 , . 102 000 00 560, 000. 00 147, 000. 00 30, 000. 00 129, 000. 00 18, 800. 00 3, 500. 00 839, 000. 00 759, 300. 00 5, 665. 76 117, 791. 38 47, 858. 69 773, 659. 52 366, 183, 984. 33 1, 622, 440. 34 Adjustment between cash expenditures and checks issuedTotal, Navy Department, general expenditures (a)___ 181, 11, 10, 16, 38, 123, 71, 20, 131, 38, 483, 384, 118, 35, 306, 377, 154, 844, 76, 275, 227, 248. 083. 576. 312. 385, 000, 000. 00 384, 900, 000. 00 78, 500, 000. 00 84, 000, 000. 00 78, 500, 000. 00 84, 000, 000. 00 364, 561, 543. 99 3, 997, 089. 39, 000, 000. 93, 780. 94, 699, 744. 50 00 77 06 137, 790, 614. 33 a 29 BUDGET STATEMENTS No. 2.— Estimated expenditures, fiscal year 1931, compared with prior years— Continued D e t a i l b y C h a r a c t e r o f E x p e n d i t u r e s U n d e r O r g a n i z a t i o n U n i t s — Continued Classification I. ORDINARY EXPENDITURES— Continued. 10. S T A T E D E P A R T M E N T — (a) General expenditures— 1. Department proper— 1. Salaries__________________________________________________ 2. Contingent expenses_____________________________________ 3. Printing and binding____________________________________ 4. Passport bureaus________________________________________ 5. Collection and editing of official papers of the Territories^. 6. Miscellaneous___________________________________________ Total, department proper. 2. Foreign Service— 1. Salaries of ambassadors and ministers, clerks, etc., at embassies and legations________________________________ 2. Contingent expenses, foreign missions___________________ 3. Embassy, legation, and consular buildings and grounds.. 4. Allowance for clerk hire at consulates____________________ 5. Contingent expenses of consulates_______________________ 6. Immigration of aliens____________________________________ 7. Salaries for Foreign Service officers______________________ 8. Transportation of Foreign Service officers________________ 9. Emergencies arising in the Diplomatic and Consular Serv ice_____________________________ _____ __________________ 10. Post allowances__________________________________________ 11. Representation allowances_______________________________ 12. Miscellaneous items______________________________________ Estimated, 1931 Estimated, 1930 Actual, 1929 $1, 848, 000. 00 $1, 335, 000. 00 58, 000. 00 $1, 248, 56, 204, 69, 100, 000. 00 285, 000. 00 75, 000. 00 12, 000. 00 200, 000. 00 70, 000. 00 562. 543. 158. 256. 53 15 47 88 77. 00 2, 320, 000. 00 1, 1, 1, 1, 1, 038, 360, 500, 790, 660, 510, 3, 000, 440, 974, 000. 895, 000. 1, 750, 000. 1, 575, 000. 890, 000. 410, 000. 2, 750, 000. 350, 000. 962, 777. 908, 059. 1, 621, 231. 1, 369, 058. 923, 470. 415, 767. 2, 569, 041. 318, 229. 00 00 00 00 00 00 00 00 86 28 71 57 81 16 12 20 350, 000. 00 90, 000. 00 308, 720. 11 47, 130. 67 24, 500. 00 8, 581. 30 Total, Foreign Service_________ 11,851, 000. 00 10, 058, 500. 00 9, 452, 067. 79 3. International commissions and bureaus. 1 000 000 00 , , . 1, 053, 200. 00 1, 352, 234. 61 60, 000. 00 50, 000. 00 500. 00 250, 000. 00 36, 000. 00 9, 000. 00 43, 747. 297. 250, 000. 34, 049. 11, 041. 747. 169, 031. 346, 500. 00 508, 914. 45 14, 323. 01 244, 436. 99 Total, nonadministrative expenses. 5. Permanent and«indefinite appropriations— 1. Pay of Foreign Service officers for services to American vessels and seamen_____________________________________ 2. Pan American Union quotas (special fund)---------------------Foreign government moieties and expenses— 3. Mixed Claims Commission (special fund)_____________ Gorgas Memorial Laboratory__________________________ 4. Miscellaneous items_____________________________________ Total, permanent and indefinite appropriations. 000. 000. 000. 000. 1, 578, 598. 03 00 00 00 00 4. Nonadministrative expenses— 1. Relief and protection of American seamen. 2. Rescuing shipwrecked American seamen. 3. Payment to Republic of Panama_________ 4. United States Court for China____________ 5. Prisons for American convicts____________ 6. Bringing home criminals__________________ 7. Miscellaneous items_______________________ 350, 90, 85, 28, 000. 00 000. 00 000. 00 000. 00 000. 00 000. 00 000. 00 000. 00 1, 663, 000. 00 1, 000. 00 250, 37, 9, 3, 000. 000. 000. 000. 00 00 00 00 360, 000. 00 1, 000. 00 10, 000. 00 10, 000. 00 95, 200. 00 95, 200. 00 15, 000. 00 50, 000. 00 15, 000. 00 50, 000. 00 18, 072. 71 50, 000. 00 9. 00 170, 300. 00 170, 200. 00 326, 841. 71 100. 00 6. Special deposit accounts_______________________________ 7. Trust funds— 1. Foreign Service retirement fund, annuities, etc. 2. Other trust funds_____________________________ Total, trust funds____________________ 28 26 00 42 99 08 42 37, 650. 59 , . 100, 000. 00 100 000 00 20, 000. 00 109, 922. 15 7, 323. 12 120, 000. 00 120, 000. 00 117, 245. 27 20, 000. 00 13, 373, 552. 45 89, 042. 12 Adjustment between cash expenditures and checks issued____ Total, State Department, general expenditures (a). 15, 821, 300. 00 13, 411, 400. 00 13, 284, 510. 33 (p) Foreign Service retirement fund, investments_________________ 290, 000. 00 292, 000. 00 282, 444 12 Total, State Department_________________________ 16, 111, 300. 00 13, 703, 400. 00 13, 566, 954. 45 a 30 THE BUDGET, 1931 No. 2 .— Estimated expenditures, fiscal year 1931, compared vrith prior years— Continued D e t a il by C h aracter of E x p e n d i t u r e s U n d e r O r g a n i z a t io n U n it s — C ontinued ORDINARY EXPENDITURES— Continued. 11. T R E A S U R Y D E P A R T M E N T — (a) General expenditures— 1. General— 1. Secretary's office. _ „ ^ 2. Office of chief clerk and superintendent- - -----______ 3. Division of Supply— 1. Salaries, postage, and stationery __ 2. Printing and binding. _ . _ _ 3. General Supply Committee___ Total, Division of Supply.............. .. ____ 6. Public-debt service— 1. Current expenses___ _ ____ ____ 2. Distinctive paper for United States securities.__ 3. Expenses of loans_____ ___ __ 4. Preparation, custody, and delivery of Federal inter mediate credit bank securities, farm loan bonds, and Federal reserve notes (reimbursable) __ _____ Total, public-debt service. _ __ 7. Division of Appointments.. 8. Office of disbursing clerk.. _ __ __ __ - _ _____ __ ______ 000. 000. 000. 000. 602, 710, 132, 1, 444, 00 00 00 00 __ ___ 5. Office of Treasurer of the United States— 1. Salaries, office of Treasurer of the United States _____ 2. Salaries, office of Treasurer of the United States (national currency, reimbursable) _ _ ______ __ 3. Contingent expenses, office of Treasurer of the United States (national currency, reimbursable) __ Total, office of Treasurer of the United States___ 6. Office of Comptroller of the Currency— 1. Salaries, comptroller's office- _________________ ________ 2. Salaries, comptroller's office (national currency, reimburs able)________________________________________ __________ 3. Special examinations of national banks ___ __ _ 4. Salaries and expenses, national-bank examiners (special fund)____ ______ ______ __ 5. Refunds to National Banking Association ___ __ _ Total, office of Comptroller of the Currency _ __ • 7. Internal Revenue Service— 1. Salaries, office of Commissioner of Internal Revenue (reimbursable) . _ ______ __ _______ _______ 2. Expenses of collecting _ _ ____ _____ _ _ Total, Internal Revenue Service (exclusive of refunds). 8. Bureau of Prohibition— 1. Enforcement of prohibition and narcotic acts _ ______ 9. Coast Guard— 1. Salaries, office of Coast Guard __ ______ _ 2. Expenses of the Coast Guard............ ............................. 3. Coast Guard special funds. _ „ ______ _ _ _______ Total, Coast Guard............. ........ >Deduct, excess of credits. . --------- --------- 000. 000. 000. 000. 00 00 00 00 $169, 363. 36 691, 768. 75 604, 695, 127, 1, 428, 161. 957. 888. 007. 21 26 76 23 89, 100. 00 631, 000. 00 86, 571. 93 764, 113. 37 2, 400, 000. 00 1, 000, 000. 00 256, 000. 00 2, 575, 000. 00 1, 051, 600. 00 476, 000. 00 2, 736, 047. 01 1, 317, 630. 76 925, 124. 99 3, 656, 000. 00 4, 102, 600. 00 J 410, 633. 25 4, 568, 169. 51 66, 000. 00 55, 000. 00 61, 800. 00 55, 000. 00 61, 758. 51 55, 799. 51 6, 935, 000. 00 7, 269, 200. 00 7, 825, 552. 17 90, 000. 00 679, 000. 00 | 1 2. Bureau of Customs— 1. Collecting the customs revenues. _ _____ _ ___ 22, 542, 000. 00 150, 000. 00 j 2. Compensation in lieu of moieties___ _____ 3. Purchase of scales. __ ____ ______ __ ______ 100, 000. 00 4. Equipment, appraisers' stores, New York___ _______ ____________________ 5. Claims and judgments _ ______ __ ___ _____ Total, Bureau of Customs (exclusive of refunds) __ 22, 792, 000. 00 3. Bureau of the Budget_ _ _____ __ __ 4. Federal Farm Loan Bureau, special funds____ Actual, 1929 $168, 700. 00 717, 000. 00 $172, 000. 00 757, 000. 00 615, 710, 135, 1, 460, ____ _ 4. Office of Commissioner of Accounts and Deposits _ _ _ 5. Division of Bookkeeping and Warrants __ _ ____ Total, g e n e r a l _ Estimated, 1930 Estimated, 1931 Classification 22, 072, 250, 100, 16, 000. 000. 000. 000. 00 00 00 00 22, 438, 000. 00 20, 754, 158, 134, 107, 22, 21, 177, 147. 294. 307. 821. 977. 548. 63 00 98 92 18 71 203, 000. 00 1, 000, 000. 00 195, 000. 00 990, 000. 00 182, 207. 48 906, 012. 78 1, 210, 000. 00 1, 165, 000. 00 1, 165, 604. 25 325, 000. 00 500, 000. 00 321, 589. 05 150, 000. 00 1, 685, 000. 00 158, 000. 00 1, 823, 000. 00 151, 235. 92 1, 638, 429. 22 259, 000. 00 274, 000. 00 250, 158 67 51, 000. 00 1, 000. 00 79, 000. 00 1, 000. 00 51, 540. 11 773. 13 2, 600, 000. 00 2, 400, 000. 00 2, 911, 000. 00 ; 2, 754, 000. 00 2, 407, 711. 63 219. 50 2, 710, 403. 04 34, 000, 666. 00 34, 000, 000. 00 34, 400, 000. 00 34, 400, 000. 00 77. 50 33, 025, 924. 85 33, 026, 002. 35 15, 000, 000. 00 15, 000, 000. 00 13, 314, 338. 11 342, 000. 00 | 32, 000, 000. 00 3, 000. 00 297, 000. 00 28, 662, 500. 00 14, 000. 00 282, 597. 95 27, 942, 001. 16 20, 589. 37 32, 345, 000. 00 28, 973, 500. 00 28, 245, 188. 48 ! , a31 BUDGET STATEMENTS No. 2.— Estimated expenditures, fiscal year 1931, compared with prior years— Continued D e t a i l by C h a r a c t e r U n i t s — Continued o f E x p e n d itu r e s U n d e r O r g a n iz a tio n f Classification ORDINARY EXPENDITURES— Continued. 11. T R E A S U R Y D E P A R T M E N T — Continued. (a) General expenditures— Continued. 10. Bureau of Engraving and Printing, 11. Secret Service Division _ _ _ , . , ____ ......... 12. Public Health Service— 1. Salaries and expenses _ _ _____ ___________ 2. Prevention of epidemic diseases,. ................... ............ . 3. Pav of personnel and maintenance of hospitals 4 Expenses, Division of Venereal Diseases 5. Trust funds.. _ ............... ................................. Total, mint establishment , _ ___ . . . . 14. Supervising Architect of the Treasury— 1. Salaries,_____ _________ ______________ 2. Operation and maintenance of public buildings _ _ 3. Equipment, etc., public buildings, _ _ _____ Estimated, 1930 $6. 112, 000. 00 , • 677, 200. 00 ' $6, 475, 000. 00 562, 700. 00 4, 632, 250, 5, 805, 73, Total, Public Health Service.„ , 13. Mint establishment— 1. Salaries and expenses, Bureau of the Mint_____ 2. Mints and assay offices _ Estimated, 1931 , _ Total, Office of Supervising Architect proper _ 4. Public works— 1. Customhouses, courthouses, post offices, etc _____ 2. Marine h o s p i t a l s _ _____ __ __________ . 3. Quarantine stations________ ________ 4. Remodeling and enlarging public buildings , . „ 000. 000. 000. 000. 00 i 00 ! 00 00 4, 464, 295, 5, 498, 73, 000. 500. 000. 000. Actual, 1929 $6, 678, 119. 62 533, 512. 98 00 00 00 00 4, 222, 266, 5, 507, 72, 554. 201. 547. 511. 156. 93 02 42 78 44 10, 760, 000. 00 10, 330. 500. 00 10, 068, 971. 59 54, 000. 00 1, 615, 000. 00 57, 000. 00 1, 613, 000. 0© 42, 492. 89 1, 527, 462. 62 1, 669, 000. 00 1, 670, 000. 00 1, 569, 955. 51 385, 000. 00 12. 120, 300. 00 4, 250, 000. 00 375, 000. 00 11, 580, 000. 00 4, 260, 000. 00 365, 257. 69 11, 536, 192. 12 3, 210, 742. 08 16, 755, 300. 00 16, 215, 000. 00 15, 112, 191. 89 53, 537, 000. 2, 000, 000. 200, 000. 450, 000. 58, 050, 000. 2, 100, 000. 200, 000. 425, 000. 29, 566, 813, 66, 338, 00 00 00 00 00 00 00 00 544. 787. 083. 950. 88 35 77 73 Total, public works, Treasury Department _ __ 56, 187, 000. 00 60, 775, 000. 00 j 30, 785, 366. 73 Total, Supervising Architect 72, 942, 300. 00 76, 990, 000. 00 | 45, 897, 558. 62 _ __ 15. Miscellaneous expenses— 1. Cape Cod Canal bonds— principal and interest 2. Promoting education of the blind _ _ _______ 3. Premium on sinking-fund purchases _ _________ 4. Settlement of war claims, act of 1 9 2 8 ,, _________ ____ 5. Capital stock payments, Federal intermediate credit banks______________ ______________ ____ 6. Purchase of obligations of foreign governments— Greece 7. Miscellaneous items , _____ __ S. Special deposit accounts ______ ________ . Total, miscellaneous expenses 1(5. Trust funds— 1. Securities trust fund. ............... .. 2. Outstanding liabilities „ „ 3, 000, 000. 00 i ! 200, 000. 00 j \ 75, 000. 00 __ j _j __ 45, 000. 00 150, 000. 00 45, 000. 00 ! 150, 000. 00 1 43, 102. 05 1 746, 024. 06 195, 000. 00 195, 000. 00 1 702, 922. 01 _____ _____ (c) Refund of receipts, customs— 1. Debentures or drawbacks, bounties or allowances__ 2. Refund of excessive duties ______ _ , __ __ 3. Philippine Islands, customs collections (special fund)______ 4. Other refunds or drawbacks. , Adjustment between cash exoenditures and checks issued Total, refund of receipts, customs 1 Deduct, excess of credits. , 26, 431, 331. 30 199, 502, 209. 95 945, 014. 46 209, 301, 500. 00 239, 340, 900. 00 200, 447, 224. 41 619, 000, 000. 00 656, 000, 000. 00 678, 330, 399. 50 13, 500, 000. 7, 500, 000. 5, 500. 4, 000. _ _ _j 29, 275, 000. 00 j _ Total, Treasury Department, general expenditures (a). _ 5, 000, 000. 00 12, 167, 000. 00 1, 081, 268. 33 561, 471. 76 __ j Adjustment between cash expenditures and checks issued _ 6, 180, 509. 97 75, 000. 00 1, 366, 081. 24 26, 000, 666. 66 1 Total, trust funds, Treasury Department.__ (b) Interest on the public debt 75, 000. 00 ; _ _ . 75, 000. 00 00 00 00 00 13, 500, 000. 7, 500, 000. 5, 500. 4, 000. 00 , 00 00 00 1 __ 21, 009, 500. 00 21, 009, 500. 00 « Includes White House police. 13, 653, 345. 7, 924, 588. 8, 483. 3, 500. 58 76 26 37 21, 589, 917. 97 236, 517. 72 21, 826, 435, 69 a 32 THE BUDGET, 1931 No. 2.— Estimated expenditures, fiscal year 1931, compared with prior years— Continued D e t a i l by C h a r a c t e r o f E x p e n d itu r e s U n d e r O r g a n iz a tio n Classification U n i t s — Continued Estimated, 1931 I. ORDINARY EXPENDITURES— Continued. 11. T R E A S U R Y D E P A R T M E N T — Continued. (d) Refund of receipts, internal revenue— 1. Refunding taxes erroneously collected_______________ ______ j $140, 000, 000. 00 2. Philippine Islands, internal-revenue collections (special fund)-' 400, 000. 00 3. Porto Rico, internal-revenue taxes collected in United States t on articles produced in Porto Rico_______________________ i 500. 00 4. Additional income tax on railroads in Alaska (special fund)--; 15, 000. 00 5. Allowance or drawback (including Bureau of Prohibition)___ 340, 000. 00 6. Other refunds______________________________________________ 755, 500. 00 Estimated. 1930 $150, 000, 000. 00 $189, 846, 586. 73 400, 000. 00 I 377, 684. 96 500. 00 15, 000. 00 365, 000. 00 760, 500. 00 Total, refund of receipts, internal revenue_________ 141, 511, 000. 00 Total ordinary expenditures, Treasury Department- 990, 822, 000. 00 151, 541, 000. 00 I 365, 325, 800. 00 4, 951, 300. 00 395, 624, 000. 00 389, 191, 500. 00 (b) Purchases from foreign repayments— 1. Fourth Liberty loan________________ 2. Treasury certificate of indebtedness. (c) Foreign payments under debt settlement, principal and interest— 1. Treasury notes_______________________________ _____________ (d) Retirements from receipts from estate taxes— 1. Fourth Liberty loan________________________________________ (e) Redemption of securities from Federal reserve banks and Federal intermediate credit banks, franchise-tax receipts, and old-debt items__________________________________________________________ 190, 727, 887. 12 1, 067, 891, 400. 00 , 1, 091, 331, 946. 72 II. REDUCTION IN PRINCIPAL OF THE PUBLIC DEBT RE QUIRED TO BE PAID FROM ORDINARY RECEIPTS: (a) Sinking fund— 1. Third Liberty loan_________________________________________ 2. Treasury notes____________________________________________ Total, purchases from foreign repayments (b) - 14, 658. 19 400, 194. 71 776, 888. 27 191, 416, 012. 86 688, 125. 74 Adjustment between cash expenditures and checks issued __ Total, sinking fund (a) . Actual, 1929 370, 277, 100. 00 553, 150. 00 18, 000. 00 1, 800, 000. 00 231, 500, 000. 00 , , . 6 200 000 00 20, 050, 000. 00 571, 150. 00 214, 700, 000. 00 175, 642, 350. 00 54, 100. 00 20, 000, 00 , , . 6 210 000 00 (J) Retirements from gifts, forfeitures, and other miscellaneous receipts— 1. First Liberty loan__________________________________________ 2. Second Liberty loan_____________________________*--------------3. Third Liberty loan_________________________________________ 4. Fourth Liberty loan________________________________________ 5. Victory notes______________________________________________ 6. Treasury notes_____________________________________________ 7. Thrift and Treasury saving stamps________________________ 2, 933, 400. 00 5, 7, 22, 110, 250. 000. 450. 900. 00 00 00 00 1, 000. 00 13, 100. 00 3. 75 Total retirements from gifts, forfeitures, etc. (J)________ 200, 000. 00 160, 000. 00 159, 703. 75 Total net reduction in principal of the public debt required to be paid from ordinary receipts___________ 635, 324, 000. 00 630, 365, 600. 00 549, 603, 703. 75 Total, Treasury Department___________________________ 1, 626, 146, 000. 00 1, 698, 257, 000. 00 1, 640, 935, 650. 47 a33 BUDGET STATEMENTS No. 2.— Estimated expenditures, fiscal year 1931, compared with prior years— Continued D e t a i l b y C h a r a c t e r o f E x p e n d i t u r e s U n d e r O r g a n i z a t i o n U n i t s — Continued Classification , ORDINARY EXPENDITURES— 12. W A R D E P A R T M E N T — (a) General expenditures— Military activities and departmental— 1. Salaries, War Department— 1. Office of Secretary of W a r_____________________________ 2. Office of Chief of Staff__________________________________ 3. Adjutant General’s office_______________________________ 4. Office of the Inspector General_________________________ 5. Office of the Judge Advocate General___________________ 6. Office of the Chief of Finance___________________________ 7. Office of the Quartermaster General_____________________ 8. Office of the Chief Signal Officer________________________ 9. Office of the Chief of Air Corps_________________________ 10. Office of the Surgeon General___________________________ 11. Office of Chief of Bureau of Insular Affairs______________ 12. Office of Chief of Engineers_____________________________ 13. Office of Chief of Ordnance______________________________ 14. Office of Chief of Chemical Warfare Service_____________ 15. Office of Chief of Coast Artillery_________________ ______ _ 16. Militia Bureau, War Department________________________ 17. Expenses of administration of war claims________________ 18. Administrative expenses, World War adjusted compen sation act_____________________________________________ Total, salaries, War Department. , 1931 $293, 000. 00 225, 000. 00 1, 435, 000. 00 27, 000. 00 104, 000. 00 371, 000. 00 820, 000. 00 106, 000. 00 231, 000. 00 270, 000. 00 83, 000. 00 123, 000. 00 440, 000. 00 52, 000. 00 25, 000. 00 149, 000. 00 00 00 00 00 112, 000. 00 106, 557. 80 4, 817, 020. 78 148, 000. 00 464, 000. 00 10, 000. 00 142, 360. 80 512, 680. 27 6, 596. 33 674, 000. 00 622, 000. 00 661, 637. 40 62, 000. 00 82, 000. 00 57, 000. 00 78, 000. 00 60, 830. 84 77, 827. 86 4, 500. 00 4, 500. 00 4, 474. 97 42, 000. 00 60, 000. 00 41, 400. 00 60, 000. 00 42, 282. 67 60, 001. 59 8. 70 106, 500. 00 105, 900. 00 106, 767. 93 10, 000. 00 Total, Adjutant General's Department. i Deduct, excess of credits. 000. 000. 800. 000. $231, 058. 86 223, 925. 71 1, 421, 504. 39 27, 185. 30 83, 378. 75 364, 145. 63 785, 503. 83 99, 229. 33 229, 589. 36 266, 782. 33 80, 421. 35 121, 800. 76 423, 381. 13 44, 009. 04 24, 575. 91 144, 102. 30 139, 869. 00 154, 000. 00 510, 000. 00 5. Adjutant Generali Department— 1. Contingencies, headquarters of military departments, etc_________ __________________________________________ 2. Command and General Staff School, Fort Leavenworth, Kans-------------- -------- ----------------------------- ----------------------3. Military post exchanges_________________________________ 4. Miscellaneous___________________________________________ Total, Quartermaster Corps. 432, 44, 24, 144, 500. 00 3. General Staff Corps— 1. Contingencies, Military Intelligence Division, General Staff Corps____ ______ 4. Army War College__________ 7. Quartermaster Corps— 1. Subsistence of the Army-------------------------------------------------2. Regular supplies________________________________________ 3. Clothing and equipage__________________________________ 4. Incidental expenses_____________________________________ 5. Army transportation____________________________________ 6. Horses for Uavalrv, Artillery, Engineers, etc____________ 7. Construction of buildings, etc., at military posts. - - - - — 8. Barracks and ^quarters and other buildings and utilities^ 9. Shooting galleries and ranges____________________________ 10. Rent of buildings, Quartermaster Corps_______________ 11. Sewerage system, Fort Monroe, Va_____________________ 12. Construction and repair of hospitals___________ _■_______ 13. Miscellaneous items_____________________________________ . 122, 000. 00 Actual, 1929 4, 759, 300. 00 Total, office of Secretary of War_____ Total under Finance Department____________________ $285, 000. 00 228, 000. 00 1, 420, 000. 00 27, 000. 00 89, 000. 00 370, 000. 00 795, 000. 00 99, 000. 00 217, 000. 00 269, 000. 00 81, 000. 00 ! 4, 754, 000. 00 2. Office of Secretary of War— 1. Contingent expenses, War Department, including stationery and postage___________________ 2. Printing and binding_____________________ 3. Contingencies of the Army_______________ 6. Finance Department— 1. Pay of the Army________________________________ 2. Mileage of the Army____________________________ 3. Expenses of courts-martiaL_____________________ 4. Apprehension of deserters, etc__________________ 5. Finance service_________________________________ 6. Claims for loss of or damage to private property. 7. Army account of advances______________________ 8. Pay of the Army, deposit fund__________________ 9. Other trust funds_______________________________ Estimated. 1930 133, 000, 680, 65, 125, 1, 105, 43, 000. 000. 000. 000. 000. 000. 00 00 00 00 00 00 133, 000, 740, 65, 135, 1, 105, 44, 000. 000. 000. 000. 000. 000. 00 00 00 00 00 00 1, 300, 000. 00 1, 400, 000. 00 136, 318, 000. 00 136, 489, 000. 00 000, 000. 750, 000. 000, 000. 900, 000. 000, 000. 390, 000. 12, 000, 000. 10, 500, 000. 35, 000. 15, 300. 16, 800. 500, 000. 600, 000. 24, 10, 7, 3, 14, 00 00 00 00 00 00 00 00 00 00 00 00 00 83, 707, 100. 00 000, 000. 000, 000. 800, 000. 850, 000. 500, 000. 475, 000. 15, 000, 000. 12, 000, 000. 35, 000. 15, 000. 17, 000. 575, 000. 1, 400, 000. 24, 11, 5, 3, 14, 00 00 00 00 00 00 00 00 00 00 00 00 00 88, 667, 000. 00 128, 378, 746, 63, 105, 1, 065, 30, 80, 1, 418, 1 5, 359. 106. 449. 481. 204. 537. 547. 574. 573. 12 94 29 26 72 61 66 12 23 131, 882, 687. 49 124. 70 172. 78 427. 62 382. 09 944. 19 475. 80 448. 25 880. 07 587. 98 097. 56 17, 552.04 1, 039, 060.02 1, 535, 160.03 24, 10, 6, 3, 16, 228, 757, 650, 859, 641, 533, 8, 928, 11, 660, 32, 15, 85, 899, 313. 13 a34 THE BUDGET, 1931 No. 2.— Estimated expenditures, fiscal year 1931, compared with prior years D e t a i l by C h a r a c t e r o f E x p e n d i t u r e s U n d e r O r g a n iz a t i o n Classification I. ORDINARY EXPENDITURES— Continued. 1 2. W A R D E P A R T M E N T — Continued. (a) General expenditures— Continued. Military activities and departmental— Continued. 8. Seacoast defenses— 1. United States— 1. Signal Corps_____________________ 2. Corps of Engineers_______________ 3. Ordnance Department___________ 4. Coast Artillery Corps____________ Total, seacoast defenses, United States. Insular possessions— 1. Signal Corps__________ 2. Corps of Engineers___ 3. Ordnance Department. 4. Coast Artillery Corps.. Total, seacoast defenses, insular possessions. 3. Panama Canal— 1. Signal Corps________________________________ 2. Corps of Engineers__________________________ 3. Ordnance Department_______________________ 4. Coast Artillery Corps____________ _____ _____ 5. Quartermaster Corps________________________ Estimated, 1930 Estimated, 1931 $115, 421, 301, 186, 000. 000. 000. 000. Continued 00 00 , 00 i 00 i 1, 023, 000. 00 103, 000. 00 Actual, 1929 $115,000.00 i 500, 000. 00 : 950, 000. 00 i 220, 000. 00 I 1, 785, 000. 00 86 28 77 13 1, 252, 207. 04 302, 000. 00 226, 000. 00 851, 000. 00 947, 000. 00 566, 469. 02 43, 359, 154, 252, 30, 479, 125, 240, 24, 523, 271, 125, 000. 000. 000. 000. 00 00 00 00 000. 000. 000. 000. 00 00 00 00 916. 775. 455. 059. 93, 360, 279, 215, 220, 000. 00 000. 000. 000. 000. $56, 313, 689, 192, ! ! ! i 00 00 | 00 00 ! 26, 100, 223, 216, 217. 199. 685. 365. 114. 424. 360. 064. 22. 46 79 92 85 50 20 04 22 35 Total, seacoast defenses, Panama Canal. 808, 000. 00 874, 000. 00 943, 985. 31 Total, seacoast defenses__________ _____ 2, 682, 000. 00 3, 606, 000. 00 2, 762, 661. 37 2, 700, 000. 00 2, 300, 000. 00 2, 248, 327. 19 9. Signal Corps— 1. Signal service of the Army_ 10. Air Corps— 1. Air Corps, Army, expenses____ 2. Air Corps, Army, public works. Total, Air Corps. 11. U n its — 29, 600, 000. 00 2, 000, 000. 00 21, 931, 000. 00 j 6, 069, 000. 00 | 23, 261, 642. 98 31, 600, 000. 00 28, 000, 000. 00 23, 261, 642. 98 Medical Department— 1. Medical and hospital department___ 2. Hospital care, Canal Zone garrisons3. Army Medical Museum and Library, 1, 300, 000. 00 40, 000. 00 26, 000. 00 1, 500, 000. 00 j 40, 000. 00 ! 26, 000. 00 ! 1, 011, 961. 51 50, 000. 00 26, 147. 69 Total, Medical Department_____ 1, 366, 000. 00 1, 566, 000. 00 1, 088, 109. 20 400. 00 401. 50 12. Bureau of Insular Affairs— 1. Care of insane Filipino and Porto Rican soldiers, etc13. Corps of Engineers— 1. Engineer depots_____________________________________ 2. Engineer school_____________________________________ 3. Engineer equipment of troops_______________________ 4. Engineer operations in the field_____________________ 5. Military surveys and maps__________________________ 6. Miscellaneous_______________________________________ Total, Corps of Engineers. 14. Ordnance Department— 1. Ordnance service_____________ 2. Ordnance stores, ammunition. 3. Ammunition storage facilities., 4. Manufacture of arms_________ 5. Ordnance stores and supplies-_ 6. Automatic rifles_____ _________ 7. Tanks________________________ 8. Field Artillery armament_____ 9. Proving grounds, Army_______ 10. Repairs of arsenals___________ 11. Miscellaneous items__________ Total, Ordnance Department. 95, 23, 260, 96, 80, 000. 000. 000. 000. 000. 00 00 00 00 00 93, 000. 00 ; 23, 000. 00 : 370, 000. 00 . 88, 000. 00 117, 000. 00 -I 554, 000. 00 9, 350, 000. 00 981, 000. 00 175, 000. 00 10, 506, 000. 00 691, 000. 00 10, 652, 000. 00 1, 938, 700. 00 175, 000. 00 i 12, 765, 700. 00 94, 26, 165, 88, 77, 8, 021. 584. 059. 913. 319. 000. 52 91 10 14 20 97 459, 898. 84 1, 037, 121. 3, 332, 862. 812, 046. 316, 637. 597, 954. 179, 513. 227, 698. 2, 190, 577. 201, 430. 1, 394, 920. 516, 653. 58 08 73 34 42 80 18 14 99 13 68 10, 807, 416. 07 a35 BUDGET STATEMENTS No. 2.— Estimated expenditures 7fiscal year 1931, compared with prior years— Continued D e t a i l by C h a r a c t e r o f E x p e n d itu r e s U n d e r O r g a n iz a tio n Classify ation ORDINARY EXPENDITURES— Continued. 12. W A R D E P A R T M E N T — Continued. (a) General expenditures— Continued. Military activities and departmental— Continued. 15. Chemical Warfare Service— 1. Chemical Warfare Service, Annv ... . _ 16. Chief of Infantry-— 1. Infantry School, Fort Benning, Ga______ _ -----------------2. Tank service__ ____ _ ......................... Total, Chief of Infantrv____ .. _ _____ 17. Chief of Cavalrv: Cavalry School, Fort Riley, Kans __ __ __ IS. Chief of Field Artillery: Field Artillery School and instruction—. 10. Chief of Coast Artillery: Coast Artillery School, Fort Monroe, Va___ _________ 1______________ ________________________ 20. Military Academy— 1. Pav_ . _ 2. Maintenance S. Buildings _ - Total, Military Academy. ... ______ _______ . . . _ . . . . 21. Militia Bureau— 1. Arming, equipping, and training the National Guard. . 2. Armory drill pav__ __ ..................... ................ 3. Arms, uniforms, equipment, etc., for field service, National Guard., ............. ................... . . Total, Militia Bureau................... 22. Organized Reserves .. _ _ _ 23. Citizens’ military training— 1. Reserve Officers’ Training C orps___________ _ 2. Supplies for schools and colleges.. 3. Citizens’ military training camps . . . ... _ _ _ _ Total, citizens' military training . __ _____ . 24. National Board for Promotion of Rifle Practice'______ 25. Special deposit accounts___ ____ ______ . 26. War Claims, judgments, and relief acts__ Total, military activities and departmental.. . . . . XonmHilary activities— 1. Finance Department— 1. Annuities _ . ______________________ 2. Extra pav, war with Spain _ . . . 2. Quartermaster Corps— 1. National cemeteries______________ 2. National military parks and national monuments. __ Total, Quartermaster Corps__________ . 3. Signal Corps: W^ashington-Alaska Military Telegraph System . _ ................... Cable *. and __ i Continued Estimated, 1931 Estimated, 1930 Actual, 1929 $1, 100, 000. 00 $1, 250, 000. 00 $1, 234, 917. 79 36, 000. 00 27, 000. 00 63, 000. 00 34, 000. 00 28, 000. 00 62, 000. 00 34, 369. 59 27, 807. 20 62, 176. 79 20, 000. 00 25, 000. 00 20, 000. 00 25, 000. 00 19, 744. 22 23, 064. 92 28, 000. 00 28, 000. 00 28, 138. 49 1, 255, 000. 00 1, 205, 000. 00 1, 235, 000. 00 1, 125, 000. 00 600, 000. 00 1, 234, 263. 74 1, 127, 498. 20 454, 398. 88 2, 460, 000. 00 2, 960, 000. 00 2, 816, 160. 82 15, 300, 000. 00 11, 000, 000. 00 15, 600, 000. 00 11,000, 000. 00 15, 616, 271. 20 11, 808, 860. 66 5, 700, 000. 00 5, 500, 000. 00 5, 591, 192. 74 32, 000, 000. 00 32, 100, 000. 00 33, 016, 324. 60 6, 300, 000. 00 5, 500, 000. 00 4, 608, 705. 44 3, 500, 8, 2, 700, 6, 208, 2, 650, 8, 2, 700, 5, 358, 3, 199, 7, 2, 756, 5, 963, 000. 000. 000. 000. 00 00 00 00 000. 000. 000. 000. 00 00 00 00 557. 624. 262. 444. 45 06 83 34 700, 000. 00 700, 000. 00 500, 000. 00 1, 256, 000. 00 733, 620. 51 1 1, 842, 349. 80 2, 732, 774. 70 324, 515, 600. 00 328, 966, 300. 00 313, 531, 265. 40 28, 500. 00 800. 00 5, 400. 00 5, 400. 00 1, 128, 000. 00 394, 000. 00 1, 522, 000. 00 1, 007, 000. 00 1, 160, 000. 00 2, 167, 000. 00 1, 195, 821. 91 301, 927. 19 1, 497, 749. 10 280, 000. 00 172, 000. 00 184, 455. 74 41, 100.00 900. 00 75, 000. 00 900.00 42, 000. 00 75, 900. 00 2, 500. 00 17, 500. 00 2, 500. 00 15, 300. 00 _________ ____ 138, 000. 00 4, 15, 29, 195, 20, 000. 00 155, 800. 00 244, 283. 93 j 4. Medical Department— j 1. Artificial limbs -----_ _______ _ .j 2. Trusses and appliances for disabled soldiers___ _____ j 3. Medical and Surgical History orld War _ * of the WT 1 Total, Medical Department___ _ ____ _ 5. Corps of Engineers— 1. Miscellaneous objects— 1. Improvements, birthplace of George Washington, Wakefield, Va__ __ ____ ______ 2. Expenses, California Debris Commission ______ 3. Government wharves . _ 4. Miscellaneous items____________________ _____ . Total, miscellaneous objects under Corps of ( Engineers ____ _ __________ 1 D educt, escess of credits. U n its— 43, 825. 483. 9, 190. 53, 499. 676. 316. 153. 137. 00 85 76 61 15 82 32 64 a36 THE BUDGET, 1931 No. 2.— Estimated expenditures, fiscal year 1931, compared with prior years— Continued D e t a il by C h aracter of E x p e n d i t u r e s U n d e r O r g a n i z a t io n U Estimated, 1931 Classification ORDINARY EXPENDITURES— Continued. 12. W A R D E P A R T M E N T — Continued. j (a) General expenditures— Continued. Nonmilitary activities— Continued. ! 5. Corps of Engineers— Continued. 2. Roads in Alaska-— 1. Construction and maintenance of roads, bridges, and trails, Alaska, 2. Wagon roads, bridges, and trails, Alaska fund, 3. Funds contributed for improvement of roads, bridges, and trails, Alaska_________ ______ ____ _ Total, roads in Alaska _ _____ 3. Rivers and harbors— 1. Maintenance and improvement of existing river and harbor works____________ ____ ______ ____ __ 2. Muscle Shoals_______ __ _________________________ 3. Flood relief_________________________ ________ ____ 4. Flood control _______ * 5. Permanent specific and indefinite appropriations. _ 6. Funds contributed for river and harbor improve ments and flood control______ ____ ______ ______ Total, rivers and harbors_____ 1 Total, Corps of Engineers 6. Soldiers* homes— 1. National Home for Disabled Volunteer Soldiers, support. 2. National Home for Disabled Volunteer Soldiers, build i ings. __ __ ......... .................... ..................................... 3. State and Territorial homes for disabled soldiers and sailors __ ____ __________ 4. Soldiers' Home permanent fu n d ____ ____ __________ 5. Soldiers’ Home interest account..................................... Total, soldiers’ homes___ 7. 8. 9. 10. n it s — _ - _ _ __ _________ Estimated, 1930 $800, 000. 00 125, 000. 00 (J) Panama Canal— 1. Maintenance and operation________________________ ________ 2. Sanitation, Canal Zone..... ............................... .... 3. Civil government, Panama Canal and Canal Zone_____ ______ 4. Special deposit accounts____________________________ _____ __ 200, 000. 00 239, 344. 85 1, 125, 000. 00 1, 269, 604. 84 53, 000, 000. 00 260, 000. 00 50, 455, 000. 00 1 970, 000. 00 35, 000, 000. 00 6, 000, 000. 00 36, 430, 000. 00 5, 997, 600. 00 1, 190, 000. 00 1, 160, 000. 00 174, 996. 87 95, 450, 000. 00 95, 012, 600. 00 83, 388, 415. 24 96, 570. 000. 00 96, 293, 400. 00 84, 902, 304. 01 10, 500, 000. 00 9, 600, 000. 00 8, 647, 349. 27 1, 600, 000. 00 326, 372. 05 560, 000. 00 597, 000. 00 114, 000. 00 585, 649. 32 619, 756. 36 107, 381. 27 12, 471, 000. 00 10, 286, 508. 27 560, 000. 00 597, 000. 00 100, 000. 00 3, 000, 000. 00 1, 500, 000. 00 114, 700, 300. 00 | 1, 500, 000. 00 1, 500, 000. 00 2, 000. 00 H4, 186, 700. 00 49, 920, 330, 1, 311, 24, 028, 7, 623, 2, 500, 978, 26, 3, 279. 054. 252. 773. 058. 000. 500. 347. 306. 15 24 43 92 63 00 98 08 33 100, 438, 071. 12 413, 969, 336. 52 2, 932, 209. 90 439, 215, 900. 00 443, 153, 000. 00 10, 000, 000. 00 745, 000. 00 1, 100, 000. 00 8, 100, 000. 00 820, 000. 00 1, 191, 000. 00 416, 901, 546. 42 7, 927, 666, 1, 172, 1 146, 398. 340. 032. 339. 39 54 74 66 9, 619, 432. 01 573, 784. 72 Adjustment between cash expenditures and checks issued____________ Total, Panama Canal (see Statement No. 8 for operations on accrual basis)____________________ 11, 845, 000. 00 Total, War Department, including Panama Canal- 451, 060, 900. 00 > Deduct, excess of credits. $902, 452. 05 127, 807. 94 200, 000. 00 Adjustment between cash expenditures and checks issued _ _ Total, War Department, exclusive of Panama Canal, general expenditures ( a ) ................. _ Actual, 1929 1, 100, 000. 00 11, 757, 000. 00 | Inland Waterways Corporation • _ _ _____ __ War claims, judgments, and relief acts_____________________ Trust funds— Estates of deceased soldiers__________ _ Miscellaneous items_________ ____ _____________ Total, nonmilitary activities $800, 000. 00 100, 000. 00 C ontinued 10, 111,000. 00 9, 045, 647. 29 453, 264, 000. 00 425, 947, 193. 71 a37 BUDGET STATEMENTS No. 2.— Estimated expenditures, fiscal year 1931, compared with prior years— Continued D e t a i l by C h a r a c t e r o f E x p e n d itu r e s U n d e r O r g a n iz a tio n U n its — Estimated, 1931 Classification Continued I Estimated, 1930 Actual, 1929 STATEMENT OF EXPENDITURES FOR PUBLIC WORKS UNDER WAR DEPARTMENT $ 12, 000 , 000 . 00 Construction of buildings, etc., at military posts______ Barracks and quarters and other buildings and utilities. Construction and repair of hospitals___________________ Miscellaneous: Acquisition of land, Selfridge Field------------------------Acquisition of land, Schofield Barracks____________ Sites at military posts_____________________________ Acquisition of land________________________________ Seacoast defenses: Engineers_________________________________________ Insular departments, Engineers____ _______ _______ Panama Canal, Engineers_________________________ Signal Service of the Army____________________________ Air Corps, Army_______________________________________ Repairs of arsenals____________________________________ Ammunition storage facilities__________________________ Military Academy, buildings___________________________ $ 15, 000, 000. 00 , 928, 448. 00 279, 444 1, 000 1, 729 27, 583 72, 792 600, 000. 00 23, 700. 00 136, 800. 00 344, 100. 00 2, 000, 000 . 00 200, 000. 00 144, 200. 00 Total, military, public works. 25, 100. 00 12, 000. 00 190, 241, 6, 069, 972, 372, 600, 000. 100. 000. 700. 300. 000. 00 00 00 00 00 00 15, 448, 800. 00 23, 482, 200. 00 170, 700. 00 118, 400. 00 134, 000. 00 147, 000. 00 237, 800. 00 134, 000. 00 21, 61, 426, 178, 832, 458, 324, 296, 759. 400. 161. 060. 000. 965. 439. 340. 00 00 00 00 00 00 00 00 11, 910, 120. 00 n o n m il it a r y National cemeteries_______________________________________________________ National military parks and monuments__________________________________ Construction and maintenance of roads, bridges, and trails, Alaska_______ Government wharves_____________________________________________________ Conduit road_____________________________________________________________ Interoceanic canals_______________________ - ______ _______________________ Maintenance and improvement of existing river and harbor works________ Maintenance and operation, Dam No. 2, Muscle Shoals__________________ Flood control, Mississippi River__________________________________________ Emergency fund for flood control, Mississippi River______________________ Flood control, Sacramento River---------------------- ----------------------------------------Return of funds for flood control, Sacramento River______________________ Gauging waters of the Mississippi River---------------------------------------------------Operating and care of canals______________________________________________ Funds contributed for river and harbor improvements____________________ Funds advanced for river and harbor improvements______________________ Funds contributed for flood control, Mississippi River____________________ Funds contributed for flood control, Sacramento River____________________ Funds contributed for improvement of roads, bridges, and trails, Alaska. _ Maintenance and operation, Panama Canal_______________________________ Sanitation, Canal Zone, Panama Canal__________________ _ _______________ National Home for disabled volunteer soldiers____________________________ 30, 403, 600. 800. 23, 415, 100. 175, 700. 544, 100. 00 00 00 00 00 2, 700. 00 600, 000. 00 425, 600. 00 88, 000. 00 144, 157, 60, , 600, 000. 900. 000. 000. 00 00 00 00 3, 000. 00 135, 000. 00 26, 871, 800. 00 600. 00 19, 786, 800. 00 275, 800. 00 494, 400. 00 4, 370, 000. 00 2, 700. 00 625, 000. 00 368, 800. 00 175, 000. 00 248, 000. 00 166, 300. 00 60, 000. 00 1, 651, 500. 00 80, 000. 00 1, 600, 000. 00 106, 152, 174, 29, 286. 107. 381. 153. 00 00 00 00 25, 565, 25, 5, 632, 121, 203, 242. 730. 788. 595. 735. 00 00 00 00 00 2, 689, 116, 3, 4, 12, 65, 1, 160, 536. 329. 032. 829. 417. 812. 210. 120. 00 00 00 00 00 00 00 00 " ’ 326* 372." 00 Total, nonmilitary, public works. 59, 040, 600. 00 57, 433, 500. 00 34, 391, 674. 00 Total, public works, War Department___ 74, 489, 400. 00 80, 915, 700. 00 46, 301, 794. 00 5, 241, 920. 5, 373, 965. 4, 355, 910. 5, 354, 470. 5, 231, 927. 12, 562, 000. 3, 058, 882. 288, 066. 4, 6, 3, 4, 4, 12, 2, 1, 975, 5, 730, 3, 432, 4, 859, 5, 081, 12, 513, 2, 498, 178, 13. D I S T R I C T O F C O L U M B I A (a) General expenditures— 1. General fund— 1. General government___________ 2. Protection of life and property. 3. Health and sanitation_________ 4. Highways_____________________ 5. Public welfare_________________ 6. Education_____________________ 7. Recreation____________________ 8. Miscellaneous_________________ Total, general fund. 41, 467, 140. 00 2. Public-service enterprises _ 3. Trust and special funds. 1, 947, 860. 00 2, 000, 000. 00 Total, District of Columbia, general expenditures (a)__ (o) Investment of teachers' retirement fund____ ___________ Total, District of Columbia___ ____ Unclassified items______ _________ 00 00 00 00 00 00 00 00 ______ 585, 000. 00 ______ __ _ _______ ____ Total ordinary expenditures______________ 45, 415, 000. 00 46, 000, 000. 00 122, 900. 639, 300. 726, 700. 275, 100. 878, 300. 383, 700. 940, 400. 272, 000. 00 00 00 00 00 00 00 00 39, 238, 400. 00 | 1, 495, 300. 00 3, 077, 500. 00 43, 811, 200. 00 | 585, 000. 00 44, 396, 200. 00 j _ _ _________________ !____"" — 1................. .............. - ______ 3, 467, 614, 700. 00 3, 393, 316, 300. 00 Total expenditures payable from ordinary receipts___ 4, 102, 938, 700. 00 4, 023, 681, 900. 00 991. 217. 615. 182. 483. 734. 668. 391. 01 17 99 00 81 17 03 80 36, 270, 283. 98 1, 641, 251. 62 2, 205, 050. 78 40, 116, 586. 38 503, 158. 37 40, 619, 744. 75 17, soa 40 3, 298, 859, 485. 88 3, 848, 463,189. 63 a 38 THE BUDGET, 1931 No. 2.— Estimated expenditures7fiscal year 1931, compared with prior years— Continued D e t a il by C h aracter of E x p e n d i t u r e s U n d e r O r g a n i z a t io n Estimated, 1931 Classification SUMMARY, INCLUDING POSTAL SERVICE U n it s — C ontinued I Estimated, 1930 Actual, 1929 j Legislative establishment_________________________________________________ $28, 879, 500. 00 Executive Office and independent establishments__________________ _____ 902, 579, 000. 00 Department of Agriculture_______________________________________________ 167, 068, 600. 00 Department of Commerce_________________________________________ ______ 51, 184, 000. 00 Department of the Interior______________________ ________________ ______ 306, 660, 000. 00 Department of Justice____________________________________________________j 31, 752, 000. 00 Department of Labor__________________________ ______________ ___________ 11, 997, 400. 00 Navy Department__________________________ _____________________________ 385, 000, 000. 00 Post Office Department (payable from the Treasury)_____________________ : 78, 500, 000. 00 State Department________________________ ___________________ _________ _ 16, 111, 300. 00 Treasury Department_____ ______________________________________________ 1, 626, 146, 000. 00 War Department_______________________________________________________ 451, 060, 900. 00 District of Columbia___________________________________________________ 46, 000, 000. 00 Unclassified items________________ _____ _______________________________ $21, 702, < 741, 640, \ 173, 796, ; 58, 478, < 309, 259. : 29, 014, i 11, 269, ! 384, 900, ( 84, 000, ( 13, 703, < 1, 698, 257, ( 453, 264, ( 44, 396, i Total expenditures payable from ordinary receipts_________________ Expenditures from postal revenues, exclusive of deficiency in postal reve nues, which is included in expenditures from ordinary receipts_________ 4, 023, 681, 900. 00 4, 102, 938, 700. 00 00 00 00 00 00 00 00 00 00 00 00 00 00 $17, 635, 171, 39, 321, 28, 11, 364, 137, 13, 1, 640, 425, 40, 546, 061, 147, 987, 077, 891, 311, 561, 790, 566, 935, 947, 619, 17, 655. 822. 262. 346. 786. 620. 190. 543. 614. 954. 650. 193. 744. 803. 67 24 58 45 91 32 36 99 33 45 47 71 75 40 3, 848, 463, 189. 63 754, 400, 000. 00 725, 400, 000. 00 696, 947, 578. 00 Total expenditures_________________________________________________ | 4, 857, 338, 700. 00 4, 749, 081, 900. 00 4, 545, 410, 767. 63 a 39 BUDGET STATEMENTS Budget Statement No. 3 Estimated receipts, exclusive oj postal revenues, fiscal year 1931, compared with prior years O r d in a r y R e c e ip t s D e t a il e d by Sources U nder O r g a n iz a t io n Estimated, 1931 Classification L E G IS L A T IV E : 1. House of Representatives— 1. Nonrevenue receipts— (i) Proceeds sale of surplus property— 1. Sales of Government property— 1. Capital equipment____ _ ____ *1, 000. 00 2. Miscellaneous— 1. Revenue receipts— (k) Other miscellaneous— 1. Interest, exchange, and dividends on capital stock— 1. Interest on deferred collections or paym en ts._____ ____ _______ 2. Interest on funds contributed for memorial to women of World War _ U n it s Estimated, 1930 Actual, 1929 SI, 017. SI, 000. 00 25 . 18 2, 564. 00 12, 441. 46 Total, interest, exchange, and dividends on capital sto c k __ 2, 564. 00 12, 441. 64 2. Gifts and contributions—1. Funds contributed for memorial to women of World War- 123, 961. 00 210, 634. 30 126, 525. 00 223, 075. 94 126, 525. 00 223, 075. 94 Total, other miscellaneous (k)__ Total, legislative, miscellaneous™ _ 3. Architect of the Capitol— 1. Revenue receipts— (k) Other miscellaneous— 1. Reimbursements— 1. Electric-light charges__ ____ ____ 2. Sales of Government property— products— 1. Condemned stores, materials, etc____ 2. Heat, light, and power „ ___ 3. Plans and specifications ____ __ _ 925. 77 1, 500. 00 154, 155. 00 8, 802. 00 156, 155. 00 375. 00 (k)__ 155, 655. 00 164, 957. 00 1, 300. 77 Total, Architect of the Capitol__ 155, 655. 00 164, 957. 00 1, 300. 77 34, 600. 00 32, 400. 00 24, 923. 12 325, 000. 00 315, 000. 00 Total, other miscellaneous 4. Library of Congress— 1. Revenue receipts— (k) Other miscellaneous— 1. Interest, exchange, and dividends on capital stock— 1. Income on Library of Congress trust fund, investment account, ___ 2. Fees— 1. Copyright __ ___ j o v -■* 3. Forfeitures— 1. Unclaimed monevs, Copyright Office 4. Gifts and contributions—■ 1. Contributions to Library of Congress gift fund . ____ ____ ___ 203, 000. 00 203, 300. 00 181, 025. 22 245, 000. 00 3, 000. 00 230, 000. 00 2, 900. 00 22. 55 193, 846. 15 2, 419. 54 248, 000. 00 232, 900. 00 196, 288. 24 ' 2. Nonrevenue receipts— j 1. Trust funds— 1. Contributions to Library of Congress trust fund, investment account__ _______ Total, other miscellaneous Total, Library of Congress (k)_ __ ____ _ _- 308, 825. 00 37. 64 5. Sales of Government property—products— j 1. Scrap and salvaged materials, con demned stores, waste paper, refuse, __ ____ ____ ____ etc 2. Card indexes, Library of Congress___ 3. Photo duplications,___ _____ _J Total, sales of Government propertv—products _ __ __ ' I 100, 000. 00 1, 515. 75 810, 600. 00 883, 600. 00 712, 614. 97 810, 600. 00 883, 600. 00 712, 614. 97 a40 THE BUDGET, 1931 No. 3.— Estimated receipts, exclusive oj postal revenues, fiscal year 1931, compared with prior years— Continued O r d in a r y R e c e ip ts D e t a i le d by S o u r c e s U n d e r O r g a n iz a tio n Classification U n i t s — Continued Estimated, 1931 Estimated, 1930 Actual, 1929 L E G ISL A T IV E —Continued. 5. Government Printing Office— 1. Revenue receipts— (k) Other miscellaneous— 1. Sales of Government property—products— 1. Scrap and salvaged materials, con demned stores, waste paper, refuse, etc____ ___________ 2. Sale of publications_______ _ _ Total, other miscellaneous (k) ___ $55, 000. 00 260, 000. 00 315, 000. 00 $55, 000. 00 250, 000. 00 305, 000. 00 $47, 683. 59 125, 000. 00 172, 683. 59 Total, Government Printing Office- 315, 000. 00 305, 000. 00 172, 683. 59 1, 282, 255. 00 1, 481, 082. 00 1, 110, 692. 52 30. 00 30. 00 289. 89 Total, miscellaneous receipts under Legislative______ _ E X E C U TIV E O FFIC E AND IN D E P E N D E N T E ST A B L ISH M E N T S: 1. Executive Office— 1. Revenue receipts— (&) Other miscellaneous— 1. Sales of Government property—products— 1. Scrap and salvaged materials, con demned stores, waste paper, refuse, etc----------- ---------- 2. Rents and royalties— 1. Rent of equipment_________ Total, other miscellaneous (AO-------------------2. Nonrevenue receipts— (i) Proceeds sale of surplus property— 1. Sales of Government property— 1. Capital equipment------Total, Executive Office __ 2. Board of Mediation— 1. Revenue receipts— (AO Other miscellaneous— 1. Sales of Government property—products— 1. Scrap and salvaged materials, con demned stores, waste paper, refuse, etc __ _ ----------------3. Board of Tax Appeals— 1. Revenue receipts— (AO Other miscellaneous— 1. Sales of Government property—products— 1. Scrap and salvaged materials, con demned stores, waste paper, refuse, etc _____________ _______ 2. Fees_________________ ____ _____ Total, Board of Tax Appeals____ 4. Civil Service Commission— 1. Revenue receipts— (k) Other miscellaneous— 1. Sales of Government property—products— 1. Scrap and salvaged materials, con demned stores, waste paper, refuse, etc___________________________ 5. Employees’ Compensation Commission— 1. Revenue receipts— (AO Other miscellaneous— 1. Fees— 1. Copying____________ ____ 2. Nonrevenue receipts— (*) Proceeds sale of surplus property— 1. Sales of Government property— 1. Capital equipment_______________ (k) Other miscellaneous— 1. Trust funds— 1. Receipts under longshoremen's and harbor workers’ compensation act_Total, Employees' Compensation Commission________ _______ 93. 00 30.00 30. 00 382. 89 30.00" 30. 00 50. 40 433. 29 45. 00 50, 000. 00 50, 000. 00 65. 00 59, 153. 05 50, 000. 00 50, 000. 00 59, 218. 05 20. 00 148. 80 50. 00 229. 10 50. 00 15. 00 20, 000. 00 20, 000. 00 20, 000. 00 20, 050. 00 20, 050. 00 20, 244. 10 a41 BUDGET STATEMENTS No. 3.— Estimated receipts, exclusive of postal revenues, fiscal year 1931, compared with prior years— Continued O r d in a r y R e c e ip t s D e t a il e d by Sources U nder Classification 2 . E X E C U T I V E O F F IC E A N D I N D E P E N D E N T E S T A B L I S H M E N T S — Continued. 6. Federal Board for Vocational Education— 1. Revenue receipts— (k) Other miscellaneous— 1. Interest, exchange, and dividends on capital stock— 1. Interest on public deposits_____ _____ O r g a n iz a t io n U n it s — Estimated, 1931 Estimated, 1930 $57, 000. 00 $57, 000. 00 Actual, 1929 $55, 007. 58 1 7. Federal Power Commission— 1. Revenue receipts— (k) Other miscellaneous— 1. Fees— 1. Copyings _____________ _ _____ ____ 2. Permits, privileges, and licenses— 1. Proceeds of licenses under Federal water power act from Indian reser ____ vations 2. Proceeds of licenses under Federal water power act from public lands and national forests______ _____ 3. Proceeds of licenses under Federal water power act, improvements of navigable waters__________________ Continued 8. 25 3, 700. 00 3, 600. 00 3, 491. 69 30, 000. 00 30, 000. 00 34, 352. 97 466, 300. 00 534, 400. 00 309, 622. 15 Total, permits, privileges, and licenses_____________________ ^ 500, 000. 00 568, 000. 00 347, 466. 81 Total, Federal Power Commis sion__ ______ ______ _______ 500, 000. 00 568, 000. 00 347, 475. 06 8. Federal Reserve Board— 1. Revenue receipts— {k) Other miscellaneous— 1. Assessments— 1. Assessments 011 Federal reserve banks for salaries and expenses, Federal Reserve Board____________ 2, 560, 300. 00 2, 605, 000. 00 2, 895, 468. 47 9. General Accounting Office— 1. Revenue receipts— (k) Other miscellaneous— 1. Reimbursements— 1. Electric-light charges___ _________ 2. O th e r____________ _____ _______ 144. 86 20.00 164 86 Total, reimbursements___________ 2. Sales of Government property— products— 1. Scrap and salvaged materials, con demned stores, waste paper, refuse, etc_________________________________ 9, 000. 00 3, 000. 00 6, 377. 79 Total, other miscellaneous (k)____ 9,000. 00 3, 000. 00 6, 542. 65 3,000. 00 3, 000. 00 2, 468. 00 12, 000. 00 6, 000. 00 9, 010. 65 2. Nonrevenue receipts— (t) Proceeds sale of surplus property— 1. Sales of Government property— 1. Capital equipment - _________ __ Total, General Accounting Office. 10. Housing Corporation— 1. Revenue receipts— (0) Proceeds of Government-owned securities— all other— 1.* Interest, exchange, and dividends on capital stock— 1. Interest on loans____________________ 2. Sales of services— 1. Profits from business operations-------- 125, 000. 00 164, 000. 00 241, 897. 99 271, 000. 00 268, 000. 00 298, 052. 13 Total, proceeds Governmentowned securities— all other (g) 396, 000. 00 432, 000. 00 539,950. 12 a42 th e b u d g e t , 1931 No. 3.— Estimated receipts, exclusive of postal revenues, fiscal year 1931, compared wtih prior years— Continued O r d in a r y R e c e ip t s D e t a il e d by Sources U nder Classification O r g a n iz a t io n U n i t s — Continued Estimated, 1931 Estimated, 1930 Actual, 1929 2. E X E C U T I V E O F F IC E A N D I N D E P E N D E N T E S T A B L I S H M E N T S — Continued. 10. Housing Corporation— Continued. 2. Nonrevenue receipts— (z) Proceeds sale of surplus property— 1. Sales of Government property— 1. Land and buildings (disposal of properties)_____ __________________ $640, 000. 00 $782, 000. 00 $1, 119, 962. 30 Total, Housing Corporation_____ 1, 042, 000. 00 1, 214, 000. 00 1, 659, 912. 42 12, 000. 00 20, 000. 00 17, 012. 90 1, 000, 000. 00 1, 000, 000. 00 977, 842. 88 25. 00 25.00 34. 35 5. 00 5.00 5. 00 450. 00 450. 00 618. 14 1, 012, 480. 00 1, 020, 480. 00 995, 513. 27 1.00 1.00 11. Interstate Commerce Commission— 1. Revenue receipts— (k) Other miscellaneous— 1. Fees— 1. Certifying railroad tariffs, etc________ (h) Trust fund receipts reappropriated for invest ment— > 2. Assessments— 1. General railroad contingent fu n d ----(k) Other miscellaneous— 3. Reimbursements— 1. Government property lost or damaged. 4. Sales of services— 1. Professional and scientific services___ 2. Nonrevenue receipts— (i) Proceeds sale of surplus property— 1. Sales of Government property— 1. Capital equipment____ _____________ Total, Interstate Commerce Com mission _____________ _ _ 12. National Advisory Committee for Aeronautics— 1. Revenue receipts— (k) Other miscellaneous— 1. Interest, exchange, and dividend on capital stock— 1. Interest on public deposits _______ 2. Reimbursements— 1. By contractors for excess cost over contract price_____________ ________ 2. Government property lost or damaged Total, reimbursements______ __ _ 2. Non revenue receipts— (») Proceeds sale of surplus property— 1. Sales of Government property— 1. Capital equipment_________ _ _____ Total, National Advisory Com mittee for Aeronautics ______ 1. 00 100. 00 6, 286. 86 2. 50 100. 00 6, 289. 36 15. 50 1. 00 101.00 13* Public Buildings and Public Parks of the National Capital— 1. Revenue receipts— (&) Other miscellaneous— 1. Reimbursements— 1. By contractors for excess cost over contract price._________________ _ 2. Government property lost or damaged Total reimbursements_______ _ _ 2. Sales of Government property— products— 1. Scrap and salvaged materials, con demned stores, waste paper, refuse, etc _____ _______ _____ Total, other miscellaneous (A;)___ 2. Nonrevenue receipts— (i) Proceeds sale of surplus property— 1. Sales of Government property— 1. Capital equipment ________ ________ Total, Public Buildings and Public Parks of the National Capital ____________ __________ 6, 304. 86 7. 10 71. 78 78. 88 250. 00 225. 00 1, 085. 92 250. 00 225. 00 1, 164. 80 42. 50 250. 00 225.00 1, 207. 30 a43 BUDGET STATEMENTS No. 3.— Estimated receipts, exclusive oj postal revenues, jiscal year 1931, compared with prior years— Continued O r d in a r y R e c e ip ts D e t a ile d b y S o u r c e s U n d e r O r g a n i z a t i o n U n i t s — Continued Classification Estimated, 1931 Estimated, 1930 Actual, 1929 2. E X E C U T IV E O FFICE A N D IN D E P E N D E N T E ST A B L ISH M E N T S—Continued. 14. Railroad Administration and transportation act— 1. Revenue receipts— (J) Railroad securities— 1. Interest, exchange, and dividends on capital stock— 1. Federal control of transportation systems___________________________ 2. Loans to railroads after termination of Federal control, etc........... ........... 3. Dividend on stock__________________ 4. Interest on overpayment under sec. 209 of the transportation act, 1920, as aipended----------------------------------Total, interest, exchange, and dividends on capital stock____ $3, 000. 00 $9, 000. 00 $51, 098. 95 2, 904, 750. 00 3, 289, 000. 00 3, 204, 989. 61 414. 00 226, 036. 87 2, 907, 750. 00 3, 298, 000. 00 (k) Other miscellaneous— 2. Reimbursements— 1. Electric-light charges________________ 2. Settlement of claims of individuals or corporations______________________ 3, 482, 539. 43 478. 49 100, 000. 00 Total, reimbursements. 3. Rents and royalties— 1. Rent of equipment________ 100, 478. 49 248. 56 Total, other miscellaneous (&)_ 100, 727. 05 2. Nonrevenue receipts: (/) Railroad securities— 1. Repayment of investments: 1. Federal control of transportation systems_______________________ 2. Loans to railroads after termination of Federal control, etc------------------- 36, 600. 00 136, 600. 00 36, 600. 00 8, 269, 000. 00 1, 274, 000. 00 11, 954, 656. 39 Total, repayment of investments. 8, 305, 600. 00 1, 410, 600. 00 11, 991, 256. 39 Total, Railroad Administration and transportation act________ 11, 213, 350. 00 4, 708, 600. 00 15, 574, 522. 87 2, 750, 000. 00 1, 276, 700. 00 786, 678. 62 15. Shipping Board— 1. Revenue receipts— (g) Proceeds of Government-owned securities— all others— 1. Interest, exchange, and dividends on capital stock— 1. Interest on moneys loaned from con struction loan fund------------------------2. Interest on deferred collections or payments_________________________ Total, interest, exchange, and dividends on capital stock_____ 287. 57 2, 750, 000. 00 1, 276, 700. 00 (k) Other miscellaneous— 2. Fees— 1. Copying-------------------------------------------3. Reimbursements— 1. Government property lost or damaged. 24.50 265. 00 Total, other miscellaneous (k) ___ 2. Nonrevenue receipts— 1. Repayments of investments— (g) Proceeds Government-owned securities— all others— 1. Construction loan fund, U. S. Ship ping Board------------------------------------2. Funds deposited for construction loans under sec. 11, merchant ma rine act, 1920 (44Stat. 1451)---------- 786, 966. 19 289. 50 1, 472, 900. 00 1, 361, 800. 00 1, 306,131. 67 875, 000. 00 2, 021, 800. 00 3, 266, 668. 27 Total, repayments of investments. 2, 347, 900. 00 3, 383, 600. 00 4, 572, 799. 94 Total, Shipping Board (See State ment No. 9)__________________ 5, 097, 900. 00 4, 660, 300. 00 5,360, 055. 63 a44 th e b u d g et, 1931 No. 3.— Estimated receipts, exclusive of postal revenues, fiscal year 1931, compared with prior years— Continued O rd in a ry R e c e ip ts D e t a i le d b y S o u r c e s U n d e r O r g a n i z a t i o n U n i t s — Continued Classification Estimated, 1931 Estimated, 1930 Actual, 1929 2 . E X E C U T I V E O F F IC E A N D I N D E P E N D E N T E S T A B L I S H M E N T S — Continued. 16. Smithsonian Institution— 1. Revenue receipts— (k) Other miscellaneous— 1. Forfeitures— 1. Unexpended balances in cash accounts. 2. Reimbursements— 1. Electric-light charges___________ 2. Sales of Government property— products— 1. Scrap and salvaged materials, con demned stores, waste paper, re fuse, etc---------------- ---------- ------------- $150. 00 $150. 00 132. 44 -Total, Smithsonian Institution___ 150. 00 150. 00 618. 61 $12. 09 474. 08 17. Tariff Commission— 1. Revenue receipts— (k) Other miscellaneous— 1. Sales of Government property— products— 1. Scrap. and salvaged materials, con demned stores, waste paper, refuse, etc_______________________________ 5. 00 Total, Tariff Commission. 18. United States Veterans’ Bureau— 1. Revenue receipts: (k) Other miscellaneous— 1. Interest, exchange, and dividends on capital stock— 1. Military and naval insurance, Veter ans' Bureau_______________________ 2. Fees— 1. Commissions on telephone pay sta tions in Federal buildings outside of Washington, D*C________ _____ ___ 3. Forfeitures— 1. Bonds of contractors_________________ 4. Reimbursements— 1. Refunds on empty containers_________ 2. By contractors for excess cost over contract price_____________________ 3. Expenses, miscellaneous_____________ 4. Gasoline State tax___________________ 5. Government property lost or damaged _ Total, reimbursements_________ _ 5. 00 485, 006. 40 3, 500. 00 3, 000. 00 2, 627. 44 1, 050. 00 1, 100. 00 5, 000. 00 5, 000. 00 3, 000. 00 3, 000. 00 9, 250. 00 9, 300. 00 200. 00 200. 00 5. Gifts and contributions— 1. Moneys received from persons known. 6. Sales of Government property— products— 1. Scrap and salvaged materials, con demned stores, waste paper, refuse, etc________________________________ 2. Electric current______________________ 3. Livestock and livestock products_____ 4. Occupational therapy products_______ Total, sales of Government property— products___________ 7. Sales of services— 1. Quarters, subsistence, and laundry. 2. Work done_______________________ Total, sales of services. 2, 537. 68 1, 149. 81 2, 105. 85 6, 864. 39 189. 94 2, 661. 49 . 12, 971. 48 5, 716. 31 8, 500. 00 750.00 20, 000. 00 46, 374. 353. 7, 530. 64, 035. 55 01 03 45 70, 000. 00 750. 00 9, 000. 00 65, 500. 00 90, 250. 00 95, 250. 00 118, 293. 04 85, 000. 00 500.00 85, 000. 00 500.00 80, 200. 84 425. 16 85, 500. 00 85, 500. 00 80, 62a 00 11, 000. 00 BUDGET STATEMENTS a45 No. 3 .— Estimated receipts, exclusive of postal revenues, fiscal year 1931, compared with prior years— Continued O r d in a r y R e c e ip t s D e t a il e d by Sources U nder Classification U n i t s — Continued Estimated, 1931 2 . E X E C U T I V E O F F IC E A N D I N D E P E N D E N T E S T A B L I S H M E N T S — Continued. 18. United States Veterans' Bureau— Continued. 1. Revenue receipts— Continued. (k) Other miscellaneous— Continued. 1. Rents and royalties— 1. Rent of public buildings and grounds. 2. Rent of land_____ _______ _________ Actual, 1929 Estimated, 1930 $5, 000. 00 100. 00 $5, 000. 00 100. 00 $6, 083. 79 100. 00 5, 100. 00 5, 100. 00 6, 183. 79 ______ 25, 000. 00 25, 000. 00 22, 777. 75 Total, other miscellaneous (&)___ 218, 600. 00 223, 150. 00 736, 739. 89 50, 000. 00 50, 000. 00 2, 245. 30 36, 757. 31 50, 000. 00 50, 000. 00 39, 002. 61 80, 000. 00 9, 000, 000. 00 1, 400, 000. 00 80, 000. 00 9, 000, 000. 00 1, 130, 000. 00 77, 340. 35 9, 127, 185. 36 922, 691. 39 250, 000. 00 65, 500, 000. 00 200, 000. 00 66, 500, 000. 00 2, 300, 000. 00 2, 100, 000. 00 Total, rents and royalties........ __ 2. Permits, privileges, and licenses— 1. Business concessions_____ _ 2. Nonrevenue receipts— (t) Proceeds sale of surplus property— 1. Sales of Government property— 1. Sale of buildings.____ _______ 2. Capital equipment_____ ____ * O r g a n iz a t io n T o ta l, sales of G overnm ent property____ _______________ (.k) Other miscellaneous— 2. Trust funds— 1. Government life-insurance fund— 1. Dividend deposits. _ _ _____ _ 2. Interest on investments_____ 3. Interest on policy lo a n s ,_____ 4. Interest on adjusted service loans_________ ____ __ 5. Premiums_______ __ ______ __ 6. Profits on investments________ 7. Repayment of policy loans____ 143, 67, 507, 267, 1, 887, 304. 000. 493. 850. 98 00 08 72 Total, trust funds________ Deduct trust fund receipts reappropriated for in vestment ________ ____ 78, 530, 000. 00 79, 010, 000. 00 79, 932, 865. 88 37, 830, 000. 00 45, 110, 000. 00 52, 160, 111. 83 Total, other miscellaneous ( * ) --------------------------- 40, 700, 000. 00 33, 900, 000. 00 27, 772, 754. 05 {h) Trust fund receipts (reappropriated for invest ment)______ _ _______ _______________ 37, 830, 000. 00 45, 110, 000. 00 52,160, 111. 83 78, 798, 600. 00 79, 283, 150. 00 80, 708, 608. 38 Total, United States Veterans’ Bureau_____ 19. Miscellaneous— 1. Nonrevenue receipts— (;g) P r o c e e d s Government-owned securities— all others— 1. Repayments of investments— 1. Reimbursement of relief moneys fur nished to American citizens in Europe_________________ ________ Total miscellaneous receipts under Executive Office and independ ent establishments^__ ____ ___________________ 1 1 396. 10 100, 364, 111. 00 94, 193, 111. 00 107, 694, 190. 44 56, 500. 00 121, 000. 00 7, 049. 24 3, 428. 55 Total, interest, exchange and dividends on capital stock__ __________ ______ 56, 500. 00 121, 000. 00 10, 477. 79 Total proceeds Government-owned se curities— all others (g) _ ______ __ 56, 500. 00 121, 000. 00 S. D E P A R T M E N T O F A G R I C U L T U R E : 1. Revenue receipts— (g) Proceeds Government-owned securities— all others— 1. Interest, exchange and dividends on capital stock— 1. Interest on farmers’ seed and feed loans____ 2. Interest on deferred collections or payments 10, 477. 79 f a46 THE BUDGET, 1931 No. 3.— Estimated receipts, exclusive oj postal revenues, fiscal year 1931, compared with prior years— Continued O r d in a r y R e c e ip t s D e t a il e d by Sources U nder 3 . D E P A R T M E N T O F A G R I C U L T U R E — Continued. 1. Revenue receipts— Continued. (k) Other miscellaneous— 2. Fees— 1. Alaska game laws.. ____________________ 2. United States warehouse act____ _________ ______ - - 3. Forfeitures—* 1. Bonds of contractors______ 2. Livestock trespassing on national forests and parks_______________ Total*, forfeitures4. Assessments— 1. Funds deposited for establishing wool stand ards _ ______ _ 5. Reimbursements—1. Collections under cotton standards act_____ 2. Expenses corn-borer work. __ __ ____ 3. Refund on empty containers ________ 4. Inspection of food products___ ______ _ 5. Inspection of food and other farm products, 6. Government property lost or damaged_____ 7. Under grain standards act, cost of appeals. _ 8. Electric-light charges___________ ____ 9. By contractors for excess cost over contract __ -_____ price Total, reimbursements _ 6. Gifts and contributions— 1. Forest Service cooperative fu n ds____ 7 Sales of Government propeity— products— 1. Scrap and salvaged materials, condemned stores, waste paper, refuse, etc_______ 2. Agricultural products other than livestock and livestock products__ _____ ____ 3. Buffalo, elk, and their products ______ 4. Furs_____________ ___ _____ _____ 5. Livestock and livestock products____ 6. Maps____ _ ________ _____ 7. Subsistence (meals, rations, etc ) _____ Total, sales of Government property— __ _ products_____ ________ 8. Sales of services— 1. Fumigating and disinfecting__ _______ 2* Copies of hearings________ ________ 3. Livestock breeding. - _ _____ - ________ 4. Professional and scientific__ _____________ 5. Quarantine charges -- _______ 6. Storage and other charges, Center Market, Washington, D. C ___ ________ ________ 7. Telephone and telegraph________ _________ 8. Work d o n e -* __ _ _________ - ____________ Total, sales of services____ ______ ______ 9. Rents 1. 2. 3. 4. and royalties— Rent of public buildings and grounds_____ Rentals, Center Market, Washington, D. C Rent of telegraph and telephone facilities Rent of land, grazing. ....................... ..... Total, rents and royalties _______ ______ >Counter entry, deduct U n it s — Estimated, 1931 Classification Total, fees O r g a n iz a t io n Continued Estimated, 1930 Actual, 1929 $28, 000. 00 7, 000. 00 $28, 000. 00 7, 000. 00 $26, 476. 54 7, 145. 50 35, 000. 00 35, 000. 00 33, 622. 04 8, 568. 55 2, 500. 00 2, 500. 00 2, 916. 19 2, 500. 00 2, 500. 00 11, 484. 74 50, 000. 00 12, 000. 00 50, 000. 00 85, 000. 00 105, 000. 00 900. 00 255, 000. 00 2, 500. 00 100, 000. 00 890. 00 250, 000. 00 2, 500. 00 100, 000. 00 65, 607. 05 4, 109. 15 1. 00 953. 46 242, 428. 85 2, 987. 06 84, 918. 97 6, 040. 94 21, 966. 85 443, 400. 00 458, 390. 00 429, 013. 33 1, 400, 000. 00 1, 700, 000. 00 1, 830, 457. 86 50, 000. 00 50, 200. 00 55, 871. 37 11, 10, 20, 76, 12, 10, 20, 74, 9, 2, 15, 49, 000. 000, 000. 000. 400. 200. 00 00 00 00 00 00 000. 000. 000 000. 300. 100. 00 00 00 00 00 00 648, 702. 374. 752. 282. 112. 10 00 69 46 76 12 167, 600. 00 166, 600. 00 133, 743. 50 80, 000. 00 1, 100. 00 500. 00 14, 100. 00 23, 200. 00 80, 000. 00 1, 065. 00 500. 00 13, 645. 00 23, 200. 00 70, 223. 00 1, 234. 30 455.00 13, 551. 15 9, 130. 00 2, 500. 00 110, 000. 00 2, 500. 00 111,208.06 8, 827. 48 11. 09 121, 400. 00 230, 910. 00 214, 640. 08 500. 00 500.00 143, 000. 00 100. 00 100. 00 i 13, 395. 72 142, 919. 98 135.00 120. 97 600.00 143, 600. 00 129, 780. 23 a47 BUDGET STATEMENTS No. 3.— Estimated receipts, exclusive oj postal revenues, fiscal year 1981, compared with prior years— Continued O r d in a r y R e c e ip ts D e t a i le d by S o u r c e s U n d e r O r g a n iz a tio n U n i t s — Continued Estimated. 1931 Estimated, 1930 Classification 8 . D E P A R T M E N T O F A G R I C U L T U R E — Continued. 1. Revenue receipts— Continued. (k) Other miscellaneous— Continued. 10. Permits, privileges, and licenses— 1. Fishing and hunting...................... 2. Upper Mississippi refuge________ 3. Alaskan Islands_________________ Actual. 1929 $50. 00 500. 00 450. 00 $50. 00 500. 00 450. 00 $25. 00 420. 16 418. 60 1, 000. 00 1, 000. 00 863. 76 11. Forest reserve fund___________________________ 6, 650, 000. 00 6, 440. 000. 00 6, 312, 463. 49 Total, other miscellaneous (k) _____ 8, 871, 500. 00 9, 190, 000. 00 9, 146, 069. 03 11, 000. 00 11, 000. 00 14, 706. 19 842. 12 Total, sales of Government property-. 11, 000. 00 11, 000. 00 15, 548. 31 Total miscellaneous receipts under Department of Agriculture.. 8, 939, 000. 00 9, 322, 000. 00 9, 172, 095. 13 100. 00 100. 00 126. 57 Total, permits, privileges, and licenses„ 2. Nonrevenue receipts— (i) Proceeds sale of surplus .property— 1. Sales of Government property— 1. Capital equipment_______ 2. Land and buildings______ DEPARTM ENT OF CO M M ERCE: 1. Revenue receipts— (fc) Other miscellaneous— 1. Interest, exchange, and dividends on capital stock1. Interest on public deposits_______________ 2. Fines and penalties— 1. Violation, air traffic regulations. 2. Navigation____________________ Total, fines and penalties. 3. Fees— 1. Under China trade act_____________________ 2. Commissions on telephone pay stations in Federal buildings outside of Washington, D. C ____________________________________ 3. Navigation________________________________ 4. Copying___________________________________ 5. On letters patent__________________________ 6. Testing, Bureau of Mines__________________ 7. Testing, Bureau of Standards____________ Total, fees. 8, 000. 00 6, 000. 00 50, 000. 00 50, 000. 00 4, 210. 00 44, 589. 21 58, 000. 00 56, 000. 00 48, 799. 21 2, 500. 00 2, 500. 00 2, 125. 00 15. 00 240, 000. 00 15. 00 240, 000. 00 3, 710, 000. 00 3, 710, 000. 00 80, 000, 00 75, 000. 00 4. 042, 715. 00 4, 037, 715. 00 4, 025, 085. 79 200. 00 10, 000. 00 200. 00 10, 000. 00 6. 248, 846. 358. 3, 696, 9259, 349. 67, 473. 76 41 49 87 44 82 4. Forfeitures— 1. Bonds of contractors. 2. Seized vessels________ 10, 000. 00 10, 000. 00 660. 00 468. 04 11, 004. 83 Total, forfeitures. 10, 660. 00 10, 660. 00 11, 472. 87 70. 00 70. 00 99. 78 10. 00 8, 000. 00 10. 00 8, 000. 00 .8 0 1, 423. 55 9. 67 7, 871. 53 1. 59 8, 080. 00 8, 080. 00 9, 406. 92 5. Reimbursements— 1. Refund on empty containers_______________ 2. By contractors for excess of cost over con tract price_______________________________ 3. Electric-light charges______________________ 4. Miscellaneous______________________________ 5. Government property lost or damaged_____ 6. Settlement of claim________________________ Total, reimbursements. 660. 00 a48 th e b u d g et, 1931 No. 3 .— Estimated receipts, exclusive of postal revenues, fiscal year 1931, compared with prior years— Continued O r d in a r y R e c e ip t s D e t a il e d by Sources U nder O r g a n iz a t io n U n it s — 4 . D E P A R T M E N T O F C O M M E R C E — Continued. 1, Revenue receipts— Continued. (k) Other miscellaneous— Continued. 6. Sales of Government property— products— 1. Scrap and salvaged materials, condemned stores, waste paper, refuse, e t c __________ 2. Charts and publications_____ *. __________ 3. Residue gas (helium plants)_ __ _______ 4. Sealskins________ ______ _ ______ 5. Fox sk in s_______ ___________ ______ Total, sales of Government property— products __ ________ ______ $25, 86, 18, 400, 30, 100. 400. 000. 000. 000. Actual, 1929 Estimated, 1930 Estimated, 1931 Classification Continued 00 00 00 00 00 $103, 100. 84, 100. 18, 000. 320, 000. 30, 000. 00 00 00 00 00 $27, 687. 73 73, 166. 54 287,"833. 01 62, 697. 41 559, 500. 00 555, 200. 00 ! 451, 384. 69 10. 00 6, 170. 00 10, 00 j 5, 670. 00 | 9. 86 4, 249. 63 __ 6, 180. 00 5, 680. 00 4, 259. 49 8. Rents and royalties— 1. Rent of public buildings and grounds........... 2. Rent of telegraph and telephone facilities___ 4, 400. 00 4, 400. 00 4, 340. 00 1. 00 4, 400. 00 4, 400. 00 4, 341. 00 9. Permits, privileges, and licenses— 1. Business concessions (exclusive privileges) _ _ 2. Permits, fishing and hunting___________ 3. Pipe line water rights, Hawaii______ _____ 15, 100. 00 20. 00 25. 00 15, 100. 00 20. 00 25. 00 2, 170. 77 20. 00 25. 00 Total, permits, privileges, and licenses-- 15, 145. 00 15, 145. 00 2, 215. 77 4, 557, 092. 31 7. Sales of services— 1. Telephone and telegraph...... ............... 2. Work done by Department of Commerce___ Total, sales of services________ Total, rents and royalties_____ __ Total, other miscellaneous (&) _____ __ __ 4, 704, 780. 00 4, 692, 980. 00 2. Non revenue receipts— (*) Proceeds sale of surplus property— 1. Sales of Government property— 1. Buildings___________ _ _______ _____ 2. Capital equipment _____ _ ______ _____ 3. Land______ _ ______ __ ________ 4. Land and buildings-« _ ________ _______ 100. 00 8, 400. 00 17, 000. 00 25, 000. 00 100. 00 8, 400. 00 17, 000. 00 25, 000. 00 7, 4, 15, 17, Total, sales of Government property__ 50, 500. 00 50, 500. 00 44, 507. 69 Total, sales of surplus property (*) _ _ 50, 500. 00 50, 500. 00 44, 507. 69 4, 755, 280. 00 4, 743, 480. 00 4, 601, 600. 00 27, 340. 00 150, 000. 00 350, 000. 00 1, 27, 340. 00 100, 000. 00 375, 000. 00 28, 337. 92 275, 442. 43 461, 215. 91 7. 50 527, 340. 00 502, 340. 00 765, 003. 76 1,000.00 1, 000. 00 6, 900. 90 25. 00 27.00 17. 28 561. 00 900. 00 371. 00 900.00 3, 575. 10 908. 36 2. 33 2, 486. 00 2, 298. 00 11,403.97 25, 000. 00 24, 930. 38 . Total miscellaneous receipts under Department of Commerce __________ 5. D E P A R T M E N T O F T H E I N T E R I O R : 1. Revenue receipts— (fr) Other miscellaneous— 1. Fees— 1. Copving________ _______ ______ _____ 2. Indian lands and timber_______ * ______ 3. Fees and commissions, land offices_____ 4. Water and power rights „ _ ______ ______ Total, fees _____ ______________ __ 2. Forfeitures— 1. Bonds of contractors__________ __ _ _____ 2. Unclaimed funds of patients, Freedmen’s Hospital_______________ _______ _______ 3. Unclaimed funds of patients, St. Elizabeths Hospital______________ _____ ______ __ 4. By runaway Indian pupils__________________ 5. Unexplained balances in cash accounts,........ Total, forfeitures___________________ 3. Assessments— 1. Deposits by individuals for expenses of sur veying public lands______________________ 20, 000.00 ; 231. 664. 479. 132. 24 79 20 46 a49 BUDGET STATEMENTS No. 3.— Estimated receipts, exclusive oj postal revenues, fiscal year 1981, compared with prior years— Continued O r d in a ry R e c e ip ts D e t a ile d by S o u r c e s U n d e r O r g a n iz a tio n Classification 5 . D E P A R T M E N T O F T H E I N T E R I O R — Continued. 1. Revenue receipts— Continued. (k) Other miscellaneous— Continued. 4. Reimbursements— 1. Reclamation fund 1________________________ 2. Construction charges, irrigation projects, Indian Service__________________________ 3. Coos Bay wagon road grant fund______ _ 4. Auxiliary reclamation fund, Yuma project, Arizona_________________________________ 5. Refund on empty containers____ __________ 6. By contractors for excess cost over contract price________________ ___________________ 7. Expenses, General Land Office_____________ 8. Electric-light charges.,____________________ 9. Government property lost or damaged_____ 10* Costs collected from estates of deceased Indians_________________ ________________ 11. Irrigation charges, Wapato project_________ 12. Maintenance charges, irrigation svstem, act Aug. 1, 1914________ _________1 _________ 13. Maintenance and operation charges, irriga tion system, act May 18, 1916___________ 14. Reimbursement to United States on account of appropriations made for Indian tribes.. 15. Settlement of claims against individuals.16. Of transportation________________________ Total, reimbursements. 5. Gifts and contributions— 1. Money received from persons known..*____ 2. Moneys received from persons unknown___ 3. Donations to National Park Service________ 4. Donations for purchase of lands, national parks_____________________________________ Total, gifts and contributions. Sales of Government property, products— 1. Scrap and salvaged materials, condemned stores, waste paper, etc__________________ 2. Agricultural products______________________ 3. Buffalo, elk, and their products____________ 4. Electric current___________ ________________ 5. Forms_________________________ - ___________ 6. Furs_______________________________________ 7. Livestock and livestock products___________ 8. Maps______________________________________ 9. Subsistence_______________________ ________ 10. Public timber______________________________ 11. Water__________________________________ ___ 12. Excess of stored waters of Blackfoot Reser- U n i t s — Continued Actual, 1929 Estimated, 1931 Estimated, 1930 $7, 000, 000. 00 $7, 000, 000. 00 $6, 532, 385. 76 50, 000. 00 40, 000. 00 53, 971. 91 1, 049, 216. 65 30, 000. 00 30, 000. 00 54. 29 400. 00 400. 00 48. 1, 470. 736. 512. 68 71 00 29 120, 000. 00 110, 000. 00 52, 000. 00 58, 047. 65 100, 123. 62 300, 000. 00 315, 000. 00 306, 385. 26 80, 000. 00 75, 000. 00 63, 149. 76 200, 000. 00 250, 000. 00 114, 699. 24 76. 50 380. 14 7, 836, 400. 00 7, 872, 400. 00 8, 281, 258. 46 120. 00 120. 00 10, 000. 00 3. 50 195. 26 29, 396. 70 75, 000. 00 1, 750. 00 25, 120. 00 85, 120. 00 31, 345. 46 650.00 650. 00 56, 000. 00 25, 000. 00 35, 000. 00 f 500. 00 35, 000. 00 500. 00 52, 000. 00 4, 500. 00 52, 000. 00 4, 000. 00 60, 000. 00 50, 000. 00 1,000.00 1, 000. 00 6, 697. 171. 723. 37, 816. 3, 153. 2, 419. 1, 308. 45, 246. 3, 347. 1, 155. 47, 575. 55 06 86 21 92 50 57 81 99 61 21 2, 480. 65 Total, sales of Government property, products___________________________ 7. Sales of services— 1. Medical, dental, and hospital______________ 2. Quarters___________________ . . . . _____ _____ 3. Cost of surveying railroad and private land claims____________________________________ 4. Telephone and telegraph service___________ 5. Work done__________________ ______________ Total, sales of services. 153, 650. 00 143, 150. 00 152, 096. 94 3, 600. 00 500. 00 3, 600. 00 500. 00 4, 092. 48 584. 95 10, 000. 00 10, 000. 00 19, 400. 00 3, 420. 00 19, 400. 00 3, 420. 00 16, 979. 73 18, 573. 73 3, 526. 18 36, 920. 00 36, 920. 00 43, 757. 07 i Exclusive of $1,000,000 transferred to general fund of the Treasury as return of advances under act of June 12,1917. a50 THE BUDGET, 1931 No. 3.— Estimated receipts, exclusive of postal revenues, fiscal year 1931, cornered with prior years— Continued O r d in a r y R e c e ip t s D e t a il e d by Sources U nd er Classification 5. D E P A R T M E N T O F T H E I N T E R I O R — Continued. 1. Revenue receipts— Continued. (A;) Other miscellaneous— Continued. 8. Rents and royalties— 1. Proceeds from leases, Annette Islands re serve, Alaska 2. Rent of public buildings and grounds__ ____ 3. Royalties on coal leases in Alaska,_ ______ 4. Ground r e n t _____ _____________ _________ 5. Receipts under mineral leasing act of Feb. 25, 1920_________________________________ 6. Receipts under mineral leasing act from naval reserve lands, act Feb. 25, 1920____ 7. Royalties on oil and gas____________________ 8. Moneys due Oklahoma from royalties, oil, and gas_____________________________ 9. Potash deposits, rovalties and rentals - _ 10. Rent of telegraph and telephone facilities___ 11. Other rents____ __ Total, rents and royalties__ _________ 9. Permits, privileges, and licenses— 1. Business concessions, national parks______ 2. Power permits__ __ ______________________ 3. Automobile and motor-cvcle permits__ 4. Permits to enter national parks__ ____ __ O r g a n iz a t io n U n i t s — Continued Estimated, 1931 Estimated, 1930 $25, 3, 6, 12, 000. 500. 500. 000. 00 00 00 00 $25, 3, 6, 12, 000. 500. 500. 000. Actual, 1929 00 00 00 00 $25, 3, 6, 11, 000. 694. 612. 223. 00 99 64 38 3, 750, 000. 00 3, 825, 000. 00 3, 705, 570. 06 40, 000. 00 500. 00 40, 000. 00 893. 26 219, 087. 31 40, 10, 5, 2, 40, 10, 5, 2, 000. 000. 000. 400. 00 00 00 03 3, 894, 400. 00 210, 12, 488, 110, 000. 000. 400. 000. 00 00 00 00 000. 000. 000. 300. 00 00 00 00 3, 969, 800. 00 200, 12, 468, 100, 000. 000. 500. 000. 00 00 00 00 } 41, 11, 4, 3, 784. 448. 874. 605. 58 75 38 28 4, 033, 794. 63 184, 572. 47 12, 273 16 533, 423 83 Total, permits, privileges and licenses___ 820, 400. 00 780, 500. 00 730, 269. 46 Total, other miscellaneous (k)_________ 13, 316, 716. 00 13, 417, 528. 00 13, 073, 860. 13 300, 000. 00 300, 000. 00 314, 568. 43 1, 000, 000. 00 1, 000, 000. 00 1, 000, 000. 00 200. 00 . 200. 00 2. Nonrevenue receipts— (i) Proceeds sale surplus property— 1. Sales of public lands___________ (k) Other miscellaneous— 1. Repayments of investments— 1. Return of advances made to the reclama tion fund______________________ ____ ____ 2. Sales of Government property— 1. Buildings_______________ ________________ 2. Capital equipment._ _____________________ 3. L a n d ______ ___________________ 4. Sale of town lots, Alaska____ ____________ 5. Sale of reserve lands, reclamation projects __ 6. Proceeds of town sites, Reclamation Service. 7. Land and buildings______________ 8. Proceeds of Fort Hall irrigation and water system, Idaho_____ ________________ 9. Coos Bay wagon-road grant fund* ___ 10. Standing timber__________________ ______ 11. Oregon and California land-grant fund.. 500. 00 2, 500. 00 5, 000. 00 500. 00 2, 500. 00 5, 000. 00 100. 00 175, 000. 00 7, 500. 00 675, 000. 00 100. 00 175, 000. 00 7, 500. 00 675, 000. 00 91. 41 175, 718. 21 7, 326. 27 752, 328. 47 Total, sales of Government property___ 865, 800. 00 865, 800. 00 952, 500. 15 Total, proceeds sale of surplus prop erty ( i ) __ __ _ _____________________ 1, 165, 800. 00 1, 165, 800. 00 1, 267, 068. 58 8, 000. 00 100. 00 75, 000. 00 8, 000. 00 100. 00 75, 000. 00 8, 201. 97 1 179. 75 139, 322. 75 155, 000. 00 155, 000. 00 166, 052. 10 36. 85 3, 000, 000. 00 12, 000, 000. 00 3, 000, 000. 00 12, 000, 000. 00 2, 889, 232. 91 11, 024, 334. 36 15, 238, 100. 00 15, 238, 100. 00 14, 227, 001. 19 30, 720, 616. 00 30, 821, 428. 00 30, 567, 929. 90 3. Trust funds— ' 1. Outstanding liabilities, lands______________ 2. Unearned moneys, lands__________________ 3. Pension money, St. Elizabeths Hospital____ 4. Personal funds of patients, St. Elizabeths Hospital __ _______________________ 5. Other trust funds________________ _____ 6. Proceeds of sales and leases of Indian lands, etc.— 1. Indian moneys, proceeds of labor.. 2. Sales of Indian lands_______________ Total, trust funds___- _ _ Total, miscellaneous receipts un der Department of the Interior. J Counter entry, deduct. 3, 037. 35 3, 151. 30 34.02 377. 13 3, 979. 57 4, 372. 87 2, 083. 55 BUDGET STATEMENTS $51 No. 3.— Estimated receipts, exclusive of postal revenues, fiscal year 1931, compared with prior years— Continued O r d in a r y R e c e ip ts D e t a ile d b y S o u r c e s U n d e r O r g a n iz a tio n U n its — Actual, 1929 Estimated, 1930 Estimated, 1931 Classification Continued. 6 . D E P A R T M E N T O F J U S T IC E : 1. Revenue receipts— (fc) Other miscellaneous— 1. Interest, exchange, and dividends on capital stocks— 1. Interest on deferred collections or payments. 2. Interest on public deposits_____ ________ $500. 00 200. 00 Total, interest, exchange, and dividends on capital stocks --------_ _ _ - _____ 700. 00 2. Fines and penalties— 1. Judicial------------------------------ _ 2. Under enforcement of national prohibition act________ ____________ * ____________ 600, 000. 00 550, 000. 00 525, 860. 11 4, 500, 000. 00 4, 500, 000. 00 4, 354, 136. 50 5, 1Q0, 000. 00 5, 050, 000. 00 4, 879, 996. 61 1, 650, 000. 00 230, 000. 00 500. 00 2, 000. 00 1, 600, 000. 00 220, 000. 00 500. 00 2, 000. 00 1, 547, 392.20 191, 932. 85 372. 67 2, 027. 09 1, 882, 500. 00 1,822, 500. 00 1, 741, 724 81 30, 000. 500. 15, 000. 260, 000. 5, 000. 30, 000. 500. 15, 000. 230, 000. 5, 000. 27, 113. 595. 15, 321. 228, 500. 6, 516. Total, fines and penalties____ _ ____ 3. Fees— 1. Clerks of courts. ................ .......... ............... 2. Marshals___________ __________________ 3. Court of Customs and Patent Appeals.* 4. Other fees___________ _ ______________ Total fees ...................... ................... 4. Forfeitures— 1. Bonds of aliens__ _________________________ 2. Bonds of contractors_______________ _______ 3. Bonds under narcotic acts___________ _ 4. Bonds under national prohibition act______ 5. Bribes to United States officers_____________ 6. Under narcotic acts (including sale of seized property)----------- ------------------------------7. Under national prohibition act (including sale of seized property) __________ _ 8. Unclaimed moneys remaining in registry of courts five years or longer____ ______ __ 9. Unclaimed wages of seamen remaining in registry of courts more than six years____ 10. Judicial___ ___________________ _ __________ 11. Other______________________________________ 00 00 00 00 00 $500. 00 200. 00 700. 00 - ' y ' x M---------- ------- 00 00 00 00 00 $569. 19 158. 54 727. 73 79 72 93 70 00 8, 000. 00 8, 000. 00 8, 100. 06 225, 000. 00 200, 000. 00 193, 476. 37 115, 000. 00 115, 000. 00 114, 711. 51 62, 000. 00 210, 000. 00 62, 000. 00 200, 000. 00 61, 589. 25 187, 511. 60 . 25 930, 500. 00 865, 500. 00 843, 437. 18 5, 000. 00 5, 000. 00 5, 038. 63 175, 000. 00 185, 000. 00 6,000. 00 3, 000. 00 2,000.00 6, 000. 00 3, 000. 00 2,000.00 191, 000. 00 201, 000. 00 202, 899. 10 12, 000. 00 12, 000. 00 11,386.21 500.00 200.00 150.00 500.00 200. 00 150. 00 287. 64 153. 11 121. 75 12, 850. 00 12, 850, 0Q 11, 948. 71 7. Sales of services— 1. Storage_________________________ _____ - 2, Telephone and telegraph------------ --------------- 5.00 &O0 5*00; 5.00 3. 68 a 83 Total, sales of services— ------- -------------- 10.00 10.00 7.51 8. Permits, privileges, and licenses— 1. Alaska fu n d.-______________________________ 250,000.00 250.000.00 250, 63a 01 Total, other miscellaneous (Jb)--------------- 8, 367, 560. 00 8,202,560. 00 7f 931,377* 66 Total forfeitures___ _ ______ ___ 5. Reimbursements— 1. Printing records_______________ ________ 2. Maintenance of District of Columbia in mates in Federal institutions________ 3. Expenses, United States courts____________ 4. Electric-light charges_________ - ________ 5. Government property lost or damaged_____ 6. Settlement of claims against individuals____ 7. Other______ ____ ________________________ Total, reimbursements_________ _ 6. Sales of Government property, products— 1. Scrap and salvaged materials, condemned stores, waste paper, etc________ __________ 2. Agricultural products, National Training School for Boys, District of Columbia........ 3. Livestock and livestock products-.............. 4. Subsistence.................... .................. ............ Total, sales of Government property, products----------------- ---------- -----— 82331—29----- VII 181, 554. 1, 286. 1, 419. 5, 831. 2, 923. 4, 845. 26 35 76 54 42 14 a THE BUDGET, 1931 52 No. 3.— Estimated receipts, exclusive oj postal revenues, fiscal year 1981, compared with prior years— Continued O r d in a r y R e c e ip ts D e t a ile d b y S o u r c e s U n d e r O r g a n iz a tio n U n i t s — Continued Estimated, 1931 Estimated, 1930 Classification 6 . D E P A R T M E N T O F J U S T I C E — Continued. 2. Nonrev^iue receipts— (*) Proceeds sale of surplus property— 1. Sales of Government property— 1. Gapital equipment------------------------- Actual, 1930 --------- $50. 00 $50. 00 $13. 00 Total, miscellaneous receipts under Department of Justice, including judicial................ .................. ............ 8, 367, 610. 00 8, 202, 610. 00 7, 931, 390. 66 7. D EPAR TM EN T OF LA B O R : 1. Revenue receipts— {k) Other miscellaneous— 1. Miscellaneous taxes— 1. Head tax— ----------- --- ------------- ----------------- 2, 900, 000. 00 2, 900, 000. 00 2, 885, 238. 00 2. Interest, exchange and dividends on capital stock— 1. Interest on deferied collections or payments 2. Interest on public deposits________________ 2, 000 00 8.25 2, 415. 38 Total, interest, exchange, and dividends on capital stock______________________ 2, 000. 00 2, 423. 63 150, 000. 00 150, 000. 00 166, 449. 06 3, 144. 96 150, 000. 00 150, 000. 00 169, 594. 02 400.00 6, 000, 000. 00 700, 000. 00 400. 00 4,500,000.00 500, 000. 00 431. 86 907, 483. 00 6, 700, 400. 00 5, 000, 400. 00 907, 914. 8& 150, 000. 00 221, 905. 5& 1, 551. 09 53. 85 150, 000. 00 150, 000. 00 223, 510. 50 10, 000. 00 10, 000. 00 10, 145. 59 400. 00 400. 00 351. 87 100. 00 75, 000. 00 100.00 75, 000. 00 3. 284. 96, 602. 10. 75, 500. 00 75, 500. 00 97, 253. 52 300. 00 250. 00 100.00 300.00 250. 00 100. 00 279. 42 221. 00 125. 24 Total, sales of Government property, products--------------- ----------------------------- 650. 00 650. 00 625. 66 9. Rents and royalties—1. Rent of public buildi»gs and grounds_______ 125.00 125. 00 130. 05 10. Permits, privileges, and licenses— 1. Business concessions (exclusive privileges)__ 2. Immigration permits_______________________ 1,200.00 355, 000. 00 1, 200. 00 355, 000. 00 830.87 363, 703. 62 356, 200. 00 356, 200. 00 364, 534 49 10,342, 875. 00 8,644, 875. 00 4, 661, 370. 32 3. Fines and penalties— 1. Immigration---------- ^— ----------------------2 Naturalization_______ __________ _ - _ _. Total, fines and penalties________ — 4. Fees— 1. Commissions on telephone pay stations_____ 2. Naturalization...--------------------------------------3. Immigration (registration fees) _ - __________ Total, fees____________________ _______ 5. Forfeitures— 1. Bonds of a lie n s .------------- --------------------------2 Immigration_____ _______________________ 3. Unexplained balances in cash accounts_____ Total, forfeitures__________ 150, 000. 00 * ________ 6. Assessments— 1. Passage moneys collected from steamship companies for return of deported aliens__ 7. Reimbursements— 1. Expenses of deporting aliens____ ______ __ 2. By contractors, excess cost over contract p r i c e _______________ 3. Government property lost or damaged____4. Hospitalization charges and expenses._____ 5. Transportation_______ __________________ Total, reimbursements. _ _ 8. Sales of Government property, products— 1. Scrap and salvaged materials, condemned stores, waste paper, etc_______ — 2. Electric current___________________________ _ 3- W a te r _______ __________ ................... ' Total, permits, privileges, fcnd licenses, Total, other miscellaneous (£)__________ ■‘S- 52 9838 77 a53 BUDGET STATEMENTS No. 3.— Estimated receipts, exclusive oj postal revenues, jisceH year J9S1, compared with prior years— Continued O r d in a r y R e c e ip t s D e t a il e d by S o u r c e s U n d e r O r g a n iz a t io n U n it s — C o n t in u e d Estimated, 1931 Classification Estimated, 1930 Actual, 1929 7 . D E P A R T M E N T O F L A B O R — Continued 2. Nonrevenue receipts:— (i) Proceeds sale of surplus property— 1. Sales of Government property— 1. Capital equipment__ ______________________ $250. 00 $250. 00 $65. 00 Total, miscellaneous receipts under De partment of Labor _____ ________ 10, 343, 125. 00 8, 645, 125. 00 4, 661, 435. 32 S• N A V Y D EPAR TM EN T: 1. Revenue receipts— (g) Proceeds Government-owned securities— all others— 1. Interest, exchange, and dividends on capital stock— 1. Interest on Government-owned securities___ 18, 000. 00 35, 825. 00 48, 987. 50 750. 00 1, 750. 00 1, 298. 85 50. 00 50. 00 80. 48 800. 00 f, 800. 00 10, 127. 79 650, 000. 00 675, 000. 00 675, 005. 73 650, 000. 00 675, 000. 00 678, 514. 92 9, 000.00 60. 00 3, 000. 00 60.00 7, 401. 51 58.09 (k) Other miscellaneous— 1. Interest on deferred collections or payments 2. Interest on public deposits_____ ____________ 3. Pay, miscellaneous, Navy (gain by ex change) __________________________________ Total, interest, exchange and divi dends on capital stock______________ 2. Fines and penalties— 1. Navy fines and forfeitures_____________ 2. Recovery of value of oil in case of the Mam moth Oil Co_______________________ ___ / 3, 509. 19 Total, fines and penalties________ ______ 3. Fees— 1. Purchase of discharges. Navy and Marine Corps_______ ____________ _________ _ 2. Commissions on telephone pay stations.___ Total, fees___________________ 8, 748. 46 ________ 3, 060. 00 3, 060. 00 7, 459. 60 4. Forfeitures— 1. Bonds of contractors____________________ 2. Unexplained balances in cash accounts_____ 1, 000. 00 100.00 1, 000. 00 100. 00 78.00 105. 31 Total, forfeitures_______________________ 1, 100.00 1, 100. 00 183. 31 450, 000. 00 ' 450, 000. 00 490, 905. 30 3, ooa oo 3, 000. 00 4, 870. 73 5. Assessments— 1. Naval hospital fund______ __ _ ______ 6. Reimbursements— 1. Refund on empty containers_______________ 2. By contractors for excess of costs over con tract price_________________________ __ Electric-light charges_____ ________ ______ Government property lost or damaged_____ Settlement of claims against individuals____ Transportation charges_____ __ ________ _ 2, 000. 00 2, ooa oo 40, 066:66 3,500.00 300.00 39, 350. 00 7, 000. 00 300. 00 1, 517. 2, 307. 39,711. 11, 743. 391. Total, reimbursements_____ ____________ 48,800.00 51, 650. 00 60, 543. 11 7. Gifts and contributions— 1. Moneys received from persons unknown____ 2. Moneys received from persons known____ __ 100. 00 100. 06 75.09 50.00 Total, gifts and contributions*._______ 100. 00 100. 00 125. 09 1, 000, 000. 00 1, 000, 000.00 1, 222, 750. 47 3. 4. 5. 6. 50 78 61 63 86 8. Sales of Government property, products— 1. Scrap and salvaged materials, condemned 2. Charts, Hydrographic Office______________ _ 3. Electric current_____ _ ____________________ 4. Subsistence_______ _________________________ Total, sales of Government property, products. _ __________________________ * Counter entry, deduct. - t 42,000.00 1, 000. 00 1, 043, 000. 00 36, 000. 00 1, 000. 00 1, 037, 000. 00 37, 147. 41 1, 584. 13 1 122. 40 l f 261, 359. 61 t h e b u d g e t , 1931 a54 No. 3 .— Estimated receipts, exclusive of postal revenues, fiscal year 1981, compared with prior years— Continued O r d in a r y R e c e ip ts D e t a ile d b y S o u r c e s U n d e r O r g a n iz a t io n Estimated, 1931 Classification 8 . N A V Y D E P A R T M E N T — Continued. 1. Revenue receipts— Continued. (k) Other miscellaneous— Continued. 9. Sales of services— 1. Overhead charges on sales of services........... 2. Radio service_____ _ ____________ __________ 3. Profits from sale of ships’ stores____________ 4. Telephone and telegraph service........... .......... 5. Transportation____ _ ................................ 6. Work done by Navy Department---------------7. Other______________________ _______________ Estimated, 1030 Actual, 1920 00 00 00 00 00 00 $60, 000. 00 100, 000. 00 300, 000. 00 1, 540. 00 1, 500. 00 73, 500. 00 $61, 849. 100, 000. 383, 409. 4, 660. 1,711. 57, 882. 90. 522, 000. 00 536, 540. 00 609, 603. 51 $60, 100, 300, 1, 1, 60, Total, sales of services..... ...................... .. 10. Rents 1. 2. 3. 4. U n i t s — Continued 000. 000. 000. 000. 000. 000. 09 00 41 24 12 67 98 and royalties— Rent of public buildings and grounds_______ Rent of docks, wharves, and piers________ Rent of telegraph and telephone facilities___ Royalties on naval petroleum reserves, California________________________________ e*>, 000.00 10, 000.00 500. 00 90, 000. 00 10, 000. 00 500. 00 95, 533. 14 13, 258. 00 421. 20 1, 750, 000. 00 1, 875, 000. 00 2, 261, 175. 70 Total, rents and royalties.............. ............ 1, 825, 500. 00 1, 975, 500. 00 2, 370, 388. 04 Total, other miscellaneous (k). ----------- 4, 544, 360. 00 4, 731, 750. 00 | 5, 489, 210. 28 2. Nonreveriue receipts— (p) Proceeds Government-owned securities— all others— 1. Repayment of investments— 1. Proceeds, Government-owned securities, sale of war supplies___________________________ 2. Return of advances by Kittery water dis trict, Portsmouth, N. H ---- ---------------------3. Return of advances by Eastern Massa chusetts Street Ry________________ 300, 000. 00 300, 000. 00 304, 118. 20 12, 000. 00 12, 000. 00 13, 330. 66 140. 00 150.00 151. 40 312, 140. 00 312, 150. 00 317, 000. 26 15, 000. 00 40, 000. 00 15, 000. 00 44, 000. 00 367, 760. 34 894, 013. 61 5,000. 00 5, 000. 00 19, 808. 18 300, 000. 00 300, 000. 00 7, 590. 75 465, 614. 21 360, 000. 00 364, 000. 00 1, 754, 787. 09 --------- 4, 200. 00 4, 200. 00 5, 330. 92 Total, miscellaneous receipts under Navy Department-------------- ------------- 5, 238, 700. 00 5, 447, 925. 00 7, 615, 916. 05 20, 000. 00 20, 000. 00 • Total, repayment of investments_______ (i) Proceeds sale of surplus property— 2. Sales of Government property— 1. Buildings----------------------------------------------------2. Capital equipment--------------- __ 3. Sales of lands, etc., account of naval con struction fund____________________________ 4. Sale of land east of Massachusetts Avenue and south of Naval Observatory Circle, Washington, D. C _____________ ______ 5. Sale of surplus war supplies ------------------ _ Total, sales of Government property-----(it) Other miscellaneous— 3. Trust funds— 1. Navy pension fund, principal--------- K P O S T O F F IC E D E P A R T M E N T : 1. Revenue receipts— (k) Other miscellaneous— 1. Fees 1. Commissions on telephone pay stations in rented post offices_____ — _ --------2. Reimbursements— 1 Electric-light charges-- __________ ■________ Total, miscellaneous receipts under Post Office Department______________ ♦ 7, 465. 01 2, 74a 64 20, 000. 00 20, 000. 00 10, 2 ia 65 BUDGET STATEMENTS a55 N o. 3 .— Estimated receipts, exclusive of postal revenues, fiscal year 1931, compared with prior years— Continued O r d in a r y R e c e ip t s D e t a il e d by So u r c es U nder Classification O r g a n i z a t io n U n i t s — C on tinued Estimated, 1981 Estimated, 1930 Actual, 1929 10. ST A T E D E P A R T M E N T — 1. Revenue receipts: (k) Other miscellaneous— 1. Interest, exchange, and dividends on capital stock— 1* Interest on public deposits_________________ 2. Gain by exchange__________________________ $2, 000. 00 1, 000. 00 $2, 000. 00 1, 000. 00 2, 540. 72 711. 27 Total, interest, exchange, and dividends on capital stock______________ _ _ _ ___ 3, 000. 00 3, 000. 00 3, 251. 99 6, 000, 000. 00 6 000 000 00 5, 805, 918. 52 150. 00 1, 860, 000. 00 1, 846, 028. 00 7, 860, 150. 00 7, 651, 952. 52 2. Fees— 1. Consular. 2. Copying . 3* Passport. Total, fees. 150. 00 2 000 000 00 , , . 8, 000, 150. 00 , , . 3. Forfeitures— 1. Unclaimed funds. 4. Assessments— 1. Austrian Government’s moiety, expenses Tripartite Claims Commission___________ 2. German Government’s moiety, expenses Mixed Claims Commission______________ 3. Hungarian Government’s moiety, expenses Tripartite Claims Commission___________ Total, assessments. 5. Reimbursements— 1. Costs in extradition cases. 6. Gifts and contributions— 1. Funds contributed to International Water Commission, United States and Mexico-„ 2. Funds contributed as quotas to Pan Ameri can Union_______________________________ Total, gifts and contributions. 7. Sales of Government property, products— 1. Condemned stores, etc_____________ 2. Maps______________________________ Total, sales of Government property, products_____________________________ 8. Rents and royalties— 1. Rent of public buildings and grounds. Total, other miscellaneous (fc)___ 674, 36 3, 700. 00 21, 000. 00 18, 000. 00 21, 000. 00 18, 000. 00 18, 030. 00 2, 000. 00 2,000.00 2, 031. 47 3, 500. 00 115, 000. 00 95, 200. 00 87, 682. 73 115, 000. 00 95, 200. 00 91,182. 73 700.00 700.00 100. 00 797. 47 120. 25 800.00 800. 00 917. 72 2,000. 00 3,000. 00 4, 084. 05 8, 143, 950. 00 7, 982,150. 00 7, 772, 124. 84 100.00 1 30. 00 157, 769. 39 Total, repayment of investments- 1Counter entr , deduct. 11, 630. 00 2, 700. 00 2. Nonrevenue receipts— 1. Repayment of investments— {g) P r o c e e d s G overnm ent-ow ned securities— all other— 1. Reimbursement of relief moneys furnished American citizens in Germany___________ (k) Other miscellaneous— 2. Reimbursement on account of representation of interests of foreign governments_______ (i) Proceeds, sale of surplus property— 1. Sales of Government property— 1. Capital equipment____________ a 00 157, 739. 39 2, 500. 00 3,000.00 3, 231. 22 a56 th e b u d g e t, 1931 No. 3 .— Estimated receipts, exclusive of postal revenues, fiscal year 1931, compared with prior years— Continued O r d in a r y R e c e ip ts D e t a ile d b y S o u r c e s U n d e r O r g a n iz a tio n Classification 10. ST A T E D E P A R T M E N T —Continued. 2. Nonrevenue receipts—Continued. (k) Other miscellaneous— 2. Trust funds— 1. Estates of decedents____ - _________ 2. Foreign service retirement and disability fund— 1. Deductions from salaries, Depart ment of State _______ 2. Interest on investments earned-----3. Deposits of unclaimed moneys of individuals. 4. Wages due seamen U n i t s —Continued Estimated, 1931 Estimated, 1930 Actual, 1929 $20, 000. 00 $20, 000. 00 $3, 955. 44 1, 700. 8, 000. 1, 200. 1, 400. 1, 700. 7, 000. 1, 200. 1, 400. 00 00 00 00 1, 631. 25 6, 587. 88 1, 339. 44 1, 413. 85 00 00 00 00 Total, trust funds___ ___ ___________ 32, 300. 00 31, 300. 00 14, 927. 86 Total, miscellaneous receipts under De partment of State . _ 8, 178, 750. 00 8, 016, 450. 00 7, 948, 023. 31 602, 000, 000. 00 602, 000, 000. 00 602, 262, 786. 17 (6) Income tax_________________ __________________ 2, 460, 000, 000. 00 640, 000, 000. 00 (c) Miscellaneous internal revenue________ _____________ 2, 480, 000, 000. 00 635, 000, 000. 00 2, 330, 711, 822. 66 607, 307, 548. 98 Total, internal revenue_________________ _______ 3, 100, 000, 000. 00 3, 115, 000, 000. 00 2, 938, 019, 371. 64 1. T R E A SU R Y D E PA R T M E N T : 1. Revenue receipts—* (a) Customs______________________________________ in t e r n a l r e v e n u e m is c e l l a n e o u s r e c e ip t s 1. Revenue receipts— (e) Proceeds Government-owned securities—foreign obliga tions—interest— 1. Interest, exchange, and dividends on capital stock— 1. Interest on funded obligations of foreign gov ernments—^ 1. Belgium______________ _____ 2. Estonia______________________ _ 3. Finland_____________ ________ 4. France____________________ 5. Great Britain___________________ 6 Greece_____ _______ ________ 7. Hungary____________________ 8. Italy__ _______________________ 9. Latvia_________ _____________ 10. Lithuania_____________________ 11. Poland________________________ 3, 250, 000. 00 397, 436. 00 258, 945. 00 38, 650, 000. 00 132, 360, 000. 00 466, 200. 00 57, 432. 00 2, 521, 250. 00 153, 508. 00 187, 056. 00 6, 262, 713. 00 2, 750, 000. 00 275, 000. 00 260, 565. 00 2, 500, 000. 00 225, 000. 00 262,140. 00 133, 185, 000. 00 482, 660, 00 57, 777. 00 133, 995, 000. 00 95, 000. 00 188, 150. 00 4, 640, 943. 00 85, 000. 00 98, 604. 56 2, 750, 000. 00 184, 564, 540. 00 141, 935, 095. 00 139, 973, 850. 97 20, 367, 057. 26 184, 564, 540. 00 141, 935, 095. 00 160, 340, 908. 23 3. Interest from central branch, Union Pacific R. R _____________________________ 4. Principal and interest on bonds of Louisiana held by the United States_____ _ _____ 15, 000. 00 15, 000. 00 15, 806. 15 Total, proceeds Government-owned securities—all others (g) ___ _______ 15, 000. 00 2. Sales of surplus war supplies, France_______ Total, proceeds Government-owned securities—foreign obligations—inter est (e) ___ ____________________ 58, 106. 41 (g) Proceeds Government-owned securities—all others— 1, 566. 42 15, 000. 00 17, 372. 57 a57 BUDGET STATEMENTS No. 3 .— Estimated receipts, exclusive oj postal revenues, jiscal year 1981, compared with prior years— Continued O r d in a r y R e c e ip ts D e t a ile d b y S o u r c e s U n d e r O r g a n iz a tio n Classification 11. T R E A S U R Y D E P A R T M E N T — Continued. 1. Revenue receipts— Continued. (fc) Other miscellaneous— 1. Interest, exchange, and dividends on capital stock— Continued. 5. Gained by exchange_________ __________ 6. Interest on public deposits________________ 7. Interest on deferred collections or pay ments __ _______ __________________ _ 8. Difference between redemption value and sale price of war^avings stamps________ 9. Discount on certificates of indebtedness redeemed______________ ;________________ 10. Discount on Treasury notes purchased____ 11. Discount on 3>£ per cent Treasury notes purchased . ^ - ______ 12. Discount on Liberty bonds purchased______ Total, interest, exchange, and dividends on capital stock______ U n its — Continued Estimated, 1931 Estimated, 1930 Actual, 1929 $4, 000, 000. 00 $4, 000, 000. 00 *128. 40 3, 350, 564. 73 9, 312. 04 7. 56 539, 795. 96 12, 185. 72 6, 471, 550. 00 * 90, 710. 44 38, 005. 17 4, 000, 000. 00 10, 471, 550. 00 : 6, 000, 000. 00 6, 000, 000. 00 2, 584, 658. 50 200, 000. 00 3, 244, 000. 00 210, 000. 00 3, 244, 000. 00 258, 086. 51 3, 240, 307. 81 Total, miscellaneous taxes______________ 9, 444, 000. 00 9, 454, 000. 00 6, 083, 052. 82 3. Fines and penalties— 1. Customs__ _____ ______ ____________________ 2. Coast Guard_______________________________ 3. Under antinarcotic laws__ _____ ____________ 4. Internal Revenue_________________ _________ 2, 340, 000. 00 50.00 1, 000. 00 1,000.00 2, 340, 000. 00 50.00 1, 000. 00 1,000.00 2, 182, 845. 20 50.00 1, 277. 10 909. 51 Total, fines and penalties_______________ 2, 342, 050. 00 2, 342, 050. 00 2, 185, 081. 81 17, 500. 00 17, 500. 00 17, 509. 71 /-■ 25, 500. 00 25, 500. 00 25, 419. 69 2, 000. 00 11,000.00 6,000.00 2, 000. 00 11, 000. 00 ' 16> 000. 00 2, 060. 10 12, 600. 01 5, 749. 17 12. 72 62,000.00 62, 000. 00 63, 351. 40 100.00 18,300.00 175,000.00 600.00 100. 00 17, 300. 00 175, 000. 00 600.00 200.00 14, 548. 95 173, 940. 36 552. 52 36, 000. 00 36, 000. 00 35, 573. 18 85,250. 00 81, 250. 00 4, 000.00 3, 800. 00 86, 343. 05 376. 78 179.50 959. 27 Total, forfeitures_______________________ 319, 250. 00 314, 050. 00 312, 67a 61 <. Assessments— 1. Upon banks for salaries and expenses, Federal Farm Loan Board_________„____ 2. Upon national banks for expenses of exam inations__________________________________ 1,020,000. 00 986,000. 00 880,252. 56 2,600, 000. 00 2,400, ,000. 00 1,874,133. 89 Total, assessments_________ _________«___ 3, 620,000. 00 2. Miscellaneous taxes— 1. Federal reserve bank franchise tax_* ______ 2. Federal intermediate credit banks franchise tax ___________________________________ 3. Tax on circulation of national banks_______ 4. Fees— 1. Commissions on telephone pay stations in Federal buildings, Washington, D. C _______ 2. Commissions on telephone pay stations in Federal buildings outside Washington, D. C ____________________________________ 3. Commissions on telephone pay stations in rented post offices. ______ _________ _____ 4. CoDvinur ____ ______ ______ 5. Customs________ ______ __________ __________ & 6. Commissions on vending machines_________ Total, fees ______________ ________ 5. Forfeitures— 1. Bonds of contractors_______________________ 2. Bribes to United States officers_____________ 3. Customs___________________________________ 4. Effects of deserters, Coast Guard___________ 5. Unclaimed and abandoned merchandise, customs_____________________ __________ 6. Under enforcement of national prohibition acts, including sales of seized property___ 7. Unexplained balances in cash accounts_____ 8. Unclaimed funds__________________________ _ 9. Miscellaneous seized property_____________ ,,. 3, 386,000. 00 . .ij ------ J 164, 398, 990. 82 2, 764, 386. 45 i A58 < TUB StJDCffitf, 1931 No. 3.— Estimated receipts, exclusive of postal revenues, fiscal year 1931, compared with prior years— Continued O r d in a r y R e c e ip ts D e t a ile d b y S o u r c e s U n d e r O r g a n iz a t io n U n its — Estimated, 1931 Classification 1 1 . T R E A S U R Y D E P A R T M E N T — Continued. 1. Revenue receipts— Continued. (k) Other miscellaneous— Continued. 7. Reimbursements— 1. Deductions from awards of Mixed Claims Commission, United States and Germany, for expenses incurred in respect thereof__ 2. Refund on empty containers___________ 3. Refund of enlistment allowances and cloth ing bounties, Coast Guard_______________ 4. By contractors for excess of costs over con tract price______ ___________ ___________ 5. Electric-light charges_________ - _______ 6. Seizure cases under national prohibition act. 7. Deductions from awards of tripartite claims commission, United States and Austria, for expenses incurred in respect thereof . 8. Reimbursements to the United States from national banks and Federal reserve banks on account of— Salaries, office of Treasurer of the United States, national currency reimbursable, - _______ ______ Salaries office of Comptroller of the Currency, national currency reim bursable _________ _______________ Contingent expenses, national currency reimbursable________________________ 9. Gasoline State tax__________________________ 10. Government property lost or damaged--------11. Hospitalization charges and expenses (Pub lic Health Service)_______________________ 12. Expenses of international service of ice patrol ---------------- --- --------------------*____ 13. Interest on forged coupons_________________ 14. Moneys recovered in narcotic and prohibi tion cases_______________ _______________ 15. Internal-revenue stamp contractor for salaries________________ __________________ 16. Settlement of claims against individuals____ 17. Transportation_____ ____________________ Continued Estimated, 1930 Actual, 1929 $75, 000. 00 100. 00 $250, 000. 00 100. 00 $379, 774. 55 178. 85 5, 250. 00 5, 250. 00 5, 204. 07 211. 82 12, 095. 27 42. 06 900.00 1, 773. 75 502, 700. 00 321, 500. 00 304,011. 98 51, 800. 00 79, 900. 00 48, 549. 58 158, 000. 00 141, 900. 00 5, 000. 00 5, 000. 00 165, 301. 62 47. 23 5, 024 84 60,000. 00 60, 000. 00 60, 989. 93 125, 000. 00 125, 000. 00 135, 647. 13 . 81 4, 000. 00 3,500.00 13, 256. 64 1, 920. 00 10, 000. 00 1, 920. 00 10, 000. 00 2, 070. 00 13, 314 55 1 31. 27 Total, reimbursements, _______________ 998, 770. 00 1, 004, 970. 00 1,147, 463. 41 8. Gifts and contributions— 1. Donations to the United States------------------2. Moneys received from persons unknown____ 3. Moneys received from persons known, - ___ 100. 00 10, 000. Q0 1, 500. 00 100.00 10,000. 00 1,500.00 100. 10 12, 910. 32 1, 782. 84 11, 600. 00 11,600.00 14, 793. 26 250, 000. 00 1,000. 00 250, 000. 00 1, 000. 00 283, 882. 88 1, 510. ?4 3, 000. 00 3, 000. 00 2, 932. 80 Total, gifts and contributions „ ______ 9. Sales of Government property— products— 1. Scrap and salvaged materials, condemned stores, waste paper, refuse, etc----------------2. Forms________ ______________________ 3. Livestock and livestock products (Public Health Service)___ _____ _________________ 4. Occupational therapy products (Public Health Service)___ _____________________ 5. Subsistence (meals, rations, etc., Public Health Service)________________ *_________ Total, sales of Government property— products____ ______________ __________ 10. Sales of services— 1. Laundry services (Public Health Service)___ 2. Quarantine charges (Public Health Service) _ 3. Quarters, subsistence, and laundry services (Public Health Service)______________ 4. Radio service (Coast Guard) (surplus)______ 5. Storage and other charge^ (Customs Service) * 6. Telephone and telegraph service__________ 7. Work done by Treasury Department_______ Total, sales of services__________________ » Counter entry, deduct. 300.00 300.00 335. 45 16, 500. 00 16, 500. 00 16, 994 98 270, 800. 00 270, 800. 00 305, 656. 35 300.00 560, 000. 00 300. 00 560, 000. 00 322. 32 559, 612. 47 100.00 200.00 28,000. 00 100. 00 200. 00 000. 00 400.00 100. 00 400.00 144 00 190.32 27, 960. 88 144 32 414 40 589,100. 00 589,100. 00 588, 78a 71 100.00 28, BUDGET STATEMENT a59 No. 3.— Estimated receipts, exclusive of postal revenues, fiscal year 1981, compared with prior years— Continued O r d in a r y R e c e ip ts D e t a ile d b y S o u r c e s U n d e r O r g a n iz a t io n U n it s ^ — Continued Estimated, 1931 Estimated, 1930 Classification 11. T R E A S U R Y D E P A R T M E N T — Continued. 1. Revenue receipts— Continued. (k) Other miscellaneous— Continued. 11. Rents and royalties— 1. Rent of public buildings and g rou n ds..__ 2. Rent of land_______________ ______ _____ 3. Rent of telegraph and telephone facilities (Coast Guard)____________ ______________ Total, rents and royalties _____________ 12. Mint receipts (profits on coinage, bullion deposits, etc.)— 1. Charges on bullion deposits. _ - ------- ---------2. Charges on bars sold____________ _________ 3* Charges on special assays of bullion and ores. 4. Proceeds of medals sold____________________ 5. Proceeds of surplus bullion recovered______ 6. Seigniorage, subsidiary silver coinage----------7. Seigftiorage, minor coinage_________________ Actual, 1929 $257, 200. 00 65, 000. 00 $132, 500. 00 65, 000. 00 $165, 219. 45 59, 214. 95 4, 150. 00 4, 150. 00 4, 152. 07 326, 350. 00 201, 650. 00 228, 586. 47 250, 30, 2, 6, 50, 2, 000, 3, 700, 000. 000. 600. 000. 000. 000. 000. 00 00 00 00 00 00 00 250, 30, 2, 6, 50, 2, 000, 3, 700, 000. 000. 600. 000. 000. 000. 000. 00 00 00 00 00 00 00 709. 388. 673. 465. 087. 296. 786. 09 41 50 78 19 35 81 Total, mint receipts____________ _______ 6, 038, 600. 00 6, 038, 600. 00 5, 373, 407. 13 Total, other miscellaneous (k)__________ 28, 022, 520. 00 34, 146, 370. 00 23, 097, 951. 44 2. Nonrevenue receipts— (d) Proceeds Government-owned securities, foreign obliga tions, principal— 1. Repayments of investments— 1. Principal payments on funded obligations of foreign governments held by the United States under refunding agreements— 1. Austria______________________________ 2. Belgium---- -------------------------------- -----3. Czechoslovakia______________________ 4. Finland__________________________ — 5. France_ ______________________ ____ 6. Great Britain (bonds, etc., received as principal payments)_______________ 7. Greece___________________ — -----------8. Hungary----- — -------------------------------9. Italy (bonds, etc., received as prin cipal payments)__ ---------------- — 10. Lithuania-----------------------------------------11. Poland ____________________________ 12. Rumania--------------------------------13. Serbs, Croats, and Slovenes_________ 287, 556. 00 4, 050, 000. 00 3, 000, 000. 00 55, 000. 00 1,350,000.00 00 00 00 00 00 2, 950, 000. 66 3, 000, 000. 00 52, 000. 00 27, 000, 000. 00 457, 000. 00 11, 245. 00 27, 000, 000. 00 40,000.00 10, 640. 00 00 00 00 00 00 5, 000, 000. 00 36, 452. 00 5, 000, 000. 00 35,098. 00 600, 000. 00 200, 000. 00 500,000. 00 200, 000. 00 51, 579-059. 00 97, 614, 913. 00 38, 787, 738. 00 28, 000,000. 00 484,000. 00 11, 755. 00 12, 100, ' 37, 1, 278, 700, 225, 000. 530. 218. 000. 000. 575, 112. 3, 450, 000. 3, 000, 000. 53, 000. 57, 232,104. 2. Principal payments on unfunded obligations of foreign governments held by the United States— 1. Greece_____________________________ Total, proceeds Governmentowned securities, foreign obli gations. principal (d) __________ 2, 922. 67 51, 579, 059. 00 97, 614, 913. 00 38, 790, 660. 67 90, 000. 00 103, 000. 00 172, 671. 25 221. 07 Total, proceeds Governmentowned securities, all other (^)_ 90, 000. 00 103, 000. 00 172, 892. 32 Total, repayments of investments- 51, 669,059. 00 97, 717,913. 00 38, 963, 552. 99 (0) Proceeds Government-owned securities, all other™ 3. Liquidation of capital stock of Federal land banks____________________________________ 4. Farmers' seed-grain loans (principal)_______ 62331—29------ vui 261, 30, 2, 6, 53, 1, 561, 3, 457, THE BUDGET, 1931 a60 No. 3.— Estimated receipts, exclusive oj postal revenues, jiscal year 1981, compared with prior years— Continued O r d in a r y * R e c e ip t s D e t a il e d by S o u r c e s U n d e r O r g a n i z a t io n U n it s — C on tinued Classification Estimated, 1930 Estimated, 1031 Actual, 1929 11. T R E A SU R Y D E P A R T M E N T —Continued. 2. Nonrevenue receipts— Continued. (?) Proceeds, sale of surplus property— 2. Sales of Government property— 1. Post-office building, Madison, Wis_________ 2. Post-office building, Birmingham, Ala______ 3. Government-owned site, Manchester, N. H. 4. Portion of marine hospital reservation, Cleveland, Ohio_______ __________________ 5. New subtreasury site and building, San Francisco, Calif_____________ ____________ 6. Sale of office material, etc. (General Supply Committee)_____________________________ 7. Capital equipment_________________ _______ Total, sales of Government property___ (A:) Other miscellaneous— 3*. Trust funds— 1. Deposits of unclaimed moneys of individuals. 2. Proceeds of effects and moneys of deceased patients, Public Health Service__ ______ 3. Cash bonds deposited by patients, marine hospital, Carville, La_________ _______ $375, 000. 00 $180, 000. 00 $125. 00 " 20” 000.“ 00 487, 500. 00 800, 000. 00 13, 650. 00 13, 650. 00 18, 278. 31 56, 010. 67 193, 650. 00 388, 650. 00 1, 381, 913. 98 j 5, 013. 43 1, 500. 00 1, 836. 52 500. 00 900.00 2, 000. 00 7. 749. 95 264, 466, 769. 00 274, 205, 028. 00 223, 809, 449. 16 Total receipts under Treasury Depart ment___________________________ 3, 966, 466, 769. 00 3, 991, 205, 028. 00 3, 764, 091, 606. 97 300, 000. 00 320, 000. 00 202, 650. 00 700, 000. 00 700, 000. 00 700, 000. 00 1, 000, 000. 00 1, 020, 000. 00 902, 650. 00 1, 340. 00 71, 700. 00 11, 100.00 83, 450. 63 70, 451. 25 2, 040. 00 2, 040. 00 2, 040. 00 1980. 52 .05 Total interest, exchange, and dividends on capital stock__________________ 1, 003, 380. 00 1, 104, 840. 00 1, 057, 611. 41 2. Fines and penalties— 1. For violating regulations________________ 20a 00 20a 00 262. 31 3* Fees—■ 1. Commissions on telephone pay stations in Federal buildings outside Washington, D. C________________ _____________ 1, 200. 00 1, 200. 00 1, 229. 49 10, ooa 00 10. 00 10.00 7, 000. 00 10.00 10.00 2, 067. 55 174.35 2 4 74 10,020. 00 7, 020. 00 2, 26a 64 Total, trust funds „ Total miscellaneous receipts Treasury Department______ 2, 000. 00 1 under 12. W AR D E P A R T M E N T : 1. Revenue receipts— (g) Proceeds Government-owned securities, all others—, 1. Interest, exchange, and dividends on capital stock— 1. Interest on Government securities, sale of war supplies-_______ *______________ 2. Dividends on capital stock of the Panama Railroad ________ ___________________ Total, proceeds Qovernment-owned securities, all others (g) ____________ (k) Other miscellaneous— 3. Interest on advanced payments to con tractors____________________________ 4. Interest on deferred collections or payments. 5. Interest on endownment fund, preservation tion of birthplace of Abraham Lincoln___ 6. Interest on public deposits__ ____ _______ 7. Gain by exchange______________ _______ Forfeitures— .1. Bonds of contractors._____________ _ 2. Unexplained balances in cash accounts. 3. Unclaimed funds__________________ Total, forfeitures' Counter entry deduct. 500.00 1, 500. 00 a 61 BUDGET STATEMENTS No. 3.— Estimated receipts, exclusive oj postal revenues, fiscal year 1931, compared with prior years— Continued O r d in a r y R e c e ip ts D e t a ile d by S ou rces U n d e r O r g a n iz a t io n Estimated, 1931 Classification 1 2 . W A R D E P A R T M E N T — Continued. 1. Revenue receipts— Continued. (k) Other miscellaneous— Continued. 5. Reimbursements— 1. Auditing accounts of American Red Cross. __ 2. Repairs of Rock Island Bridge, Rock Island, Ill_ ______________________________________ 3. Refund on empty containers____ _______ 4. By contractors on excess cost over contract price ______ _________________ ____ 5. Electric-light charges___________ _ _ 6. Government property lost or damaged_____ 7. Settlement of claims against individuals and corporations.................... .................... Total, reimbursements U n its — - _____________ 6. Gifts and contributions— 1. Moneys received from persons known______ 2. Moneys received from persons unknown____ 3. Donations to United States____ - _________ 4. Funds contributed for walk and wharf, Jamestown, Va____________________ 5. Funds contributed for improvement, rivers and harbors__________ ___________________ 6. Funds contributed for flood control, Missis sippi River, its outlets and tributaries. _ 7. Funds contributed for improvement of roads, bridges, and related works, Alaska._ 8. Funds contributed for flood control, Sacrairiento River___________________ ________ 9. Funds advanced for river and harbor im provements _______ _ _____________ Estimated, 1930 Actual, 1929 $8, 600. 00 $8, 600. 00 $8, 399. 88 12, 000. 00 100. 00 12, 000. 00 500. 00 11, 451. 94 1, 655. 56 12, 000. 00 12, 000. 00 6, 000. 00 6, 000. 00 4,557.11 26, 501. 57 3, 703. 13 300, 000. 00 300, 000. 00 434, 394. 88 338, 700. 00 339, 100. 00 490, 664. 07 15, 000. 00 202. 00 64. 62 20, 000. 00 15, 000. 00. Total, gifts and contributions__________ 7. Sales of Government property— products— 1. Scrap and salvaged materials, condemned stores, waste paper, refuse, etc_________ _ 2. Charts________________________ __________ 3. Electric current___________________ _________ 4. Electric current, Dam No. 2, Muscle Shoals, Ala________ ______________________________ 5. Maps________________________ ____________ 6. Occupational therapy products____ _________ 7. Photos and films. _ _______________________ 8. Ice__ ______ _____ __________________________ 9. Miscellaneous (steam, timber, and water)__ Total, sales of Government property— products_____________________________ 8. Sales of services— 1. Laundry and dry-cleaning operations_______ 2. Livestock breeding service____ _____________ 3. Overhead charges on sales of service or sup plies___________________ ___________________ 4. Radio service...________ ___________________ 5. Storage and other charges____ _____________ 6. Telephone and telegraph service____________ 7. Earnings, United States transports_________ 8. Work done by War Department____________ Total, sales of services__________________ 9. Kents 1. 2. 3. 4. and royalties— Rent of public buildings and grounds_______ Rent of united States Army tank cars.^____ Rent of docks, wharves, and piers__________ Rent of land— 1. Bataan military reservation, Philippine Islands_______________________ 2. Miscellaneous______________ _______ *■_5. Rent of equipment_____________ ____________ 6. Rent of telegraph and telephone facilities___ 7. Rent of water power sites_________________ _ Total, rents and royalties_______________ Continued 500, 000. 00 400, 000. 00 454, 598. 34 150, 000. 00 50, 000. 00 37, 000. 00 200, 000. 00 200, 000. 00 211, 070. 17 200, 000. 00 200, 000. 00 100, 000. 00 100, 000. 00 1, 150, 000. 00 965, 000. 00 737, 935. 13 800,000. 00 7, 500. 00 26, 000. 00 800, 000. 00 7, 500. 00 26, 000. 00 810, 744. 50 7, 281. 79 25, 963. 29 500, 000. 00 700.00 100.00 5, 000. 00 25, 000. 00 5,000.00 500,000.00 700.00 100. 00 5,000.00 25,000.00 5, 000. 00 185, 310. 80 95a 90 185. 26 1, 369, 300. 00 1,369,300.00 1, 030, 444 54 1, 249, 000. 00 1,000.00 1, 249, 000. 00 35, 000. 00 1, 258, 906. 35 21, 355. 05 40, 000. 00 1,000.00 250,000. 00 338, 000. 00 5, 000. 00 40,000.00 1, 000. 00 250, 000. 00 323, 000. 00 5,100. 00 5, 000. 00 1, 884, 000. 00 1, 908,100. 00 1, 845, 872. 93 265,000.00 20,000. 00 2, 500.00 265, 000. 00 20, 000. 00 2,500.00 264,471. 83 10, 00a 46 2, 483. 55 100,000. 00 3,650. 00 56,000100 100,000. 00 35.000.00 3, 65a 00 56.000.00 22,305. 57 109, 780. 86 34,809.40 1, 825. 75 55,836.33 48M5&0Q , ^ 4 $ M 5 0 l00 501, 516. 75 35, m o o , 39, 204 1, 200. 204, 434 303, 938. 11, 928. 4, 906. 34 00 11 26 13 69 THE BUDGET, 1931 a6 2 No. 3.— Estimated receipts, exclusive of postal revenues, fiscal year 1931, compared with prior years— Continued O r d in a r y R e c e ip ts D e t a ile d b y S o u r c e s U n d e r O r g a n iz a tio n Classification U n its — Estimated, 1931 Continued Estimated, 1930 Actual, 1929 1 2 . W A R D E P A R T M E N T — Continued. 1. Revenue receipts— Continued. (k) Other miscellaneous— Continued. 10. Permits, privileges, and licenses— 1. Business concessions. _ -----------------------------2. Permits for fishing and hunting------------------3. Permits for cutting ice--------------------------------- $4, 700. 00 12, 000. 00 400. 00 $4, 700. 00 12, 000. 00 400. 00 $42, 169. 36 11, 625. 00 410. 00 Total, permits, privileges, and licenses-__ 17, 100. 00 17, 100. 00 54, 204. 36 6, 025, 000. 00 10, 620, 000. 00 13, 498, 355. 38 11, 281, 050. 00 15, 794, 010. 00 18, 317, 713. 01 100. 00 45, 000. 00 100.00 45, 000. 00 26. 00 92, 839. 50 75, 000. 00 1, 000, 000. 00 75, 000. 00 1, 750, 000. 00 1, 307. 63 92, 726. 87 2,118, 875. 25 1, 000, 000. 00 2, 450, 000. 00 2, 740, 520. 28 2, 120, 100. 00 4, 320, 100. 00 5, 046, 295. 53 100.00 100.00 52. 55 100. 00 30, 000. 00 1, 300, 000. 00 711, 000. 00 100. 00 30, 000. 00 1, 300, 000. 00 711,000.00 62. 50 50, 047. 84 1, 551, 901. 29 831, 687. 14 Total, trust funds __ __________________ 2, 041, 200. 00 2, 041, 200. 00 2, 433, 751. 32 Total, miscellaneous receipts under War Department, exclusive of Panama Canal______________ ______________ 16, 442, 350. 00 23, 175, 310. 00 26, 700, 409. 86 1. Panama Canal— (j) Panama Canal, tolls, etc.— 1. Revenue receipts— 1. Miscellaneous taxes— 1. Taxes, fees and fines, Canal Zone____ 83, 000. 00 83, 000. 00 92, 311. 39 2. Interest, exchange, and dividends on capital stock— 1. Interest on construction costs of pub lic works in Colon_______ ___ 2. Interest on construction costs of public works in Panama__ _______________ 20, 000. 00 20, 000. 00 21, 823. 67 30, 000. 00 30, 000. 00 32, 694. 15 50, 000. 00 50, 000. 00 54, 517. 82 2. Nonrevenue receipts— 1. Army costs due the United States from Germany------------* Total, other miscellaneous (k)..................... .................. (*) Proceeds sale of surplus property— 2. Sales of Government property— 1. Buildings----------------------------------------------------2. Capital equipment---------------------- -------------3. Sale of Government reservation, Sturgeon Bay, Wis _______ __________ ______ 4. Sale of ordnance material— _________ — 5. Sale of surplus war supplies---------------------- . 6. Sale of lands, etc., on account of military post construction fund---------------------------Total, sales of Government property----(fc) Other miscellaneous— 3. Trust funds— X. Proceeds from estates of deceased cadets, U. S. Military Academy_________________ 2. Proceeds from effects of deceased civilian employees, War Department_____________ 3. Proceeds from estates of deceased soldiers,.. 4. Pay of the Army, deposit fund_____________ 5. Soldiers' Home permanent fund------------------- Total, interest, exchange, and dividends on capital stock______ 3. Forfeitures— 1. By contractors-- ____________________ 2. Unexplained balances in cash account 15.00 1. 17 Total, forfeitures________________ 16. 17 4. Sales of Government property— products— 1. Scrap and salvaged materials, con demned stores, waste paper, refuse, etc______________ _______________ 24.28 5- Sales of services— 1. Profits from business operations_____ r 2. T 0II3, Panama Canal________________L Total, sales of services.___________ ft Postal receipts, Panama Canal---------------------- 717, 600. 00 27, 150, 000. 00 683, 660. 00 27,150, 000. 00 680, 915. 84 27, 054, 600. 07 27, 867, 600L 00 27,833,660. 00 27, 735, 515. 91 192,000. 00 150, 97a 08 BUDGET STATEMENTS a 63 No. 3.— Estimated receipts, exclusive oj postal revenues, jiscal year 1931, compared with prior years— Continued O r d in a r y R e c e ip ts D e ta ile d by S ou rces U n d e r O r g a n iz a tio n U n i t s — Continued Estimated, 1931 Estimated, 1930 Classification 12. W A R D E P A R T M E N T — Continued. 1. Panama Canal— Continued. (j) Panama Canal, tolls, etc.— Continued. 2. Nonrevenue receipts— 1. Repayments of investments— 1. Construction costs of public works in Colon. _ ........... ....... ....... 2. Construction costs of public works in Panama. ________ _______ $24, 000. 00 $24, 000. 00 $25, 891. 99 36, 000. 00 36, 000. 00 72, 193. 60 60, 000. 00 | 60, 000. 00 98, 085. 59 ______ _____________ !_______ r___________ 28, 131, 447. 24 Total, repayments of investments. Adjustment between cash and warrant distribution__ - ____ _________ 6. 7. 8. - 84, 743. 01 28, 060, 600. 00 28, 218, 660. 00 28, 046, 704. 23 Total miscellaneous receipts, War Department, including Panama Canal_________ _______ 44, 502, 950. 00 51, 393, 970. 00 54, 747, 114. 09 30, 198, 000. 00 1, 548, 000. 00 29, 349, 000. 00 1, 504, 725. 00 2, 500. 00 1, 800, 000. 00 2, 500. 00 1, 750, 000. 00 28, 404, 890. 09 1, 495, 722. 67 24.00 1, 834. 53 1, 592, 854. 25 Total, revenues of the District of Columbia------ 5. t Total miscellaneous receipts under Panama Canal (see statement No. 8)__________ ______________ 13. D IS T R IC T OF C O L U M B IA : (k) Other miscellaneous receipts— 1. Revenues of the District of Columbia— 1. General fund____________________________ ____ ___ 2. Water fund______________ ________________________ 3. Industrial home school fund ______ _________ 4. Escheated estates relief fund______________________ 5. Gasoline tax, road and street fund________________ 6. Refund of excess rentals recovered by Rent Com mission___ _____ ___________ ______________ 7. Proceeds of sale of land near Naval Observatory Circle___________________________________________ 2. Trust 1. 2. 3. 4. Actual, 1929 funds— Permit fund__________________________________ ____ Police and firemen's relief fund____________________ Teachers' retirement fund, deductions from salaries. Interest on investments, teachers’ retirement fund deductions. _ ______ ______________________ Interest on, investments, teachers7 retirement fund, Government reserve----- -------------------------------------Miscellaneous trust-fund deposits_________________ Washington redemption fund___ _______________ | District x>f Columbia workmen's compensation act t !■ Total, trust funds______ ____________ ________ 36.90 7, 590. 75 33, 548, 500. 00 32, 606, 225. 00 31, 502, 953. 19 35, 000. 00 675, 000. 00 300, 000. 00 55, 000. 00 675, 000. 00 290, 000. 00 34, 141. 58 472, 060. 00 280,188. 00 115, 000. 00 100, 000. 00 73, 325. 85 35, 000. 00 500, 000. 00 600, 000. 00 30, 000. 00 825, 000. 00 550, 000. 00 2, 260, 000. 00 2, 525, 000. 00 9,103. 572, 566. 636, 341. 2, 000. 19 74 81 00 2, 079, 727. 17 33, 582, 680. 36 Less trust-fund receipts (reappropriated for invest ment) _______________________ _______________ _____ Total, other miscellaneous receipts (k) _________ (h) Trust-fund receipts (reappropriated for investment), teachers' 503, 158. 37 35, 808, 500. 00 35, 131, 225. 00 33, 079, 521. 99 _____________ ____________________ 740, 000. 00 640, 000. 00 503, 158. 37 Total miscellaneous receipts under District of Columbia. 36, 548, 500. 00 35, 771, 225. 00 33, 582, 680. 36 retirement fund _____ 493, 452, 730. 59 484, 663. 35 Adjustment between cash and warrant distribution_________ _ Total miscellaneous receipts. _______ _______________ 523, 727, 666. 00 Total ordinary receipts, exclusive of postal revenues. _ 4, 225, 727, 666. 00 532, 263, 434. 00 492, 968, 067. 24 4, 249, 263, 434. 00 | 4, 033, 250, 225. 05 A 64 THE BUDGET, 1931 No. 3 .— Estimated receipts, exclusive of postal revenues, fiscal year 1931, compared with prior years— Continued O r d in a r y R e c e ip ts D e t a ile d by S ou rces Classification U n d e r O r g a n iz a tio n U n i t s —Continued Estimated, 1931 Estimated, 1930 Actual, 1929 SUMMARY, INCLUDING POSTAL SERVICE Legislative establishment............................ ........ Executive Office and independent establishments. Department of Agriculture__________________ Department of Commerce.................. ................. Department of the Interior__________________ Department of Justice______________________ Department of Labor_______________________ Navy Department.________________________ Post Office Department_____________________ State Department__________________________ Treasury Department_______________________ War Department__________________________ District of Columbia_________________ ____ $1, 100, 8, 4, 30, 8, 10, 5, 282, 364, 939, 755, 720, 367, 343, 238, 8, 3, 966, 44, 36, 178, 466, 502, 548, 255. 00 111. 00 000. 00 280. 616. 610. 125. 700. 00 00 00 00 00 750. 769. 950. 500. 00 00 00 00 20, 000.00 481, 082. 00 193, 111. 00 322, 000. 00 743, 480. 00 821, 428. 00 8, 202, 610. 00 8, 645, 125. 00 5, 447, 925. 00 $1, 94, 9, 4, 30, 20, 000. 00 8, 3, 991, 51, 35, 016, 205, 393, 771, 450.00 028. 00 970. 00 225. 00 Total receipts. 7, 3, 764, 54, 33, 694, 172, 601, 567, 931, 661, 615, 190. 095. 600. 929. 390. 435. 916. 10, 213. 948, 023. 091, 606. 747, 114. 582, 680. 52 44 13 00 90 66 32 05 65 31 97 09 36 4, 033, 734, 888. 40 484, 663. 35 Adjustment between cash and warrant distribution. Total, ordinary receipts. Postal revenues_____________ $1, 110, 692. 107, 9, 4, 30, 7, 4, 7, 4, 225, 727, 666. 00 754, 400, 000. 00 4, 249, 263, 434. 00 725, 400, 000. 00 4, 033, 250, 225. 05 696, 947, 578. 00 4, 980, 127, 666. 00 4, 974, 663, 434. 00 4, 730, 197, 803. 05 BUDGET STATEMENTS B udget a65 No. 4 St a te m e n t Estimated receipts, exclusive of postal revenues, fiscal year 1931, compared with prior years O r d in a r y R e c e i p t s , U n d e r C l a s s i f i c a t io n of T reasury D a il y St a t e m e n t Estimated receipts 1930 Actual receipts, 1920 (on basis of Treasury Daily Statement) CUSTOMS (а) Customs receipts, Treasury Department______________ in t e r n a l (б) (e) (9) $602, 000, 000. 00 $602, 262, 786. 17 2, 510, 000, 000. 00 640, 000, 000. 00 2, 525, 000, 000. 00 635, 000, 000. 00 2, 330, 711, 822. 66 607, 307, 548. 98 51, 579, 059. 00 184, 564, 540. 00 11, 213, 350. 00 97, 614, 913. 00 141, 935, 095. 00 4, 708, 600. 00 38,790, 660. 67 160/340, 908. 23 15, 473, 795. 82 396, 000. 00 5, 097, 900. 00 432, 000. 00 4, 660, 300. 00 56, 500. 00 121, 000 . 00 539, 950. 12 5, 359, 766. 13 396. 10 10, 477. 79 30. 00 190, 264. 89 902, 650. 00 366, 587. 76 revenue Income tax, Treasury Department_____ ______________ Miscellaneous internal revenue, Treasury Department. m is c e l l a n e o u s M> («) </) $602, 000, 000. 00 r e c e ip t s Proceeds Government-owned securities: Foreign obligations— Principal, Treasury Department_________ Interest, Treasury Department__________ Railroad securities, principal and interest. All others, principal and interest— 1* Housing Corporation____________________________ 2. Shipping Board and Merchant Fleet Corporation3. United States Veterans' Bureau__________________ 4. Department of Agriculture_______ _______________ 5. State Department_______________________________ 6. Treasury Department___________________________ 7. War Department________________________________ 8. Navy Department______ _____ ___________________ , , . 105, 000. 00 1 000 000 00 330, 140. 00 118, 000. 00 1, 020, 000. 00 347, 975. 00 7, 370, 062. 79 338, 546. 58 Adjustment between cash and warrant distribution. Total, all others, principal and interest (g)_______ (h) Trust fund receipts (reappropriated for investment): 1. General railroad contingent fund___________ 2. United States Veterans* Bureau____________ 3. District of Columbia. Total trust fund receipts (reappropriated for investment) (h) (i) Proceeds sale of surplus property: 1. House of Representatives_____________________________ 2. Executive Office_____________________________________ 3. Employers Compensation Commission____________ ______ 4. General Accounting Office______ ______________________ 5. Housing Corporation_________________________________ 6. Interstate Commerce Commission______________________ 7. National Advisory Committee_________________________ 8. Public Buildings and Public Parks of the National Capital___ 9. United States Veterans’ Bureau________________________ 10* Department of Agriculture____________________________ 11. Department of Commerce____ ________________________ 12. Department of the Interior____________________________ 13. Department of Justice________________________________ 14. Department of Labor_________________________________ 15. Navy Department___________________________________ 16. State Department____________________________________ 17. Treasury Department------------------------------------18. War Department___________________________________ 6, 985, 540. 00 1, 000, 000. 00 6, 699, 275. 00 7, 031, 516. 21 37, 830, 000. 00 740, 000. 00 45,110, 000. 00 640, 000. 00 1, 000, 000. 00 977, 842. 88 52, 160, 111. 83 503, 158. 37 39, 570, 000. 00 46, 750, 000. 00 53, 641, 113. 08 1,000.00 1, 000. 00 3, 000. 00 646, 000. 00 450. 00 3, 000. 00 782, 000. 00 450.00 017. 25 50.40 15. 00 2, 468.00 1,119, 962. 30 618. 14 15. 50 42. 50 39, 002. 61 15, 548. 31 44, 507. 69 1,267, 068. 58 13. 00 65.00 1, 754, 787. 09 3, 231. 22 1, 381, 913. 98 5, 046, 295. 53 50, 000. 00 50.000.00 50, 500. 00 1, 165, 800. 00 50. 00 250. 00 360, 000. 00 2, 500. 00 193, 650. 00 50, 500. 00 1, 165, 800. 00 50.00 250.00 364,000. 00 3,000.00 388, 650. 00 4, 320, 100. 00 11,000. 00 2, 120, 100. 00 11.000.00 10, 676, 622. 10 1, 277, 889. 66 Adjustment between cash and warrant distribution. Total, proceeds sale of surplus property (i)---------(j) Panama Canal tolls, etc________________________________ 4, 604, 300. 00 7 , 13& 800. 00 9, 398, 732; 44 28, 060, 600. 00 28, 218, 660. 00 28, 046, 704. 23 a66 t h e b u d g e t , 1931 N o. 4.— Estimated receipts, exclusive of postal revenues, fiscal year 1931, compared with prior years— Continued O r d in a r y R e c e ip ts , U n d e r C la s s ific a t io n D a i l y S t a t e m e n t —Continued o f T reasu ry Estimated receipts Actual receipts, 1929 (on basis of Treasury Daily Statement) 1930 (fc) Other miscellaneous receipts: 1. Office of Architect of the Capitol........ ....................................... 2. Government Printing Office-------------------- -------- ------------------3. Library of Congress---------------------------- -------- ---------------------4. Legislative, miscellaneous--------------------------------------------------5. Executive office______________________ _____ ______________ 6. Board of Mediation_______________________________________ 7. Board of Tax Appeals_____________________________________ 8. Civil Service Commission_________________________________ 9. Employees’ Compensation Commission -----------------------------10. Federal Board for Vocational Education---------------------------11. Federal Power Commission,,,^_____________ ______ _______ 12. Federal Reserve Board____________________________________ 13. General Accounting Office_________________________________ 14. Interstate Commerce Commission_________________________ 15. National Advisory Committee for Aeronautics____________ 16. Public Buildings and Public Parks of the National Capital, 17. Railroad Administration_____________________ _____________ 18. Shipping Board and Merchant Fleet Corporation--------------19. Smithsonian Institution_________________ ______ ___________ 20. Tariff Commission________________________________________ 21. United States Veterans' Bureau___________________________ 22. Department of Agriculture------------------------------------------------23. Department of Commerce-------------------------------------------------24. Department of the Interior----- ------------------------------------------25. Department of Justice____________________________________ 26. Department of Labor_____________________________________ 27. Post Office Department___________________________________ 28. Navy Department________________________________________ 29. State Department_________________________________________ 30. Treasury Department_____________________________________ 31. War Department__________________________________________ 32. District of Columbia______________________________________ $155, 655. 00 315, 000. 00 810, 600. 00 $164, 305, 883, 126, 957. 000. 600. 525. 30. 00 00 00 00 00 50, 000. 20. 20, 050. 57, 000. 568, 000. 2, 605, 000. 3, 000. 20, 030. 101. 225. 00 00 00 00 00 00 00 00 00 00 150. 5. 123, 150. 190, 000. 692, 980. 655, 628. 202, 560. 644, 875. 20, 000. 735, 950. 013, 450. 148, 370. 835, 210. 131, 225. 00 00 00 00 00 00 00 00 00 00 00 00 00 00 30. 00 so^ood."60 20, 57, 500, 2, 560, 9, 12, 050. 000. 000. 300. 000. 030. 1. 250. 00 00 00 00 00 00 00 00 150. 00 918, 600. 871, 500. 704, 780. 554, 816. 367, 560. 342, 875. 20, 000. 4, 548, 560. 8, 176, 250. 28, 024, 520. 13, 322, 250. 35, 808, 500. 40, 8, 4, 29, 8, 10, 00 00 00 00 00 00 00 00 00 00 00 00 34, 9, 4, 29, 8, 8, 4, 8, 34, 17, 35, 77 59 97 94 89 00 05 80 10 58 06 47 65 25 36 80 05 50 61 493. 069. 092. 861. 377. 370. 213. 541. 822 701. 464. 521. 94r 03 31 32 66 32 65 20 09 39 33 99 28, 9, 4, 28, 7, 4, 5, 7, 23, 20, 33, 509, 146, 557, 300, 931, 661, 10, 494, 944, 105, 751, 079, 178, 112, 863. 67 2, 131, 772. 89 Adjustment between cash and warrant distribution. Total, other miscellaneous receipts (k) ___________ 300. 683. 614. 075. 382. 45. 59, 218. 148. 20, 229. 55, 007. 347, 475. 2, 895, 468. 542. 052. 4 289. h 164. 100, 727. 289. 618. $1, 172, 712, 223, 197, 150, 277. 00 199, 197, 091. 00 180, 244, 636. 56 Total miscellaneous receipts_____________________ 523, 052, 666. 00 532, 263, 434. 00 492, 968, 067. 24 Total ordinary receipts__________________________ 4. 225, 727, 666. 00 4, 249, 263, 434. 00 4, 033, 250, 225. 05 602, 000, 000. 00 602, 000, 000. 00 602, 262, 786. 17 2, 460, 000, 000. 00 640, 000, 000. 00 2, 480, 000, 000. 00 635, 000, 000. 00 2, 330, 711, 822. 66 607, 307, 548. 98 SUMMARY (а) Customs____________________ _____ ___ Internal revenue: (б) Income tax______________________ (c) Miscellaneous internal revenue__ id ) (e) if) (9) (h) W (i) <« Miscellaneous receipts: Proceeds Government-owned securities— Foreign obligations— Principal_____ _________ ___________________ Interest________ ,_________________________ Railroad securities.;___________________________ All others.___________________ _________________ Trust fund receipts (reappropriated for investment) _ Proceeds sale of surplus property________ __________ Panama Canal, tolls, etc___________________________ Other miscellaneous receipts_______________________ 51, 579, 184, 564, 11,213, 6, 985, 39, 570, 4, 604, 28, 060, 197, 150, 059. 540. 350. 540. 000. 300. 600. 277. 00 00 00 00 00 00 00 00 97, 141, 4, 6, 46, 7, 28, 199, 614, 935, 708, 699, 750, 139, 218, 197, 913. 00 095.00 600. 00 275. 00 000. 00 800. 00 660. 00 091. 00 38, 790, 160, 340, 15, 473, 7,031, 53, 641, 9, 398, 28, 046, 180, 244, 660. 908. 795. 516. 113. 732. 704. 636. 67 23 82 21 OS 44 2^ 56 Total miscellaneous receipts. 523, 727, 666. 00 532, 263, 434. 00 492, 968, 067. 24 Total ordinary receipt?____ 4, 225, 727, 666. 00 4, 249, 263, 434. 00 4, 033, 250, 225. 05 a67 BUDGET STATEMENTS B udget Statement No. 5 Estimated expenditures, fiscal year 1931, compared with prior years S u m m a ry b y C h a r a c t e r o f E x p e n d itu r e s E x c lu s iv e o f th e P o s t a l S e r v ic e Reference to, statement Expenditures Character of expenditure No. Estimated, 1931 Page ____ Expenditures: I 1. Current expenses, including equipment. a20 a23 a24 8. Treaty payments________________________________ 29 a31 a32 a 18 Actual, 19291 $1, 096, 468, 000. 00 $1, 085, 636, 700. 00 2. Nonadministrative expenses2— 1. Interest on public debt__________________________ 2. Premium on sinking-fund purchases_____________ 3. Pensions________________________________________ 4. U. S. Veterans’ Bureau payments....................... 5. Vocational education and rehabilitation of per sons disabled in industry______________________ 6. Cooperative agricultural extension work............ .. 7. Colleges for agricultural and mechanic arts______ a31 a31 a24 a 17 a 18 Estimated, 1930 9. Refunds and drawbacks,________________________ 10. Employees’ compensation fund payments. 11. Settlement of war claims, relief acts, etc.. 12. Other____________________________________ Total nonadministrative expenses2...... ............ . 619, 000, 000. 00 656, 000, 000. 00 214, 000, 000. 00 440, 325, 000. 00 $1, 074, 541, 346. 87 221, 000, 000. 00 428, 451, 500. 00 678, 330, 399. 1, 366, 081. 229, 549, 430. 413, 236, 054. 50 24 04 94 7, 980, 000. 00 15, 518, 900. 00 2, 550, 000. 00 1, 278, 000. 00 8, 160, 000. 00 15, 237, 900. 00 2, 550, 000. 00 1, 179, 100. 00 7, 481, 778. 14, 400, 150. 2, 550, 000. 1, 172, 010. 22 94 00 77 162, 520, 500. 00 3, 700, 000. 00 2, 343, 000. 00 185, 000. 00 1, 469, 400, 400. 00 172, 550, 500. 00 3, 600, 000. 00 29, 700, 000. 00 171, 500. 00 1, 538, 600, 500. 00 212, 554, 322. 3, 542, 261. 3, 741, 813. 333, 914. 1, 568, 258, 217. 81 77 29 45 97 75, 000, 000. 00 95, 450, 000. 00 79, 000, 000. 00 95, 012, 000. 00 5, 000, 000. 00 6, 000, 000. 00 3. Construction work and maintenance, including na tional defense structures— 1. Rural post roads--------------------------------------------------2. Rivers and harbors______________________________ 3. Hospital facilities and construction for World War patients____________________________ _____ _ 4. Acquisition of lands for protection of watersheds*. 5. Forest road construction and development_______ 6. Public buildings under Treasury Department------7. Public works under War Department other than rivers and harbors--------------------------------------------8. Public works under Navy Department___________ 9. Public works under Commerce Department____ a 21 a36 a 17 a 20 a 21 a31 a28 a22 a 23 10. Public works under Interior Department_________ a24 11. Other public works_______________________________ Total public works___________________________ a 37 a28 a 14 j ! j a31 a36 a31 a 31 4. 5. 6. 7. District of Columbia__________ . . . . _____ _____________ Deficiencies in postal revenues____________,____________ Operations in special accounts___________ ______ ______ Investments— 1. Cape Cod Canal_________________________________ 2. Inland Waterways Corporation__________________ 3. Capital stock payments, Federal intermediate * credit banks_______ ___________________________ 4. Purchase of obligations of foreign governments— 8. Reduction in principal of public debt, payable from ordinary receipts— 1. Sinking fund_____________________________________ 2. Other_____________________________________________ Total reduction in principal of public debt payable from ordinary receipts_________ „ 9. Special funds. 46 99 55 73 56, 187, 000. 00 1, 900, 000. 00 8, 500, 000. 00 60, 775, 000. 00 18, 388, 700. 00 7, 000, 000. 00 1, 388, 000. 00 16, 265, 000. 00 28, 771, 400. 00 313, 450, 100. 00 27, 530, 500. 00 8, 469, 000. 00 1, 851, 000. 00 15, 964, 300. 00 26, 741, 300. 00 331, 743, 100. 00 13, 923, 749. 00 7, 314, 021. 27 970, 481. 07 14, 780, 646. 37 17, 016, 087. 71 266, 457, 383. 39 43, 415, 000. 00 78, 500, 000. 00 60, 657, 000. 00 40, 733, 700. 00 84, 000, 000. 00 21, 971, 900. 00 37, 911, 535. 60 94, 699, 744. 06 12, 074, 683. 85 3, 000, 000. 00 1, 500, 000. 00 6,180, 509. 97 2, 500, 000. 00 3, 000, 000. 00 5, 000, 000. 00 12, 167, 000. 00 5. Agricultural marketing loans_____________________ | a32 4, 044, 349. 1, 146, 882. 9, 080, 764. 30, 785, 366. 2, 000, 000. 00 8, 000, 000. 00 0r66C6 a 18 84, 006, 619. 00 83, 388, 415. 24 75, 000, 000. 00 200, 000, 000. 00 I 365, 624, 000. 00 269, 700, 000. 00 389, 191, 500. 00 241, 174, 000. 00 635, 324, 000. 00 630, 365, 500. 00 549, 603, 703. 75 10, 815, 900. 00 | 10, 900, 700. 00 12, 787, 725. 64 15, 700, 000. 00 151, 495, 000. 00 1 20, 850, 000. 00 1 3, 863, 300. 00 191, 908, 300. 00 1 15,775,000.00 158, 805, 000. 00 20, 500, 000. 00 5, 149, 800. 00 200, 229, 80a 00 16, 599, 495. 14 165, 696, 366. 82 19, 955, 190. 64 4, 030, 285. 93 206, 281, 338. 53 4, 023, 6§1, 0Qq. 00 3, 848, 463,189. 63 i 370, 277, 100. 00 179, 326, 603. 75 t a 24 a 14 a 14 10. Trust funds— 1. Indian moneys______________ 2. Investment of trust funds___ 3. Civil-service retirement fund. 4. Other__________________ _____ Total trust funds_____ . . . Total expenditures.. 4, 102, 938, 700. 00 * On basis of Treasury daily statement of June 30,1929. J Represents those disbursements of the Government which do not constitute expenses of administration, strictly speaking. Examples of such expenditures are interest on the Dublic debt, pensions, grants, subsidies, and contributions ,refunds and drawbacks, indemnities, military and naval insurance, and tbe like. a 68 THE BUDGET, 193I B u d g e t S ta te m e n t No. 6 Estimated receipts, fiscal year 1981, compared with prior years S u m m ary b y S o u r c e s o f Reference to state* ment No. R e v e n u e , E x c lu s iv e a 15 a39 a 64 P o sta l R even u es Receipts Source of revenue Page a 15 of Revenue receipts: Customs receipts— Duties and tonnage tax. Internal-revenue receipts— Income tax__________________________________________ Miscellaneous internal-revenue taxes_________________ Total internal-revenue receipts____________________ Miscellaneous receipts— Miscellaneous taxes— Federal reserve and Federal intermediate credit banks franchise tax___________________________ Immigration head tax___________________________ Tax on circulation of national banks____________ Taxes, licenses, fines, etc., Canal Zone............ ....... Total miscellaneous taxes_____________________ Interest, exchange, and dividends on capital stock— Interest on advance payment to contractors_____ Interest on deferred payments or collections_____ Interest on bonds of foreign governments under funding agreements___________________________ Interest on unfunded obligations of foreign gov ernments______________________________________ Interest on public deposits______________________ Interest on miscellaneous obligations____________ Gain by exchange_______________________________ Dividends on capital stock of the Panama Rail road owned by the United States_________ ___ _ Repayments, military and naval insurance, Vet erans’ Bureau, 1929, and prior year»__________ Repayments, Federal control of transportation system________________________________________ Repayments, loans to railroads after termination of Federal control_____________________________ Total interest, exchange, and dividends on capital stock________________________________ Fines and penalties— Judicial____________________________ _____________ Customs Service________________________________ Immigration Service_____________________________ Enforcement of national prohibition act (judicial) Recovery of value of oil_________________________ Navy fines and forfeitures_____ ______ __________ Other___________________________________________ Total fines and penalties. Fees— Clerks, United States courts ________ _____________ Board of Tax Appeals___________________________ Commissions on telephone pay stations in Federal buildings and rented post offices_______________ Alaska game laws_______________________________ Consular and passport___________________________ Copying----------------------------------------- -------- ------------Copyright-----------------------------------------------------------Indian lands and timber______ ___________________ Fees and commissions (land offices)______________ Marshals, United States courts__________________ Naturalization___________________________________ Navigation________________________________ On letters patent________________________________ Testing________________________ ____________ _____ Other------------------------------------- ----------------------------Immigration (registration)________________ ______ Total fees. Actual, 1929 Estimated, 1931 Estimated, 1930 $602, 000, 000. 00 $602,000, 000. 00 $602, 262, 786. 17 2, 460, 000, 000. 00 640, 000, 000. 00 3, 100, 000, 000. 00 2, 480, 000, 000. 00 635, 000, 000. 00 3, 115, 000, 000. 00 2, 330, 711, 822. 66 607, 307, 548. 98 2, 938, 019, 371. 64 6, 200, 000. 00 2, 900, 000. 00 3, 244, 000. 00 83, 000. 00 12, 427, 000. 00 6 , 210 , 000. 00 2, 900, 000. 00 3, 244, 000. 00 83, 000. 00 12, 437, 000. 00 1, 840. 00 71, 700. 00 11,600.00 83, 450. 63 92, 805. 49 184, 564, 540. 00 141. 935, 095. 00 139, 973, 850. 97 4, 060, 051. 00 3, 351, 140. 00 1, 050. 00 4, 063, 051. 00 8, 491, 079. 00 I, 050. 00 20, 367, 057. 26 3, 411, 131. 85 2, 305, 714. 04 920. 20 700, 000. 00 700, 000. 00 700, 000. 00 2, 842, 745. 2, 885, 238. 3, 240, 307. 92, 3il. 9, 060, 602. 01 00 81 39 21 485, 006. 40 3, 000. 00 9, 000. 00 51, 098. 95 2, 904, 750. 00 3, 289, 000. 00 3, 204, 989. 61 195, 586, 371. 00 158, 571, 575. 00 170, 676* 025. 40 600, 000. 00 2, 340, 000. 00 150, 000. 00 4, 500, 000. 00 550, 000. 2, 340, 000. 150, 000. 4, 500, 000. 650, 000. 00 60, 250. 00 8, 300, 250. 00 675, 000. 00 58, 250. 00 8, 273, 250. 00 525, 860. 11 2, 182, 845. 20 166, 449. 06 4, 354, 136. 50 3, 509. 19 675, 005. 73 54, 443. 09 7, 962, 248. 88 1, 650, 000. 00 50, 000. 00 1, 600, 000. 00 50.000.00 1, 547, 392. 20 59, 153. 05 69, 675.00 28, 000.00 69, 675. 00 28, 000. 00 7, 860, 000. 00 38, 740. 00 315, 000. 00 56, 718. 39 26, 476. 54 7, 651, 946. 52 41, 564. 27 308, 825.00 275, 442. 43 461, 215. 91 191, 932185 907, 483.00 248, 846.41 3,696, 925.87 76, 82a 26 41, 854.06 8,000, 000.00 38, 740.00 325, 000.00 150, 000.00 350, 000.00 230, 000.00 00 00 00 00 , . 100 000 00 , . 3, 710, 000.00 90, 000.00 33, 000.00 700, 000.00 375, 000. 00 220 000 00 4, 500, 000. 00 240, 000. 00 3, 710,000. 00 85, 000. 00 41.000.00 500,000.00 2 1 ,6 6 4 *4 1 5 .0 0 1 9 ,7 5 2 ,4 1 5 ,0 0 6,000, 000.00 240, 000.00 15, 602, 599. 76 a69 BUDGET STATEMENTS No. 6.— Estimated receipts, fiscal year 1981, compared with prior years— Continued S um m ary Reference to state ment No. bt S ources of R evenue , E x c l u s iv e of P o sta l R even ues— ’ Continued Receipts Source of revenue Estimated, 1930 Estimated, 1931 Page Revenue receipts— Continued Miscellaneous receipts— Continued. Forfeitures— Bonds of aliens, contractors, etc_____ ____________ Bribes to United States officers__________________ Customs Service................. ...... - _______________ Judicial - - ___________________ . _____________ Under enforcement of national prohibition act (Treasury and judicial)__________ _ — -----Unclaimed moneys and wages remaining in reg istry of courts__ ______________________________ Unclaimed funds_________________________ _______ Unexplained balances in cash accounts____________ Other____ _______ _________________________________ Total forfeitures................. .............. .................... ...... Assessments— Passage moneys collected from steamship com panies for return of deported aliens------------------Federal reserve banks for salaries and expenses, Federal Reserve Board________________________ Federal and joint-stock land banks and Federal intermediate credit banks, salaries and expenses, Federal Farm Loan Board_____________________ Salaries and expenses, national-bank examiners__ General railroad contingent fund.................. ............ Austrian, German, and Hungarian Governments' moiety, expenses, Mixed and Tripartite Claims Commission___________________________________ Naval hospital fund____________________ _________ Deposits by individuals for expenses of surveying public lands_________________ _ . _____________ Deposits for establishing wool standards_________ ^Total assessments____ ______ __________________ $468, 23, 175, 210, 260. 300. 000. 000. 00 00 00 00 $435, 22, 175, 200, 260. 300. 000. 000. Actual, 1929 00 00 00 00 $514, 21, 173, 187, 363. 064. 940. 511. 18 95 36 60 310, 250. 00 281, 250. 00 279, 819. 42 177, 000. 00 1, 496. 00 110. 00 61, 100. 00 177, 000. 00 1, 308. 00 110. 00 60, 900. 00 176, 300. 76 4, 508. 62 726. 13 61, 565. 50 1, 426, 516. 00 1, 353, 128. 00 1, 419, 800. 52 10, 000. 00 10, 000. 00 10, 145. 59 2, 560, 300. 00 2, 605, 000. 00 2, 895, 468. 47 1, 020, 000. 00 2, 600, 000. 00 1, 000, 000. 00 986, 000. 00 2, 400, 000. 00 1, 000, 000. 00 880, 252. 56 1, 874, 133. 89 977, 842. 88 21, 000. 00 450, 000. 00 18, 000. 00 450, 000. 00 18, 030. 00 490, 905. 30 20, 000. 00 50, 000. 00 25, 000. 00 12, 000. 00 24, 930. 38 50, 000. 00 7, 731, 300. 00 7, 506, 000. 00 7, 221, 709. 07 50, 000. 00 40, 000. 00 53, 971. 91 185, 000. 00 205, 000. 00 1, 049, 216. 65 150, 526. 02 175, 000. 00 4, 320. 00 185, 000. 00 4, 770. 00 181, 554. 26 8, 086. 14 5, 000. 00 712, 500. 00 255, 900. 00 5, 000. 00 543, 300. 00 250, 890. 00 517, 863. 18 243, 382. 31 75, 000. 00 71, 025. 00 135, 000. 00 250, 000. 00 70, 475. 00 135, 000. 00 379, 774 55 68, 962. 10 157, 592. 31 135, 647. 13 58, 047. 65 Reimbursements—* Construction charges (Indian Service)____________ Coos Bay wagon-road grant fund, to cover pay ments to certain counties of Oregon of unpaid taxes to Southern Oregon Co__________________ Collections under grain and cotton standards acts. Maintenance of District of Columbia inmates in Federal penal and correctional institutions_____ Refund on empty containers_______________ _____ Expenses— Electric-light charges________________________ Other-----------------------------------------------------------Expenses of redeeming national currency_________ Inspection of food ana farm products____________ Deductions from awards of Mixed Claims Com mission, United States and Germany, to cover reimbursement for expenses incurred by United States in respect thereof, settlement of war claims act of 1928-_ _______________________ Government property lost or dam aged,.________ Hospitalization charges and expenses............ ........ Expense of international service of ice observa tions and patrol___________ ____________________ Costs from estates of deceased Indians___________ Maintenance charges, irrigation systems, Indian Service_____________ ____ ______ ______ ____ ____ Appropriations made for Indian tribes. ___________ Settlement of claims______________ _____ _________ Reclamation fund (repayments to appropriation) _ Other____________________________________________ 125, 000. 00 56, 000. 00 125, 000. 00 52, 000. 00 500,000.00 200,000.00 316, 500. 00 7, 030, 000. 00 55, 680. 00 500,000.00 250, 000. 00 320, 000. 00 7, 030, 000. 00 56, 080. 00 Total reimbursements________________ _________ 9, 951, 925. 00 10,022, 515. 00 55, 296. 71 469, 114, 562, 6. 532, 105, 658. 699. 454 385. 845. 64 24 57 76 17 10,844,964 30 a70 THE BUDGET, 1931 No. 6.— Estimated receipts, fiscal year 1931, compared with prior years— Continued S um m ary Reference to state ment No. by Sources of R evenue , E x c l u s iv e or P o st a l R e v e n u e s — Continued Receipts Source of revenue Page Revenue receipts— Continued. Miscellaneous receipts— Continued. Gifts and contributions— Forest Service cooperative work_________________ Library of Congress gift fund.___________________ Moneys received from known and unknown per sons. ------------------------------ ---------------------------Donations to the United States__________________ Donations, National Park Service----------------------Pan American Union quotas_____________________ Contributions for river and harbor improvements. Roads, bridges, and related works, Alaska_______ For memorial to women of World War__________ Other______________ _____ _______________________ Total gifts and contributions. Sales of Government property— products— Scrap and salvaged materials, condemned stores, waste paper, refuse, etc_______________________ Agricultural products, including livestock and livestock products____________________________ Card indexes, Library of Congress_____________ Public documents, charts, maps, etc_____________ Electric current (Dam No. 2, Muscle Shoals, Ala.)_________ ________________________________ Seal and fox skins and furs______________________ Occupational therapy products__________________ Subsistence (meals, rations, etc.)________________ Water___________________________________________ Other____________________________________________ Total sales of Government property— products Sales of services— Fumigating and disinfecting_____________________ Laundry and dry-cleaning operations____________ Livestock breeding service______________________ Overhead charges on sales of services or supplies (War and Navy)______________________________ Operation of properties, U. S. Housing Corpo ration _________________________________________ Quarantine charges (fumigation, disinfection, in spection, etc., of vessels, Public Health Service) _ Quarters, subsistence, and laundry service_______ Radio service____________________________________ Storage and other charges_______________________ Profits from sale of ships' stores, Navy___________ Telephone and telegraph_____________ ___________ Tolls and profits, Panama Canal_________________ Work done for individuals, corporations, etc______ Other____________________________________________ Total sales of services. Rents and royalties— Rent of public buildings, grounds, etc______ Rentals, Center Market, Washington, D. C_ Leases, Annette Islands reserve, Alaska........ Rent of land_______________________________ Receipts under mineral leasing acts________ Royalties on oil, gas, etc___________________ Rent of equipment________ ______ __________ Rent of telegraph and telephone facilities__ Other______________________________________ Total rents and royalties . Estimated, 1931 Estimated, 1930 $1, 400, 000. 00 203, 000. 00 $1, 700, 000. 00 203, 300. 00 11, 720. 100. 25, 000. 115, 000. 950, 000. 11, 720. 15,100. 85, 000. 95. 200. 750, 000. 00 00 00 00 00 200, 000. 00. Actual, 1929 $1, 830, 457. 86 181, 025. 22 00 00 00 00 00 20, 999. 94 20, 100. 10 31, 87, 491, 211, 210, 18, 200, 000. 00 123, 961. 00 146. 682. 598. 070. 634. 500. 70 73 34 17 30 00 2, 904, 820. 00 3, 184, 281. 00 3, 103, 215. 36 2, 213, 180. 00 2, 304, 182. 00 2, 522, 347. 41 101, 700. 00 245, 000. 00 455, 600. 00 98, 700. 00 230, 000. 00 437, 200. 00 70, 304. 14 193, 846. 15 293, 868. 62 500, 460, 70, 21, 60, 269, 500, 380, 65, 20, 50, 271, 251, 369, 64, 20, 47, 9, 000. 000. 400. 350. 100. 755. 00 00 00 00 00 00 000. 000. 900. 750. 100. 055. 00 00 00 00 00 00 248. 804. 556. 454. 700. 856. 44 24 16 44 45 66 4, 397, 085. 00 4, 357, 887. 00 3, 843, 986. 71 80, 000. 00 1, 334, 900. 00 1, 500. 00 80,\000. 00 1, 334, 900. 00 35, 500. 00 70, 223. 00 1, 259, 235. 65 21, 810. 05 100, 000. 00 100, 000 . 00 101, 053. 43 271, 000. 00 268, 000. 00 298, 052. 13 583, 200. 00 583, 200. 00 101, 200 . 00 250, 300, 361, 27, 867, 85, 32, 000. 000. 015. 600. 490. 610. 00 00 00 00 00 00 31, 368, 515. 00 615, 225. 00 25, 233, 3, 750, 1, 846, 35, 13, 22, 000. 200. 000. 500. 000. 300. 400. 00 00 00 00 00 00 00 6, 540, 625. 00 101, 200. 00 360, 300, 346, 27, 833, 98, 38, 000. 000. 555. 660. 490 210. 00 00 00 00 00 00 31, 479, 715. 00 516, 525. 143, 000. 25,000. 233, 200. 3, 825, 500. 1, 971, 500. 35, 000. 13, 300. 22, 300. 00 00 00 00 00 00 00 00 00 6, 785, 325. 00 559, 612. 80, 929. 101, 390. 343, 606. 383, 409. » 336, 157. 27, 735, 515. 71, 415. 58, 7*5. 47 79 32 73 41 72 91 82 91 31, 421, 128. 34 530, 142, 25, 205, 3, 706, 2, 540, 35, 11, 81, 161. 58 919. 98 000.00 917. 36 463. 32 108. 98 199. 61 409.40 966. 34 7, 279,146. 57 1 Includes 1303,938.26, receipts from sales of telephone and telegraph service deposited in 1929 by War Department as rents of telephone and telegraph facilities. a71 BUDGET STATEMENTS No. 6.— Estimated receipts, fiscal year 1931, compared with prior years— Continued S um m ary Reference to state ment by S ources of R evenue , E x c l u siv e of P o sta l R even u es— Continued Receipts Source of revenue No. Page Estimated, 1931 Revenue receipts— Continued. M iscellaneous receipts— Continued. Permits* privileges, and licenses— Alaska fu n d .________ ________________________ Business concessions____ * ___________ ________ Immigration permits______ ____________________ Licenses under Federal water power act______ Permits to enter national parks ............................. Pipe-line, water, and power-transmission rights. Other________ _________ ____________ __________ Total permits, privileges, and licenses. __ _____ Mint receipts (profits on coinage, bullion deposits, etc.) _ Forest-reserve fund____ _________ _____ _______ Postal receipts, Panama Canal___________ ____________ Nonrevenue receipts: Miscellaneous receipts— Realization upon assets— Army costs due the United States from Germany, Paris agreement of Jan. 14, 1925___ ________ Repayments of investments— federal control of transportation systems (repayments to appropriations)_________ Loans to railroads after termination of Federal control, etc. (repayments to appropriations)_______________________ — Construction loan fund, U. S. Shipping Board (repayments to appropriations)_____ Funds deposited for construction loans under sec. 11, merchant marine act, 1920 (44 Stat. 1451)________________________________ Return of advances made to reclamation fund. Representation of interests of foreign govern ments growing out of hostilities in Europe Liquidation of capital stock, Federal land b a n k s______ __ ______________ _____ Principal of bonds of foreign governments under funding agreements______________ _ Principal of unfunded loans made to foreign ________ __ ____ governments_______ Principal of government-owned securities, sale of war supplies-------------------- _ ---------Construction costs of public works in Colon 'and Panama______________________________ Other--------------- -------- -------- --------------------------- j i i Total repavments of investments-________ Sales of public la n d s ---------------------- _ ! --------- Sales of Government property— Capital equipment, includes trucks, houses, cars, machinery, furniture and fixtures, and other capital equipment_________ __ __________ ____ Land and buildings_______________ ________ Lands, etc., on account of naval public works con struction fund__________ ____________ __ Lands, etc., on account of military post construc tion fund______________ _________________ Office material, etc. (General Supply Committee) War supplies_________ _______ _________________ Coos Bay wagon-road grant fund _____________ _ Oregon and California land-grant fund_______ Ordnance material (War) _ _ __________________ Other______________ _____ ________________________ Total sales of Government property_________ . $250, 256, 355, 500, 610, 000. 000. 000. 000. 400. Actual, 1929 Estimated, 1930 00 00 00 00 00 $250, 246, 355, 568, 580, 000. 000. 000. 000. 500. 00 00 00 00 00 $250, 252, 363, 347, 533, 12, 12, 636. 521. 703. 466. 423. 298. 918. 01 22 62 81 83 16 76 13, 445. 00 13, 445. 00 1, 984, 845. 00 2, 012, 945. 00 1, 772, 968. 41 6, 038, 600. 00 6, 650, 000. 00 6, 038, 600. 00 6, 440, 000. 00 192, 000. 00 5, 373, 407. 13 6, 312, 463. 49 150, 976. 08 6, 025, 000. 00 10, 620, 000. 00 13, 498, 355. 38 36, 600. 00 136, 600. 00 36, 600. 00 8, 269, 000. 00 1, 274, 000. 00 11, 954, 656. 39 1, 472, 900. 00 1, 361, 800. 00 1, 306, 131. 67 875, 000. 00 1, 000, 000. 00 2, 021, 800. 00 1, 000, 000. 00 3, 266, 668. 27 1, 000, 000. 00 157, 769. 39 90, 000. 00 103, 000. 00 172, 671. 25 51, 579, 059. 00 97, 614, 913. 00 38, 787, 73a 00 2, 922. 67 300, 000. 00 300, 000. 00 304, 118. 20 60, 000. 00 12, 140. 00 ’ 60, 000. 00 12,150. 00 98, 085. 59 14, 069. 23 63, 694, 699. 00 103, 884, 263. 00 57, 101, 430. 66 300, 000. 00 300, 000. 00 314, 568. 43 175, 500. 00 896, 200. 00 180, 000. 00 1, 227, 300. 00 1,109, 679. 40 2, 861, 086. 81 19, 808. 18 1, 000, 000. 00 2, 450, 000. 00 1, 300, 175, 675, 75, 22, 2, 050, 175, 675, 75, 22, 000. 000. 000. 000. 700. 00 00 00 00 00 4, 319, 400. 00 000. 000. 000. 000. 210. 00 00 00 00 00 6, 854, 510. 00 | 2, 740, 18, 2, 584, 175, 752, 92, 7, 520. 278. 489. 718. 328. 726. 417. 28 31 46 21 47 87 68 10, 362, 053. 67 a 72 THE BUDGET. 1931 No. 6.— Estimated receipts, fiscal year 1981, compared with prior years— Continued S um m ary Reference | to state ment No. bt Sources of R evenue , E x c l u s iv e of P o sta l R e v e n u e s — Continued Receipts Source of revenue [ Page Estimated, 1031 Estimated, 1930 Actual, 1929 I Nonrevenue receipts— Continued. Miscellaneous receipts— Continued. Trust funds— Contributions to Library of Congress Trust Fund, investment account______ _______ ____ ______ Government life-insurance fund______ * ______ Foreign Service retirement and disability fund— Deductions from salaries, Department of S t a te .____________ _ _________________ Interest on investments_ _ ___________ Pay of the Army, deposit fund __________ Soldiers' Home permanent fund _ ____________ Indian moneys— Proceeds of labor. „ ________________________ Oil and gas leases, etc., Osage Reservation, Okla______________ _______________________ Kiowa, Comanche, and Apache Indians, Oklahoma, moneys due for oil and gas, south half Red River, act Mar. 4, 1923___ Proceeds of sales and leases of Indian lands, etc______ * ________ ____________ Miscellaneous trust funds _________ ____ _______ Total trust funds_____ _______ _____ District of Columbia— Revenue receipts— District of Columbia share (nonrevenue to United States)_________ _______ ____ United States share (revenue to United States)________ _____________ _ _______ Total revenue receipts______________ Nonrevenue receipts— District of Columbia share__________________ $78, 530, 000. 00 1, 700. 8, 000. 1, 300, 000. 711,000. 00 00 00 00 3, 000, 000. 00 $100, 000. 00 79, 010, 000. 00 1, 7, 1, 300, 711, 700. 000. 000. 000. 00 00 00 00 3, 000, 000. 00 $1, 515. 75 79, 932, 865. 88 1, 6, 1, 551, 831, 631. 587. 901. 687. 25 88 29 14 2, 889, 232. 91 9, 604, 123. 47 12, 000, 000. 00 12, 000, 000. 00 69, 640. 98 317, 100. 00 317, 100. 00 1, 350, 569. 91 403, 386. 41 95, 867, 800. 00 96, 446, 800. 00 96, 643, 142. 87 33, 498, 500. 00 32, 556, 225. 00 31, 449, 620. 00 50, 000. 00 50, 000. 00 52, 417. 19 33, 548, 500. 00 32, 606, 225. 00 31, 502, 037. 19 3, 000, 000. 00 3, 165, 000. 00 2, 080, 643. 17 Total miscellaneous receipts under District of Columbia___ ______ ____________ 36, 548, 500. 00 35, 771, 225. 00 33, 582, 680. 36 Total miscellaneous receipts, including Panama Canal and Sales of public lands— Revenue receipts_____ _______ Nonrevenue receipts. _ _______ 317, 022, 267. 00 206, 705, 399. 00 278, 436, 636. 00 253, 826, 798. 00 282, 087, 659. 42 211, 449, 814. 18 493, 537, 473. 60 569, 406. 36 Adjustment .between cash and warrant distribution '523, 727, 666. 00 532, 263, 434. 00 492, 968, 067. 24 Total ordinary receipts, exclusive of postal revenues. 4, 225, 727, 666. 00 4, 249, 263, 434. 00 4, 033, 250, 225. 05 Total miscellaneous receipts______ ___________ a 73 BUDGET STATEMENTS B u d g e t S ta te m e n t No. 7 POST OFFICE DEPARTMENT AND POSTAL SERVICE Estimated expenditures, fiscal year 1931, compared with prior years, detail statement by activities, etc. Estimated, 1931 A. Post Office Department proper: 1. Salaries, Post Office Department— Office of the Postmaster General _. Post Office Department buildings. Office of the First Assistant______ Office of the Second Assistant____ Office of the Third Assistant_____ Office of the Fourth Assistant___ Office of the solicitor____ ________ Office of the chief inspector______ Office of the purchasing agent____ Bureau of Accounts______________ Total, salaries, Post Office Department. $232, 275, 526, 409, 752, 314, 67, 192, 37, 42, 20, 50, 6, 56, 7, Total, post offices. Total, Railway Mail Service. 5. Electric and cable car service______ Total, domestic transportation.. 00 00 00 00 00 00 00 00 00 00 2, 803, 325. 00 00 00 00 00 00 20, 53, 6, 54, 7, 000. 000. 000. 000. 800. 00 00 00 00 00 $223, 274, 458, 312, 757, 432, 66, 176, 36, 40, 933. 653. 605. 767. 013. 381. 749. 018. 811. 875. 00 00 00 00 00 00 00 00 00 00 2, 779, 805. 00 20, 49, 6, 53, 6, 973. 912. 067. 786. 771. 00 00 00 00 00 140, 800. 00 137, 509. 00 1, 165, 000. 00 1,150, 000. 00 50, 000. 00 47, 000. 00 46, 996. 00 27, 475. 00 4, 205, 915. 00 4,156, 125. 00 4, 141, 785. 00 7, 500. 00 7, 500. 00 6, 322. 00 5, 200. 00 4, 550. 00 2,122. 00 12, 700. 00 12, 050. 00 8, 444. 00 2, 905, 812. 00 2, 863, 150. 00 2, 834, 707. 00 54, 200, 000. 00 7, 400, 000. 00 54, 000, 000. 00 7, 265, 000. 00 53, 200, 000. 00 7, 110, 000. 00 Total, general undistributed. 4. Domestic transportation service— 1. Power-boat service_________________________________ 2. Airplane service____________________________________ 3. Railroad-transportation and mail-messenger service. 4. Railway Mail Service— 1. Salaries________________________________________ 2. Travel expenses and allowances________________ 3. Miscellaneous items____________________________ 490. 025. 740. 880. 810. 530. 540. 490. 390. 430. 140, 000. 00 B. Postal Service: 1. General undistributed— 1. Electric power, light, etc________________ _____ _______________ 2. Travel expenses, Postmaster General and Assistant Post masters General____________________________________________ 2. Inspection service, post-office inspectors__________________________ 3. Post offices— 1. Compensation to postmasters________________________________ 2. Compensation to assistant postmasters_______________________ 3. Clerks (including temporary clerks and printers, mechanics, skilled laborers, watchmen, messengers, and laborers)_____ 4 Separating mails______________________________________ _______ 5. Unusual conditions at post offices__ ______ __________________ 6. City-delivery carriers (including temporary carriers)_________ 7. Vehicle service_______________________________________________ 8. Car fare and bicycle allowance (including special-delivery car fare)_______________________________________________________ 9. Special-delivery fees__________________________________________ 10. Rent, light, and fuel. ________ ______ _____ ____________________ 11. Miscellaneous items__________________________________________ 000. 000. 500. 000. 500. $224, 278, 461, 332, 744, 434, 67, 179, 37, 42, 1, 165, 000. 00 Total, contingent expenses. Total, Post Office Department proper. 00 00 00 00 00 00 00 00 00 00 2, 850, 915. 00 2. Contingent expenses— 1. Stationery_________________________________ 2. Fuel, repairs, etc___________________________ 3. Telegraphing_______________________________ 4. Miscellaneous items________________________ 5. Furniture and filing cabinets_______________ 3. Printing and binding, Post Office Department________________ 4. Heat, light, and power, Post Office Department Building, Wash ington, D. C _____________________________________ ______ 5. Claims for damages, Post Office Department_________________ 990. 745. 860. 180. 010. 270. 540. 500. 390. 430. Expended and obli gated, 1929 (partly esti mated) Estimated, 1930 203, 820, 500, 125, 131, 455, 19, 700, 1, 9, 18, 2, 375, 750, 770, 370, 000. 000. 000. 000. 000. 00 00 00 00 00 000. 000. 000. 000. 00 00 00 00 196, 835, 475, 100, 127, 000, 19,190, 1, 9, 18, 2, 325, 500, 100, 211, 000. 000. 000. 000. 891. 00 00 00 00 00 189, 895, 460, 70, 122, 500, 18, 443, 000. 000. 000. 000. 532. 00 00 00 00 00 000. 000. 000. 400. 00 00 00 00 1, 275, 9, 325, 17, 500, 1, 900, 000. 000. 000. 000. 00 00 00 00 449, 465, 000. 00 436, 002, 291. 00 421, 678, 532. 00 1, 576, 900. 00 15, 000, 000. 00 129, 500, 000. 00 1, 381, 900. 00 13, 300, 000. 00 126, 000, 000. 00 1, 371, Q47. 00 11, 207, 097. 00 124, 231, 433. 00 59, 400, 000. 00 4, 370, 000. 00 1, 600, 000. 00 58, 800, 000. 00 4, 215, 000. 00 1, 520, 000. 00 56, 306, 875. 00 4,015,982.00 1,222, 368. 00 65, 370, 000. 00 64, 535, 000. 00 61, 545, 225. 00 685, 000. 00 690, 000. 00 671, 443. 00 212,131, 900. 00 205, 906, 900. 00 | 199,026,245. 00 a 74 THE BUDGET, 1931 POST OFFICE DEPARTMENT AND POSTAL SERVICE— Continued No. 7.— Estimated expenditures, fiscal year 1931, compared with prior years, detail statement by activities, etc.— Contd. B. Postal Service— Continued. 5. Foreign mail transportation______________ _____ __________________ 6. Balances due foreign countries____________________________________ 7. Village delivery service___________________________________________ 8. Rural Delivery Service____________ ______ ________________________ $28, 2, 1, 107, 000, 300, 625, 550, 000. 000. 000. 000. Expended and obli gated, 1929 (partly esti mated) Estimated, 1930 Estimated, 1931 00 00 00 00 $26, 2, 1, 106, 000, 000, 530, 750, 000. 000. 000. 000. 00 00 00 00 $17, 207, 1, 834, 1, 425, 105, 972, 884. 042. 000. 741. 00 00 00 00 9. Star-route service— 1. Alaska star-route service_____________________________________ 2. Other star-route service______________________________________ 175, 000. 00 15, 155, 000. 00 155, 000. 00 14, 450, 000. 00 141, 737. 00 13, 807, 603. 00 Total, star-route service__________________________________ 15, 330, 000. 00 14, 605, 000. 00 13, 949, 340. 00 10. Manufacturing and repair operations— 1. Manufacture of postage stamps and stamped paper-----------------2. Mail bags and equipment________________________ _______ _____ 6, 000, 000. 00 2, 650, 000. 00 6, 025, 000. 00 2, 540, 000. 00 6, 662, 911. 00 2, 288, 084. 00 8, 650, 000. 00 8, 565, 000. 00 8, 950, 995. 00 70, 1, 800, 50, 10, 70, 1, 800, 40, 10, 65, 1, 700, 36, 10, Total, manufacturing and repair operations______________ 11. Losses and indemnities— 1. Adjusted losses and contingencies, postal funds-----------------------2. Indemnities, domestic mail____________________________________ 3. Indemnities, international mail------------------------------------------------4. Personal or property damage claims___________________________ Total, losses and indemnities-------------------------------------------12. Miscellaneous— 1. Payment of rewards__________________________ _______________ 2. Unpaid money orders more than 1 year old---------------------------3. Other miscellaneous items— 1. Stationery_______________________________________________ 2. Twine and tying devices_________________________________ 3. Post-office equipment and supplies (including office appliances)____________________________________________ 4. Shipment of supplies____________________________________ 5. Distribution of stamped envelopes----------------------------------6. Labor-saving devices-------------------------------------------------------7. Pneumatic-tube service__________________________________ 8. Rewards to postal employees for inventions______________ 9. Freight, express, or motor transportation of equipment, etc____________________________________________________ 000. 000. 000. 000. 00 00 00 00 000. 000. 000. 000. 00 00 00 00 106. 000. 912. 000. 00 00 00 00 1, 930, 000. 00 1, 920, 000. 00 1, 8 1 2 ,0 ia 0 0 45, 000. 00 150, 000. 00 45, 000. 00 150, 000. 00 45, 000. 00 149, 091. 00 770, 000. 00 470, 000. 00 740, 000. 00 470, 000. 00 681, 269. 00 443, 807. 00 1, 580, 70, 23, 700, 554, 1, 000. 000. 750. 000. 000. 500. 00 00 00 00 00 00 1, 538, 000. 65, 000. 23, 750. 675, 000. 554, 000. 1, 300. 00 00 00 00 00 00 1, 486, 63, 23, 550, 552, 1, 467. 258. 650. 787. 679. 300. 00 00 00 00 00 00 500, 000. 00 549, 000. 00 418, 051. 00 Total, other miscellaneous items_____________________ 4, 669, 250. 00 4, 616, 050. 00 4, 221, 268. 00 Total, miscellaneous_________________________________ 4, 864, 250. 00 4, 811, 050. 00 4, 415, 359. 00 Total, Postal Service..______________________________ 834, 764, 662. 00 810, 965, 441. 00 779, 115, 307. 00 Total estimated expenditures, by items, Postal Service and Post Office Department, including deficiencies payable from Treasury____________________________ Deduct lump sum for estimated unexpended appropriation balances not contemplated by above amounts_________________ 838, 970, 577. 00 815, 121, 566. 00 783, 257, 092. 00 Net estimated expenditures__________ ____________________ C. Postal Service receipts: * 1. Sale of postage stamps and other stamped paper__________________ 2. Second-class postage paid in money_______________________________ 3. First, second, third, and fourth class postage paid in money under permit_________ ___________________ ____________________ I _______ 4. Box rents____________________________ _____________________________ 5. Foreign mail transit service-------------------------------------- -------- ------------6. Fines and penalties________________________________________________ 7. Dead letters_______________________________________________________ 8. Revenues from money-order business______________________________ 9. Unpaid money orders more than one year old_____________________ 10. Interest and profits, Postal Savings system________________________ 11. Miscellaneous sales of Government property7and other miscellaneous receipts_________________________________________________________ Total receipts_________________________________________________ 6, 070, 577. 00 5, 721, 566. 00 832, 900, 000. 00 809, 400, 000. 00 624, 500, 000. 00 30, 200, 000. 00 600, 000, 000. 00 29,100, 000. 00 783, 257, 092. 00 Actual, 1929 575, 407, 128. 00 27, 824, 516. 00 00 00 00 00 00 00 00 00 67, 000, 000. 00 8, 700, 000. 00 500, 000. 00 150, 000. 00 150, 000. 00 17,100, 000. 00 700, 000. 00 1,400,000.00 63, 729, 392. 00 8, 517, 804* 00 398,377.00 141,113*00 128, 931. 00 16, 707, 584. 00 712, 232. 00 2, 876, 795. 00 600, 000.00 600,000.00 503, 706. 00 754, 400, 000. 00 725,400, 000. 00 696* 947, 57a 00 69, 800, 000. 8, 900, 000. 500, 000. 150, 000. 150, 000. 17, 500, 000. 700, 000. 1, 400, 000. BUDGET STATEMENTS A75 POST OFFICE DEPARTMENT AND POSTAL SERVICE—Continued No. 7.— Estimated expenditures, fiscal year 1931, compared with prior years, detail statement by activities, etc.— ContcL Estimated, 1931 D. Excess of expenditures over receipts_____________ ________ Less unliquidated obligations of 1929_ _ _ _________________ Estimated, 1930 Expended and obli gated, 1929 (partly esti mated) ____ _____ 86, 309, 514. 00 25, 646, 238. 00 Excess of 1929 disbursements over 1929 receipts_____________ ____ Plus expenditures pertaining to prior years: 1928,_____________ _______________ _______ ______________________ 1927_____________________________________________________________ 1926 and prior__ _______ ____________ __________________________ 60, 663, 276. 00 Plus adjustment to Treasury statement basis____________ Deficiency in postal revenues______ _______________ 1 18, 324, 266. 00 2 6, 410, 622. 00 63, 012. 00 85, 461, 176. 00 9, 238, 568. 06 __________ _________ $78, 500, 000. 00 $84, 000, 000. 00 3 $94, 699, 744. 06 * Includes approximately $1,340,000 for retroactive additional compensation to railroads for inland transportation of the mails in accordance with increased rates fixed by Inter ?tate Commerce Commission, and for which fluids were appropriated by Public Resolution No. 7, approved June 6, 1929. Additional payments aggregating approximately $1,040,000 were made in the fiscal year 1930, leaving approximately $370,000 still due. The total amour,t payable under the order of the commission was approximately $52,000,000. Under the provisions of the public resolution referred to approximately $9,000,000 of this amount w as made payable from postal revenues and approximately $43,000,000 front * General Treasury funds. * Includes approximately $6,250,000 for retroactive mail payments. * Includes $8,999,996 for retroactive mail payments. a 76 THE BTTDGET, 1931 Budget Statement No. 8 OPERATIONS OF THE PANAMA CANAL AND CANAL ZONE Estimated revenues and expenses, fiscal year 1931, compared vrith prior years, accrual basis Estimated, 1931 Estimated, 1930 $27, 150, 000. 00 75, 000. 00 192, 000. 00 $27, 150, 000. 00 75, 000. 00 192, 000. 00 Actual, 1929 CANAL OPERATIONS Revenues and earnings: Tolls__________________________ _____ _________ Taxes, fees, fines, Canal Zone________________ Postal receipts_______________________________ Interest and miscellaneous___________________ Canal transit earnings________________________ 8, 000. 00 8, 000. 00 3, 675, 320. 00 4, 083, 719. 00 $27, 123, 534 33 72, 651. 38 162, 590. 89 8, 149. 12 3, 812, 033. 08 31, 100, 320. 00 31, 508, 719. 00 31, 178, 958. 80 674, 009. 00 568, 662. 00 291, 000. 00 1, 379, 625. 00 1, 772, 020. 00 179, 080. 00 622, 660. 00 439, 346. 00 230,400.00 277, 000. 00 1, 746, 765. 00 1, 558, 500. 00 615, 000. 00 66, 304 00 50, 000. 00 2, 516, 449. 00 664, 350. 00 562, 802. 00 291, 000.00 1, 283, 243. 00 1, 763, 267. 00 199, 281. 00 622, 660.00 443, 771. 00 252, 400. 00 277, 000.00 1, 751, 485. 00 1, 496, 500. 00 69, 629. 00 50, 000. 00 2, 759, 544 00 638, 061. 00 548, 578. 08 289, 414 40 1, 204, 347. 42 1, 713, 245. 87 183, 738. 18 576, 557. 34 458, 361. 79 207, 434 68 263, 995. 83 1, 727, 437. 92 1, 470, 105. 02 679, 954. 43 70, 720. 37 25, 643. 97 2, 401, 648. 61 12, 986, 820. 00 640, 000. 00 350, 000. 00 12, 486, 932. 00 640, 000. 00 350, 000. 00 12, 459, 244 91 639, 938. 88 350, 000. 00 Total expenses__________________________________ 13, 976, 820. 00 13, 476, 932. 00 13, 449, 183. 79 Net revenue, transit and Canal Zone operations. 17, 123, 500. 00 18, 031, 787. 00 17, 729, 775. 01 17, 019, 750. 00 16, 355, 365. 00 18, 385, 057. 00 17, 667, 432. 00 17, 236, 785. 02 16, 498, 934 76 Total revenues and earningsExpenses: Executive department__________ __________________________ Accounting department___________________________________ Washington office_________________________________________ Civil government (including codification Canal Zone laws) _ Health department______________________ _________________ Technical divisions_______________________________________ Storehouses— General_____________________________________ Public buildings and grounds_____________________________ Municipal expenditures___________________________________ Miscellaneous general expense____________________________ Marine division___________________________________________ Locks, operation and maintenance________________________ Locks, overhaul___________________________________________ Gatun Dam and spillway_________________________________ Damage to vessels_____________________________ ___________ Channel maintenance_____________________________________ Total, department expenses. Depreciation_________________ Amortization_________________ BUSINESS OPERATIONS Hevenues______________ Expenses_________________________________ Net revenues, business operations. _ 664, 385. 00 717, 625. 00 737, 850. 26 Net revenues, combined operations. 17, 787, 885. 00 18, 749, 412. 00 18, 467, 625. 27 2, 000, 000. 00 1 000 000 00 Less capital expenditures: Madden Dam construction. Building construction______ Miscellaneous______________ 600, 000. 00 142, 000. 00 , 731,, 500.. 00 176, 000. 00 250, 000. 00 932, 007. 43 44, 623. 27 Total construction__________ Depreciation and amortization. 2, 742, 000. 00 990, 000. 00 1, 907, 500. 00 990, 000. 00 1, 226, 630. 70 989, 93a 88 Net capital increase_________ Working capital absorbed_____ 1, 752, 000. 00 917, 500. 00 236, 691. 82 90, 816. 69 Net capital expenditure. Excess of receipts over expenditures_____________________________________ Adjustment between cash and accrual basis, 1929________________________ 1, 752, 000. 00 917, 500. 00 327, 508. 51 16, 035, 885. 00 17, 831, 912. 00 18, 140, lia 76 860, 940. 18 Budget Statement No. 1, receipts, per daily Treasury statement, unrevised________ ______ _______ ___ ________ $28, 046, 704 23 Budget Statement No. 1, expenditures per daily Treasury statement, unrevised__________________________________ 9, 045, 647. 29 Excess of receipts over expenditures, daily Treasury statement, unrevised___________________________________________________________ 19, 001, 05a 94 BUDGET STATEMENTS a 77 No. 9 B u d g e t S ta te m e n t Operations oj the United States Shipping^Board and Merchant Fleet Corporation, accrual basv* Estimated, 1931 Estimated, 1930 Actual, 1929 $397, 000. 00 $364, 000. 00 $302, 450. 40 7, 173, 000. 00 57, 500, 000. 00 8, 562, 000. 00 23, 190, 000. 00 10, 227, 907. 34 6, 728, 790. 00 50, 327, 000. 00 14, 628, 000. 00 13, 499, 117. 34 32, 500, 000. 00 1, 500, 000. 00 47, 000, 000. 00 1, 700, 000. 00 63, 145, 571. 13 1, 797, 327. 66 34, 000, 000. 00 48, 700, 000. 00 64, 942, 898. 79 39, 100, 000. 00 1, 150, 000. 00 58, 564, 214. 00 1, 250, 000. 00 77, 140, 657. 35 1, 071, 946. 91 ____ 40, 250, 000. 00 59, 814, 214. 00 78, 212, 604. 26 Excess of disbursements over receipts_________________________________ 6, 250, 000. 00 11,114, 214. 00 13, 269, 705. 47 200, 000. 00 200, 000. 00 1 3, 234. 22 2, 000, 000. 00 2, 000, 000. 00 2, 100, 000. 00 2, 100, 000. 00 2, 225, 000. 00 2, 251, 321. 52 Salaries and expenses: Disbursements_____________________________________ ____ Construction loan fund: Receipts Disbursements - _______________________________________________ ~- ______________________________________ Excess of disbursements over receipts. Operating fund: Receipts— Vessels, revenue_______________________________________________________ Miscellaneous _ __________________________________________________ Total receipts _ _____ ________________________________ _____ Disbursements— Operating expenses __ __ ^______________________________ Miscellaneous_____________________ __________________________________ Total disbursements __ ____ Claims appropriation; Dishiir«pmfintfi .. . . . Liquidation fund: Receipts— Sales and interest __________________________________ _____ _ Disbursements_____________________________________________________________ 26, 321. 52 Excess of disbursements over receipts____________________________________ Qiesel fund: Disbursements______________________________ ___________________ Insurance fund: Receipts___________________________________________________________________ Disbursements__________________________________ _ _____________________ _ Excess of receipts over disbursements_________________________ Summary of excess disbursements over receipts: Salaries and expenses______________________________________________________ Construction loan fund____________________________________________________ Operating fund_______________ ________________________ ____ __________ Claims appropriation________________ _________ ________________ Liquidation fund___________________________________________________________ Diesel fund________________________________________________________________ Insurance fund____________________ ________ _________________________ Net excess of disbursements over receipts_____________________________ 1, 280, 000. 00 1, 250, 000. 00 . 30, 000. 00 397, 50, 327, 6, 250, 200, f 000. 000. 000. 000. 00 00 00 00 2, 350, 000. 00 8, 088, 261. 97 960, 000. 00 1, 033, 000. 00 3, 212, 135. 82 406, 441. 18 * 73, 000. 00 2, 805, 694 64 364, 000. 14, 628, 000. 11, 114, 214 200, 000. 00 00 00 00 30, 000. 00 2, 350, 000. 00 73, 000. 00 57, 144, 000. 00 28, 729, 214 00 1929 302, 450. i 3, 499,117. 13, 269, 705. i 3, 234 26, 321. 8, 088, 261. i 2, 805, 694 40 34 47 22 52 97 64 15, 378, 693. 16 1928 MISCELLANEOUS INFORMATION (a) Balances June 30 in funds of the United States Shipping Board and Merchant I leet Corporation: (1) Construction loan fund_________________________________________ *____________________ $70, 616, 373. 01 (2) Shipping fund— Insurance reserves___________________________________________________ 8, 153, 354 94 Other____ ____________________________ _____________ ___________ 24, 111, 243. 35 (3) Claims settlement fund______________ _______________ ________ 1, 622, 096. 98 (4) Liquidation fund (included in shipping fund— Other). (5) Dieselization fund___________________ ____ ___________ __ __________________________ 2, 534, 467. 59 (6) Repossessed ships and trade routes fund____________________________________ __ 5, 000, 000. 00 (7) Salaries and expenses, Shipping Board_______________________________________________ 20, 831. 18 (8) Insurance fund__________________________________________________________________ 3, 807, 232. 90 Balance on deposit in United States Treasury_________________________________________________ Balance outside United States Treasury________________________________________ (b) Outstanding loans, June 30________________________ _________________________________________ * Excess of receipts. $72, 617, 255. 67 8, 063, 490. 31 24, 856, 747. 14 1, 619,194 61 4, 364i 323. 5, 000. 000, 24, 870. 1, 000, 000. 80 00 72 00 115, 865, 599. 95 117, 545, 882* 25 106,074, 874 37 9, 790, 725. 58 19,478,428. 32 104, 001,063. 82 13, 544, 818. 43 14,055, 769. 99 1Excess of disbursements. a THE BUDGET, 1931 7 8 B u d g e t S t a t e m e n t N o . 10 Summary statements of vario'iis accounts, funds, and authorizations ALASKA RELIEF FUNDS j Appropria tions j Total available Total expended Amount transferred to War Department Cash balance 1 Status Jane 30, 1926........................ _.......................................... _............... _........ _.................................................. Fiscal year 1927.............................................................................................................................................................. Fiscal year 1928................................. ................................ ......... ........................... .................... .................. .......... Fiscal year 1929.............................................................. . . Fiscal year 1930 (estimated)________ ____ __________ ___________________________________________________ Fiscal year 1931 (estimated) $23,809.46 15,368.83 25,063. 60 15,000. 00 15, 000. 00 $52,989.96 53,613.89 36,087. 01 37.968.08 j 37.968.08 | $14,744.90 18,625.22 13,118.93 15.000.00 15.000. 00 $23,965.26 $29,180.50 38.245.06 11,023.41 22,968.08 22.968.06 22.968.06 i ALIEN P R O PE RTY CUSTODIAN Estimated value of assets other than cash Cash Received Expended Balance $356,885,000 372,080,000 380.000.000 385.000.000 $175,205,000 245,645,000 290.000.000 320.000.000 $181,680,000 126,435,000 90.000.000 65.000.000 Received Returned in kind Remaining on hand ALIEN P R O PE R TY CUSTODIAN TRUST PR O P E R T Y (Act Oct. 6, 1917) Total Total Total Total to to to to June 30, 1928. ................................................ .................................. June 30,1929.. ___ ____ _____ _____ __________________________ ____ _________ June 30, 1930 (estimated)______ . .. June 30,1931 (estimated)...........................*........................................................................ $271,610,000 $188,950,000 279,465,000 219,075,000 283.000.000 263.000.000 285.000.000 285.000.000 $82,660,000 60l 390,000 20,000,000 UNITED STATES EM PLO Y EE S’ C O M PEN SATION COM M ISSIO N Receipts UNITED STATES EMPLOYEES* C O M PENSATION FUND Total: June 30, 1926................. ....................................... June 30, 1927........................................... ............. June 30, 1928......................................................... June 30,1929........................................................ Estimated total: June 30,1930...................... ........ .......................... June 30, 1931......................................................... Advances from appropriations Expenditures Total available for expenditures Total expended All other $19, 175, ooa 00 22,000,000.00 25,250,00a 00 28,800,000.00 $280,332.29 308,395.53 356,033.44 432.755.89 $19,527,569.94 22,308,395.53 25,606,033.44 29.232.755.89 $19,527,569.94 22,277,397.61 25,597,378.38 29,222,691.04 32.400.000.00 36.150.000.00 482.755.89 532.755.89 32.882.755.89 36.682.755.89 32.882.755.89 36.682.755.89 Receipts Deposited to credit miscel laneous receipts and repayment of appropriations Total, includ ing balance from previous year Cash balance $1,033.87 6,311.42 9,741.06 Expenditures Estimated value all assets, exclu sive of cash bal ance $223.13 29,964.05 2,343.64 323.79 Investments Balance year year year year 1928................................................................ ................. ........ ............................. 1929...................................... _ 1930 (estimated)....................................................................................................................... 1931 (estimated)__ ____________ ______________________________ ____ _______________ l l l l 8 8 8 8 L O N G SH O R E M E N AND H A R B O R W ORKERS* FUND Fiscal Fiscal Fiscal Fiscal $«, ooaoo 26,000.00 45,559. 71 20,559.71 $440.29 2, ooa 00 5,000.00 $43,000.00 15,000.00 $6,ooa 00 25,559.71 559.71 559.71 a 79 BUDGET STATEMENTS No. 10.— Summary statements of various accounts, funds, and authorisations— Continued FEDERAL PO W E R COM M ISSION (Act June 10, 1920) Receipts Accumulated total: June 30, 1926.............................................. June 30,1927................................. ............. June 30, 1928................................... ........... June 30, 1929......... .................................... Estimated, June 30, 1930.......................... Estimated, June 30, 1931.................. ........ For use of Indian lands For use of public lands and national forests $5,497. 97 7,036.59 0,454. 77 12,94d 46 16,54a 46 20,24a 46 $36,312.21 62,884.77 84,065.40 118.418.37 148.062.37 178.082.37 For use of Govern ment dams $107,414.00 211,447.50 315,481.00 419,796i 58 619.796.58 724.111.58 Distribution, available for disbursement through— For reim bursing costs of administra tion Total $317,432. 67 472,006.81 651,414.80 856,721.37 1.192.221.37 1.554.406.37 $466,656.85 753,375. 67 1,060,415.97 1,407,882. 78 1,976,646. 78 2,476,84a 78 Reclama tion fund Indefinite appropria tion, main tenance and operation of dams, etc. (War Depart ment) Payments to States under the Federal water power act, special funds Available for deposit to credit of miscella neous re ceipts $5,497.97 $18,156.11 7,03a 59 31,442.39 9,454. 77 42,032.71 12,94a 46 59.209.20 74.041.20 16,546.46 20,24a 46 89.041.20 $212,423. 34 341, 727.16 483,447.90 638,258.97 <838,258.97 1,071,508.97 $13,617.06 23,581. 78 31,524.51 44.406.86 55.530.86 66.780.86 $216,962.37 349,587.75 493,95a 08 653.061.29 992.269.29 1,229, 269. 29 Indian funds UNITED STATES HOUSING C OBPOBATIO N (Acts May 16,1918; June 4,1018) Advances from appropriations Accumulated total: June 30,1928................................................... June 30, 1929.................................... ............. Estimated, June 30, 1930.................................. Estimated, June 30, 1931..................... . . . ........ $75,348,958.15 75.696.255.43 76,000,105.43 76.299.055.43 Receipts Total expenditures All other Deposited to credit miscel laneous re ceipts and re payment of appropriations $40,862,445.21 42,294,83a 04 43,464,836.04 44,373,33a 04 Total available Total expended $116,211,403.36 117.991.091.47 119.464.941.47 120.672.391.47 $79,346,811.16 79.686.783.50 79.990.633.50 80.289.583.50 $36,269,646.41 37.700.485.09 38.870.485.09 39.778.965.09 Estimated value all assets, exclu sive of cash balance Cash balance $594,945. 79 603.822.88 603.822.88 603.822.88 $3,933,591.41 2,967,686.39 2.230.000.00 1.670.000.00 P E R K Y ’ S VICTO BY M E M O R IA L COM M ISSIO N Receipts (other than from ap propriations) Expenditures Total available Total expended Cash balance P E R R Y ’S V ICTO BY M E M O R IA L C O M M ISSIO N FUND (Act Mar. 3, 1919) Status Dec. 1, 1927.*.. Fiscal year ending Dec. Fiscal year ending Dec. Fiscal year ending Dec. Fiscal year ending Dec. ______________________ ____________________________ ________ . . . ___ __________ 1,1928*_________________________ ******______________ **___________________ . . . 1, 1929_____________________________ _______________________ *--*__ _______ __ 1, 1930 (estimated)____ _ ____ _______________ ______________ _ __________ 1,1931 (estimated).................................................... ................................. .................... $8,598. 25 7,829.24 8,000.00 8,000.00 $10,389.98 9,357.29 9.502.81 9.816.81 $1,791.73 1,528.05 > 1,502.81 1,816.81 2, l i a 81 $8,861.93 17,85148 7,68a 00 7,700.00 > Estimated. UNITED STATE S RAILROAD ADM IN ISTRATION (Act of March 21, 1018, as amended (Federal control act); act of February 28, 1020, as amended (transportation act))' Receipts Accumulated total: June 30, 1926............ ................... June 30, 1927........................... . June 30, 1928............ ................... June 30, 1929.* ......................... . June 30,1930 (estimated)............ Expenditures Total expended Deposited to credit of miscel laneous receipts and repayment of appropriations Cash balance Estimated value of all assets, exclu sive of cash balance 5 6 7 Total available for expenditures Advances from appropriations All Ota.? 1 2 3 4 $2,106,264,572.56 2.106.764.572.56 2,107,014,572:56 2.107.264.572.56 2.109.264.572.56 $2,317,477,76tt 69 2,374,215,656.93 2,453,897,195.44 2.456.286.353.25 2.466.849.765.25 $4,423,742,333.25 4,480,960,229.49 4,560,911,768.00 4.563.550.925.81 4.576.114.337.81 $3,557,564,06a 45 3,559,095,286.76 3,559,709,622.81 3,560,119,34a 85 3,562,269,339.46 $821,047,33159 876,787,119.64 956.118.843.37 957,182,112L38 967.645.873.38 $45,130,912.21 45,097.823.09 45,083,301.82 46,249,46a 58 46,199,12197 $121,841,151.74 8a 890,25171 10,403,830.12 8,778,248,64 8,197,24L 21 THE BUDGET, 1931 a80 No. 10.— Summary statements of various accounts, funds, and authorizations— Continued TRANSACTIONS OP TH E IN TER STATE C O M M ER C E C OM M ISSIO N UNDER TH E TRAN SPORTATIO N ACT, 1920 Expenditures Receipts Deposited to credit miscel Total expended laneous receipts and repayments of appropriations Total available Item Estimated value of all assets, excluding cash balance Advances from appropriations All other 1 $260.000,000.00 529,678, 719.42 10,127,563.80 $241,852,945.77 $501,852,945.77 529,678,719.42 10,127,563.80 $350,600,667.00 529,678,719.42 10,127,563.80 $151,252,278.77 $170,746,278.77 799,806,282.22 241,852,945.77 1,041,659,228.99 899,406,950.22 151,252,278.77 170,746,278.77 260,000,000.00 529,892,619.41 10,297,13a 86 276,573,528.52 536,573,528.52 529,892,619.41 10,297,130.86 350,600^667,00 529,892,619.41 10,297,130.86 185,972,861.52 146,380,885.05 Total....... ... .............................. ......... ....... 800,189,750.27 276,573,528.52 1,076,763,27a 79 890,790,417.27 185,972,861.52 146,380,885.05 June 3 0,1928Sec. 210 ...................................................... Sec. 2 0 9 * . .................................. Sec. 204 . . . . 260,000,000.00 529,310,248.52 10,903,734.78 361,253,359.74 621,253,359.74 529,310,248.52 10,903,734.78 350,600,667.00 529,310,248.52 10,903,734.78 270,652,692.74 69,261,448.38 T o t a l.............................. ............\ ____ _ 800,213,983.30 361,253,359.74 1,161,467,343.04 890,814,650.30 270,652,692.74 69,261,448.38 June 30, 1929Sec. 210 ....................................................... Sec. 209* ..................................... Secfl204 .................................... 260,000,000.00 529,205,521.20 10,428,289.71 376,549,206.91 636,549,206.91 529,205,521.20 10,428,289. 71 350,600,667.00 529,205,521.20 10,428,289.71 285,948,539.91 57,384,791.99 Total................................ ........................... 799,633,810.91 376,549,206.91 1,176,183,017.82 890,234,477.91 285,948,539.91 57,384,791.99 Estimated June 30, 1930Sec. 210 .............................................. \ ___ Sec. 200................................................................... Sec. 204................................................................... 260, ooo, ooa 00 529,405,521.20 10,928,289.71 381,236,489.00 641,236,489.00 529,405,521.20 10,928,289.71 350,600,667.00 529,405,521.20 10,928,289.71 290,635,822.00 56,101,791.99 .............. 800,333,810.91 381,236,489.00 1,181,570,299.91 890,934,477.91 290,635,822.00 56,101,79L 99 Estimated June 30, 1931Sec. 210............................... .................................. Sec. 209................................................................. Sec. 204................................................................ 260,000,000.00 529,405,521.20 10,928,289.71 392,546,996.00 652,546,996.00 529,405,521.20 10,928,289.71 350,600,667.00 529,405,521.20 10,928,289.71 301,946,329.00 47,456,439.99 Total............................................................ 800,333,810.91 392,546,996.00 1,192,880,806.91 890,934,477.91 301,946,329.00 47,456,439.99 Accammulated total; June 30, 1926Sec. 210 w Sec. 200 . Sec. 204 Total l ................................. ................................. ..................................... _____ ____ __ June 30, 1927Sec. 210.................................................. Sec. 209............................ Sec. 204 ................................................... T o t a l..................................... . Cash balance i Represents repayments of principal and payments of interest. * Reduction compared with preceding year is occasioned by the cancellation o f certain certificates representing overpayments to carriers. TRAN SACTION S OF TH E IN TER STATE C O M M E R C E C OM M ISSIO N UNDER SECTION 15a, IN TER STATE C O M M E R C E ACT (General railroad contingent fund) Expenditures Receipts (other than from appro priations) Item Total available Total expended 1 Accumulated total: June 30, 1926................................. .................................... .................... ........ $7,008,583.36 June 30, 1927...................................... ; .................................. ......... .............. ................... 7,860,526.24 9,026,300.38 June 30, 1928....................................... ............. ................. ....................... ........................ June 30, 1929................................... ........ .................................................. ...... .................... 10,019,413.62 June 30.1930 (estimated)*.......................... .......................... ........................................... June 30. 1931 (estimated)*....................................................................................... ...........!............................... i $7,008,583.36 7,860,526.24 9,026,300.38 10,01*413.62 $7,008,540.75 7,860^457.64 9,026,15a 63 10,019,396.62 i i Represents cost of investment in obligations of the United States held by the Treasury of the United States as a trust fond. * It is not practicable to estimate future accretions to this fund. Cash balance $42.61 68.60 149.75 17.00 Estimated value all assets, exclu sive of cash balance $7,008,54a 75 7,860,457.64 9,026,150.63 10,019,396.62 a81 BUDGET STATEMENTS t No. 10.— Summary statements of various accounts, funds, and authorisations— Continued SM ITH SONIAN INSTITU TION Expen ditures - Receipts, in cluding sale of securities, etc. Total available $1,247,891.58 2,804,928.80 1,614,004.16 i, 350, ooa 00 $1,450, 719.07 3,039,096.21 1.812.748.44 1.562.748.44 Total ex pended includ ing purchase securities, etc. Cash balance Estimated value all assets, exclusive of cash balance $1,216,549.66 *2,840,353.93 1,600,000.00 1,300,000.00 i $234,169.41 U98,744.28 212.748.44 262.748.44 *5,812,733.26 *6,834,63a 97 6.890.000.00 6.940.000.00 SM ITHSONIAN INSTITUTION FUND (Act 1846) Status June 30, 1928._ ___________ . . . ________________ . _____________________________________ Fiscal year 1929........................ . ...................... ................................ ................................... .................... Fiscal year 1930 (estimated)._. ___. ____ _________ . . . . . . . . . . . . _________________________________ Fiscal year 1981 (estimated)_. .......................... .................... ............................................. .............. June 30,1028 June 30,1929 i General fund.......................................................................... ................. ; .................................................................. ....... -................. Special fund.......................................... ............... ......................................................................................... ....................................... $16,000.00 219,169.41 $20,000.00 178,744.28 Total........................................................ ............................................................................. ............ .......................................... 234,169.41 198,744. 28 * For general purposes............................................................................................................... ......... ........................................................................... For purposes specified by donors, including investments made............................. ...... ............................................................. . . ............................... 74,464.39 2,76^ 889.54 Total.......................................................................... ............- ............... ............................................................................................ ............. 2,840,353.93 ‘Present Smithsonian fund (deposited in U. S. Treasury at 6 per cent interest; income largely available for general purposes)...................................... Other bequests (invested funds; income largely restricted to purposes specified by donor)......................... ............... ............................................. .. 1,000,000.00 5,834,630.97 Total.................................................. ......................... ...............— ..................................................... ............ ............................... ................... 6,834,630.97 W AR FINANCE COR POR ATIO N Cash on hand at beginning of fiscal year * Repayment of loans Total available for expenditures and loans Expenditures (including expenses and loans)1 Cash balance W AR FINANCE C O R PO R ATIO N FUND (Acts Apr. 5, 1918, and Aug. 24, 1921) Fiscal vear 1925................................................................................................................ Fiscal yea/ 1926 ....................................... .................................... ...... Fiscal year 1927...................................... .................................... .......... Fiscal year 1928________ ____ . . . ____________________ ____ ___ . . . . . . __ . . . . . ____ Fiscal vear 1929................ ........................................................................... .................... Fiscal year 1930............................................................ ......................................... .......... $470,252,401.80 14,241,721.26 34,003,996.57 61,120,625.41 64,934,065.38 234,947.89 $52,791,328.27 22,545,549.44 28,638,987.57 4,267,493.40 8765,814.79 *215,763.63 $523,043,730.07 i $508,802,008.81 2,783,274.13 36,787,270.70 62,542,984.14 1,422,358.73 454,033.43 66,388,118.81 *65,699,900.17 14 65,464,952.28 ‘ 450,711.52 * 60,000.00 $14,241,721.26 34,003,996.57 61,120,625.41 64,934,065.38 * 234,947.89 * 400,711.52 i Only “ expense advances,'* that is, advances incident to the liquidation of the corporation's assets, have been made since Jan. 1, 1925. 1 Includes $499,000,000 turned over to Treasury Department for retirement of capital stock. * Represents figures for entire year ending June 30,1929, whereas in report of year ago, estimates were given to include Apr. 4,1929, only. * Includes payment of $65,342,768.79 into the Treasury representing $990,000 on account of cancellation and retirement of like amount of capital stock at par, and $64,352,768.7$ on account of earnings of the corporation * Estimated. V? UNITED S T A T g » SH IPPIN G BOARD AND UNITED STATES SH IPPIN G BOARD M E R CH A N T FLEET CO R PO R ATIO N Total receipts, expenditures, and unexpended balances from inception through the fiscal years 1927, 1928, 1929, 1930, and 1931, and estimated excess value of assets (other than cash) over liabilities on June SO, 1927, 1928, 1929, 1980, and 19S1 | Receipts Expenditures Total receipts Advances from appropriation From From From From From inception to Jane 30, inception to June 30, inception to June 30, inception to June 30, Inception to June 30, All other Estimated excess Deposits to credit Cash balance (in value of assets of miscellaneous cluding cash and (other than cash) Total expended receipts and re over liabilities unwithdrawn payment of appropriations) appropriations 1927...___ _________ $3,651,640,771.82 $2,034,237,490.14 $5,685,878,281.96 $5,504,155,489.73 1928........ .................... 3,663,755,540.74 2,133,007,157.73 5,796,762,698.47 5,624,581,794.38 1929................. .............j 3,677,444,29a 74 2.225.541.488.35 5.902.985.779.09 5,732,474,245.42 1930 (estimated).......... 3,688,938,29a 74 2.289.578.188.35 5.978.516.479.09 5,827,953,121.90 1931 (estimated)_____ ! 3,695,334,29a 74 2.338.306.188.35 <6,033,642,479.09 5,936,771,774.60 $54,577,296.56 64,614,451.20 54,635,023.94 54.645.933.72 54.446.933.72 $127,145,475.65 117,566,452.89 115,876,509.73 95,917,423.38 42,223,77a 77 $173,621,849.50 168,237,449.16 156,021,399.79 160,677,00a 00 204,069,00a 00 a 82 THE BUDGET, 1931 No. 10.— Summary statements of various accounts, funds, and authorizations— Continued UNITED STATES VETERAN S’ BUREAU Expenditures Receipts } From appropri ations Total, including previous fiscal year balance From interest Certificate pay ments Invested (cost) ADJUSTED-SERVICE CERTIFICATE FUND (Act May 24, 1924) Total to June 30, 1927.............................................................................................. Total to June 30, 1928........................................ ........................................... ...... Total to June 30, 1929.......................................... ............. ..................................... 1930 (estimated) - __________ „ _______________ 1931 (estimated)___ _______________________ $11,565,173.56 24,0i3,602.86 40,598,440.90 22.350.000.00 26.750.000.00 $336,000,000.00 448.000.000.00 560.000.000.00 112.000.000.00 112,000,000.00 $313,180,414.90 402,419,097.13 513,861,635.07 111.775.000.00 111.775.000.00 Expenditures Receipts From premiums $34,384, 758. 66 69,624,505.73 86,736,805.83 22.575.000.00 26.975.000.00 $347,565,173.56 472,043,602.86 600,598,440.90 Total available From loans, interest, etc. Balance Claims, loans, etc. Dividends Investments GO VE R N M EN T LIFE INSURANCE FUND (Acts Dec* 24,1919, Mar. 4, 1923, June 7, 1924) Total to June 30,1927---------------------------------------Total to June 30, 1928.---------------- ----------------------Total to June 30, 1929.. ............................................ 1930 (estim ated)....................... ................................ 1931 (estimated) - ................ ...... ............................... $255,346,007.55 324,427,083.25 391,906,397.82 66,500,000.00 65,500, ooa 00 $36,992,685.70 49,320,042.94 61,798,937.86 12.510.000.00 13.030.000.00 $292,338,693. 25 373,747,126.19 453,705,335.68 1 Includes $20,S50,960.95 loaned on adjusted-service certificates. * Includes $72,609,506.19 loaned on adjusted-service certificates. $15,146,261.19 19,714,258.36 25,533,004.61 6,500,000.00 7,300, ooa 00 $45,769,598.91 i $228,976,295.73 62,066,817.41 *289,819,363.98 83,961,843.71 * 342,072,668.25 27.400.000.00 « 45. no, oca 00 | 33.400.000.00 * 37,83a ooa 00 $2,446,537. 2 2,146,686.44 2,137,819. 11 * Includes $129,241,006.93 loaned on adjusted-service certificates. 4 Includes loans on adjusted-service certificates. D E P A R T M E N T O F AGRICULTURE Expenditures Receipts Advances from appropriations Total available All other Total exponded ! Deposited to | fT'dit miscel laneous r(*ceipts Cash balance and repay ment of ap propriation!? Estimated value all assets, exclusive of cash balance f SEED-G RAIN LOAN COLLECTIONS i (Acts Mar. 3,1921; Mar. 20,1922; Apr. 26, 1924; Mar. 4, 1929) Accumulated total: June3Q, 1928........................................ ............... ......................... June 30, 1929....... ...................................................... June 30, 1930 (estimated). ______________________ June 30, 1931 (estimated)_______________ _______________ _ $3,851,497.04 9.649.179.96 9.649.179.96 9.649.179.96 $6,812,580.04 12.093.240.27 16.828.240.27 17.648.740.27 $2,961,063.00 3,044,06a 31 7.179.060.31 7.999.560.31 $3,926,415.80 9.588.258.77 9.963.258.77 9.963.258.77 $2,886,164.15 3.040.877.50 6.864.961.50 7.685.481.50 - available * $64,108.91 ........... v ........... = .. Ifrnomit available *£--_—-------- propriated funds C O O PE R ATIV E C O N STRU CTIO N OF RURAL PO ST R O A D S (Act July 11, 1916) Accumulated total: June 30, 1928.......................... .................................................................. ........................................ June 30, 1929...................... ............................... ........ ........................................................ ......... . June 30, 1930................................................................... .................................................................. June 30, 1931.................................................... ................................................................................. $765,000,000.00 840.000.000.00 915.000.000.00 990.000.000.00 1 Total author ised Total appro priated $875,700,00a 00 759,700,000.00 3 838,700,000.00 *913,700,000.00 Exptmded Total contrib Total available From appropri From contrib uted uted .funds ated funds $675,653,131.00 759,659,750.00 >838,700,000.00 * 913, 700, ooa 00 Total FO R E ST-K O A D D E V E LO PM E N T AND H IG H W A YS (Act Nov. 9, 1921) Accumulated total: June 30,1927.................................................................. ............. $58, ooa ooa oo 73, ooo, ooa 00 June 30, 1928.......... ........................................... ........................... June 30,1929...................................................... ........................... 73.000.00a 00 June 30,1930 (estimated)............................................................. 73, ooo, ooa 00 June 30, 1931 (estim ated )___ ____ ________________________ 73.000.000.00 $44,675,00a 00 54,055,00a 00 62.055.000.00 72.055.000.00 ; $15,611,956.00 16.879.493.00 18.405.046.00 19, 50a ooa oo $60,286,956.00 70.934.493.00 80.460.046.00 91,555,00a 00 * Aggregate amount authorised to June 30, 1928, $990,000,000 covering period ending June 30,1931. $39,059,02a 00 46.592.065.00 55.494.309.00 64.054.999.00 $15,611,956.00 16.879.493.00 18.405.046.00 19, 500, ooa 00 * Estimated. $54,67a 07* 00 63.471.558.00 73.899.415.00 83.554.999.00 a 83 BUDGET STATEMENTS No. 10.— Summary statements of various accounts, funds, and authorizations—-Continued IN TER IOR DE PA RTM EN T Receipts (other i than from appro-1 Total available priations) Total expended Deposited to credit miscellaneous receipts 1 and repayment ! of appropriations Cash balance FR E E D M EN ’S H OSPITAL FUND (tr. S. C „ title 24, ch. 6, secs., 261-264) Fiscal year Fiscal year Fiscal year Estimated, Estimated, 1927___________ ___________________ ____ ____________________ __________ 1928..... ............. .............................................................................. ........................ 1929...____ _____________________________________________________ _______ fiscal year 1930.................................................. . ........................... ........ .............. fiscal year 1931------------- ------------------------------------------------------------------------- I $24,158.50 _____________ _ 23,409.00 1________________ 26,288.75 ..............................j $1,536.85 3.23 1,170.81 21,000.00 ............... 27,389.88 21,023.34 23,288.38 35.000.00 25.000.00 $828,127.79 820,512.62 814,536.06 823.321.02 812.881.02 28,638.51 29,264.94 26,215.04 35,44a 00 27,000.00 $800,737.91 799,489.28 791,247.68 788.321.02 787.881.02 785.881.02 2,496,581.96 1,753,136.74 1,389,588.77 1.500.000.00 1.500.000.00 5.672.528.92 4,253,383.13 3.143.013.93 2.889.651.48 3.001.651.48 3,172,282.53 2,499,957.97 1, 753.362.45 1.388.000.00 1.500.000.00 3,175,946.96 2,500,246.39 1,753,425.16 1.389.651.48 1.501.651.48 1.501.651.48 10,000.00 33,596.94 27,260.68 19,984.65 14,926.14 14, 691.14 6,336.26 7, 276.03 5.058.51 235.00 59,523.66 38,422.07 62,659.01 60,000.00 61,000.00 130,657.64 128,809.36 145, 764.22 150,255.47 135, 255.47 40,270.35 45, 704.15 55,508.75 76,000.00 77,255.47 71,133.98 90,387.29 83,105.21 90.255.47 74.255.47 58,000 00 74. 559.04 | 137, 532. U 75.000.00 . 75.000.00 | 668, 780.49 733,037.71 733.842.38 733.842.38 73,274.89 74,195.33 75.000.00 75.000.00 594,221.45 595,505.60 658.842.38 658.842.38 658.842.38 150,275.44 154,747.90 155.000.00 155.000.00 322,968.65 j 340,430.87 21,000.00 ......-.......... 1 $22,621.65 I 23,405.77 25,117.94 1 21,000.00 21,000.00 GE N ER A L LAND OFFICE, SPECIAL FUNDS—D EPOSITS BY INDIVIDUALS FOR SURVEYING PUBLIC LANDS <U. S. r t i t l e 31, sec. 711; title 43, sec3.f 759, 761, 887) I Status June 30, 1926............ Fiscal year J927.................. Fiscal year 1928___________ Fiscal year 1929....... ......... . Estimated, fiscal year 1930.. Estimated, fiscal year 1931.. GE N ER A L LAND OFFICE, SPECIAL FUNDS—PAYM EN TS TO STATES FB O M RECEIPTS UNDER M INERAL LEASING ACT (U. S. C .f title 30, sec. 191) Status June 30, 1926........ . Fiscal year 1927................. Fiscal year 1928.................... Fiscal year 1929.......... ......... Estimated, fiscal year 1930.. Estimated, fiscal year 1931.. GE N ER A L LAND OFFICE, SPECIAL FUNDS—C O M PLETIN G SURVEYS W ITHIN RAILROAD LAND GRANTS (U. S. C., title 43, sec. 908) Status June 30, 1926............. Fiscal year 1927___ ______ Fiscal year 1928------- --------Fiscal year 1929............ ........ Estimated, fiscal year 1930.. Estimated, fiscal year 1931.. 23,596.94 27,260.68 19,984.65 14.926.14 14.691.14 14.691.14 PUBLJC SCHOOLS (ALASKA) FUND (U . S. C., title 48, secs. 41, 168) Status June 30, 1926----------Fiscal year 1927----------------Fiscal year 1923----------------Fiscal year 1929..................... Estimated, fiscal year 1930.. Estimated, fiscal year 1931 .. PENSION M ONEY, ST. ELIZABETHS H OSPITAL (U. S. C., title 24, sec. 165) Status June 30, 1927----------Fiscal year 1928----------------Fiscal year 1929----------------Estimated, fiscal year 1930.. Estimated, fiscal year 1931. PE RSON A L FUNDS OF PATIENTS, ST. ELIZABETHS H OSPITAL (U. S. C., title 24, sec. 165) Status June 30, 1927----------------------Fiscal year 1928............... . ............. Fiscal year 1929------------ ------- ---------Estimated, fiscal year 1930................ Estimated, fiscal year 1931------ ------6 2 3 3 1 — 2 9 -------- i x 356.708.91 371.708.91 136,221.49 135,032.05 139,628.82 139,438.65 1,064.19 3,689.91 371.18 561.35 172,693.21 185,682.97 201.708.91 216.708.91 231.708.91 a84 THE BUDGET, 1931 No. 10.— Summary statements of various accounts, funds, and authorizations— Continued INTERIOR DEPARTMENT—Continued Expenditures Receipts Total available Advances from appropriations All other $156,470,741.91 160,588,251.42 163,741,593.71 165,714,305.92 168, 200, ooa 00 170, 600, ooa 00 $65,991,399.88 71,554,609.42 77,704,597.34 85,583,323. 75 92, 500, ooa 00 99,400,000.00 $222,462,141.79 232,142,86a 84 241,446,191.05 251,297,629.67 260,700,000.00 270, ooo, ooa 00 $208,217,323.09 215.650.476.40 224,237,943.55 234.409.662.40 245.400.000.00 256.000.000.00 13,946,838.10 12,602,517.29 12, 800, ooa 00 12,800,000.00 36,131,874.46 33,234,164.69 31.819.064.17 31.819.064.17 2,935,914.70 2,952,310.49 3.000.000.00 3.000.000.00 6,943,724.25 7,132,858.78 6.761.483.62 6.761.483.62 Total expended Deposited to credit miscel laneous receipts Cash balance and repayment of appropria tions Estimated value all assets, exclusive of cash balance RECLAM ATION FUND (Act June 17, 19 2, vol. 32, p. 388, secs. 1-10, and acts amendatory thereof and supplementary to) Accumulated total: June 30, 1926...................................................................... June 30, 1927...................................................................... June 30, 1928...................................................................... June 30, 1929..................................................................... June 30, 1930 (estimated)................................................ June 30, 1931 (estimated)............................................... $6, ooo,ooa 00 7, ooo,ooa oo 8, ooo, ooa oo 9, ooo, ooa oo 10, ooo, ooa oo 11, ooo, ooa oo $8,244,818.70 9,492,384.44 9,208,247.50 7,887,967.27 5.300.000.00 3.000.000.00 $133,000,000.00 15,500,227.06 14,215,10a 52 12. 800, ooa 00 12. 800, ooa 00 22,185,036.36 20,631,647.40 19.019.064.17 19.019.064.17 19.019.064.17 729.282.925.00 729.282.925.00 729.282.925.00 729.282.925.00 729.282.925.00 2,763,175.96 3,371,375.16 3.000.000.00 3.000.000.00 4,007,809.55 4,180,548.29 3.761.483.62 3.761.483.62 3, 761,483.62 220.717.075.00 220.717.075.00 220.717.075.00 220.717.075.00 220.717.075.00 136,ooo,ooaOO 139,ooo,ooa00 142,000,000.00 147,ooo,ooa00 152,ooo,ooa00 MISCELLANEOUS TRUST FUNDS OF INDIAN TRIBES (Various treaties and acts) Status June 30, 1927............. Fiscal year 1928................... . Fiscal year 1929..................... Estimated, fiscal year 1930Estimated, fiscal year 1931.. INDIAN M O N E TS, PR O C EE D S OF LABOR (Acts Mar. 3, 1883, vol. 22, p. 690, sec. 2; Mar. 2, 1887, vol. 24, p. 463; U. S. C., title26, c. 4,sec. 166,166a, p. 1959) Status June 30, 1927............. Fiscal year 1928................... . Fiscal year 1929................. . Estimated, fiscal year 1930.. Estimated, fiscal year 1931.. Receipts Advances from appropriations From salary deductions Loans, in* terest, etc. Expenditures Total, includ ing previous fiscal year balance Refunds Annuities, etc.1 Invested (cost) $155,940,643.95 204,978,124.76 58.148.423.07 57.282.791.07 $21,503,742.63 25,493,069.21 4,600,000.00 4,680, ooa 00 $51,519,837.59 63,524,886.47 12,000,000.00 14,739,40a 00 $82,799,454.01 115,799,454.01 40.900.000.00 37.800.000.00 Balance CIVIL SERVICE R ETIR E M EN T FUND (U. S. C., title 5, c. 14, secs. 691-738) Total to June 30, 1928................... ........ ............ Total to June 30, 1929. ...............: ........... ........ $19,950, ooa 00 1930 (estimated)................... ............................... 20.500.000.00 1931 (estimated)..... ............................................ 20.850.000.00 $142,729,500.09 170,852,441. 27 28,100,000.00 29,000,000.00 $13,211,143.86 * 14,175,683. 49 3 9,387,708.00 7,384,36a 00 1 Includes unexpended balances to credit of disbursing officers. i Exclusive of $3,482,257.53 interest due June 30, 1929, not credited until July 1, 1929, on account of June 30, 1929, falling on Sunday. i Includes the amount referred to in note 2. See note 3. $117,6U9.72 160,715.07 48.423.07 63.391.07 a 85 BUDGET STATEMENTS No. 10.— Summary statements of various accounts, funds, and authorizations—Continued D E P A R T M E N T OF JUSTICE Receipts Expenditures Total available Advances from appropriations U NITED STATES PENITENTIARY, ATLANTA, W ORKIN G CAPITAL All other Total expended Cash balance Estimated value all assets, ex clusive of cash balance GA., (Original act, *150,000, approved July 10,1018, 40 Stat., p. 88ft) Status June 30, 1028............. Fiscal year 1020.................. . Estimated, fiscal year 1030. Estimated, fiscal year 1931. \ $150,000.00 $2,337,031.60 2,640,845.81 2,084,155.77 $2,703,270.52 3,233,301.00 3,832,429.26 $2,110,724.34 2,635,118.50 2,605,183.00 502; 54(118 598,273.49 1,137,245.36 208,809.01 264,089.61 100,061.22 55,28a 60 65,028.39 131,672.57 180,576.28 120,782.02 48,903.71 59,704.26 295,537.53 400,000.00 450,000:00 384,436.87 457,454.16 557,454. 16 326,982.71 350.000.00 425.000.00 88,800.34 57,454.16 107.454.16 132.454.16 221,080.01 270,142.14 222,654.39 49,053.13 47,487. 75 % 457.82 3,302.78 3,078.66 844.96 224.12 48,132. 73 58,511.50 47,748.33 10,378. 77 10,763.17 1,25a 75 1,308.6 1,066. 72 57.88 221.91 1,665.77 2,323.06 1,675.51 647.57 30,62a 41 32,861.59 27,719.39 2,238.18 5,142.20 671.92 732.29 ^6.60 6a 37 95.60 24,84a 81 26,59a 94 18,828.44 1,75ft 13 7,771.50 $1,138,045.46 1,361,131.40 1,334,217.34 PRISON ERS’ PERSONAL FUND Status June 30, 1028. Fiscal year 1020........ PR ISON ERS’ BONUS ACCOUNT (TEXTILE MILL) Status June 30, 1028.. Fiscal year 1020......... U NITED STATES PENITENTIARY, LEAVENW ORTH, KANS., W ORKIN G CAPITAL (Original act, $250,000, approved Feb. 11, 1024, 43 Stat., p. 6) Status June 30, 1028............. Fiscal year 1929.................... Estimated, fiscal year 1030. Estimated, fiscal year 1031.. 250,000.00 PRISON ERS' PERSONAL FUND Status June 30, 1028. Fiscal year 1029........ EDUCATION AND AM U SEM EN T FUND Status June 30, 1028. Fiscal year 1029........ UN ITED STATES PENITENTIARY, Me NEIL ISLAND, W ASH., PRISONERS’ PERSONAL FUND Status June 30,1928. Fiscal year 1929......... AM U SEM EN T FUND Status June 30, 1928., Fiscal year 1929------N ATIO NAL TRAINING SCHOOL FO R BOYS, W ASHING TO N , D. C., PR ISON E R S' PERSONAL FUND Status June 30, 1928. Fiscal year 1929------- 657.31 UNITED STATES INDUSTRIAL R EFO RM ATO RY , CHILLIC OTH E, OHIO, PRISON ERS' PERSONAL FUND Status June 30, 1928.. Fiscal year 1029_____ AM U SE M E N T FUND Status June 30, 1928. Fiscal year 1929------FEDERAL INDUSTRIAL INSTITUTION FOR W O M E N , A LD E RSO N , W . VA., PRISON ERS' PERSONAL FUND Status June 30, 1928., Fiscal year 1929........ 266,156.32 275.000.00 200.000.00 m THE SI7PGET, 1931 Noi 1 0 — Summary statements of various accounts, funds, and authorization#— Continued n av*. department Receipts Advances from appropriations Expenditures Total available All other ' Deposited to credit miscelTotal expended j laneous receipts I and repayment of appropriations Cash balance Estimated value of assets, exclu sive of cash bal ance CLOTHING AND SMALL STORES FUND (Acts Mar. 3, 1843; June 15, 1844; Feb. 14, 1879; June 30, 1890; June 8,1898; Feb. 11,1925) Status June 30, 1926............. $5,892,422.83 1,736,478.47 215,435.50 Fiscal year 1927— .............. Fiscal year Fiscal year Estimated, Estimated, 1928....... ............. 1929---------- -----fiscal year 1930.. fiscal year 1931.. $7,914,012.92 5,168,537.14 5.379.632.01 5.379.632.01 5.079.632.01 $4,481,954.25 141,334.98 297,915.26 383,409.41 300.000.00 300.000.00 381,719.69 376,577.13 438,427.49 482, 250.47 482,250.47 303.057.82 321,559.05 256,177.02 300.000.00 300.000.00 597,998. 46 859,804.94 675,005. 73 675.000.00 625.000.00 2.073.026.17 1,640,266.86 1,302,948.44 1.282.797.18 1.267.797.18 292, 564. 25 297,324.15 95.151.26 140.000.00 140.000.00 6,356.32 3,491.69 24, 160.91 5.000.00 5.000.00 774,392.06 777,883. 75 802,044. 66 253.521.51 243.521.51 15,000.00 225,000.00 6,050,145.66 6,421,304. 69 7,076,908.75 10,678.051.71 8,479,003.04 8,693,939. 51 7.786.665.42 7.786.665.42 3.165.276.95 4.155.861.96 5,058.785.81 4.150.000.00 4.150.000.00 5,455,076.41 2,706,110.32 1,848,488.28 1.850.000.00 1.850.000.00 118,260,885.66 114,949,839.16 114,923,854.82 114.526.437.56 111.020.437.56 91,637,638.43 90,778,510.66 95,365,684.31 95.000.000.00 95.000.000.00 5.599,002.30 5,124,526.55 37,715.15 3,500,000.00 'I" 300,000.00 $2,021,590.09 3,432,058.67 5,164,196.51 5.379.632.01 5.079.632.01 5.079.632.01 $24,018,183.90 19,325,372.39 18,819,353.02 17,626r008.52 17.900.000.00 17.900.000.00 240,384.71 78,661.87 55,018.08 182.250.47 182.250.47 182.250.47 174,238.78 164,737.75 74,195.68 75.000.00 75.000.00 SHIPS* STORES PROFITS (Acts May 13,1908, decision comptroller of Treas ury, Jan. 20, 1914) Status June 30,1926--------Fiscal year 1927— ........ Fiscal year 1928— ........... Fiscal year 1929----- ------ Estimated, fiscal year 1930.. Estimated, fiscal year 1931. FINES AND FORFEITURES (Act Mar. 3, 1909) Status June 30, 1926_______ Fiscal year 1927___________ Fiscal year 1928.......... . ........ Fiscal year 1929..... ............... Estimated, fiscal year 1930.. ^Estimated, fiscal year 1931... $1,000,000.00 715.000.00 600.000.00 500.000.00 400.000.00 1,475,027.71 780,461.92 627,942.71 607.797.18 642.797.18 727.797.18 228,952.44 192,146.28 111, 924.44 120,000.00 120,000.00 RESERVE M ATERIAL (Acts Mar. 4, 1917; June 15, 1917) Status June 30, 1926----------Fiscal year 1927................. Fiscal year 1928.................. Fiscal year 1929....... ............. Estimated, fiscal year 1930.. Estimated, fiscal year 1931.. 553,523.15 768.035.74 774,392.06 777.883.75 248.521.51 238.521.51 18,521.51 1,284,241.21 1.263.360.58 1.221.908.59 1,017,585.01 1.030.000.00 1.255.000.00 NAVAL W ORKIN G FUND (Act Mar. 28, 1924) Status June 30, 1926............. Fiscal year 1927..------ -------Fiscal year 1928..... .......... . Fiscal year 1929.................... Estimated, fiscal year 1930.. Estimated, fiscal year 1931.. 6,000,000.00 6,000,000.00 4,627,906.05 2,057,698.35 1,617,030.76 1.786.665.42 1.786.665.42 1.786.665.42 NAVAL SUPPLY ACCOUNT FUND (Act Mar. 1, 1921) I Status June 30, 1926----------Fiscal year 1927--------- ------Fiscal year 1928— ......... — Fiscal year 1929----------------Estimated, fiscal year 1930.. Estimated, fiscal year 1931.. $135,654.80 4-59,530.80 81,826.91 96,211,056.61 93,466,063.43 95,795,208.16 95.000.000.00 95.000.000.00 21,914,174.25 21,024,244.93 19,046,801.95 19.520.437.56 16.020.437.56 16.020.437.56 96,992,730.62 87.902,913.84 83,640,380.43 80,000,000.00 80,000,000.00 a87 BUDGET STATEMENTS No. 10.— Summary statements of various accounts, funds, and authorizations*—Continued N AVY D E F A *T M E N T —Continued Expenditures Receipts Total available Advances from appropriations Totalexpended All other Deposited to credit miscel laneous receipts and repayment of appropriations Cash balance Estimated value of assets, exclu sive of cash bal* t ance NAVAL HOSPITAL FUND (R. S., secs. 4808-4809; acts Mar. 2,1799; Feb. 26, 1811; June 7, 1900) 1 Status June 30, 1926_______ Fiscal year 1927................... Fiscal year 1928.......... ......... Fiscal year 1929................... Estimated, fiscal year 1930.. Estimated, fiscal year 1931.. $1,000,000.00 715.000.00 600.000.00 .500,000.00 400,000.00 $479,705.06 498,901.70 490,905.30 430.000.00 430.000.00 $5,215,083.47 4,344,692.44 3,312,597.52 2.800.454.48 2.358.454.48 3,396.35 4,143.09 5,330.92 5.000.00 5.000.00 14.820,305.09 14,824,448.18 14,829,476.45 14,834,423.44 14,839, 423. 44 10,405.99 26,224.11 11,274.92 465,063.11 481,156.02 482,156.60 466,024.92 464, 750.92 $3,735,378.41 3,130,790. 74 2,221,692.22 1.870.454.48 1.528.454.48 1.258.454.48 $2,084,292. 73 2.123.000.22 1,442,143.04 1, 272,000.00 1.100.000.00 $105,258.90 117,268.45 82,638.97 90.000.00 90.000.00 PENSION FUND, PRINCIPAL (Various acts) Status June 30, 1926............. Fiscal year 1927............ ........ Fiscal year 1928.................... Fiscal year 1929............ ........ Estimated, fiscal year 1930.. Estimated, fiscal year 1931.. 14,816,908.74 14,820,305.09 14,824,145.53 14.829.423.44 14.834.423.44 14.839.423.44 302.65 53.01 PENSION FUND, IN TER E ST (Various acts) Status June 30, 1926.................. .................... Fiscal year 1927------- ----------- -------------------Fiscal year 1928---------- -------------- -------------Fiscal year 1929---------- ------- --------------------Estimated, fiscal year 1930___. . . -------Estimated, fiscal year 1P31 . ---------------- 444,401.74 444, 525. 92 444,657. 57 444, 750.00 444, 750.00 10,000.00 10,000.00 10,255.38 10,405.99 26,224.11 11,274.92 $454,657.12 454.931.91 47C, 881.68 456.024.92 454,750.00 10,000.00 10,000.00 STATE DE PA RTM EN T Receipts Advances from appropriations Expenditures Total available Total expended All other receipts Cash balance MISCELLANEOUS TRUST FUND (Act Feb. 27, 1896) Status June 30, 1926 ....................... ..... ......- ____ _____ - - . . . __ *_____- . . . ________ . Fiscal year 1927............ ...... ..................... _ . ..._________ ____ . . _____ . . . ........... Fiscal year 1928------- --------- — . ................................................ . ......... . .................................................. Fiscal year 1929__ . _____ _____ _ ____________ ________ ________ |__.................... ... . Estimated, fiscal year 1930. ____ ______ ______ _ .. - ................ _........ ...1_______ *. ........... Estimated, fiscal year 1931.............. ........................................ .......................... j . . . . . . . . . . . . . . . . . . . . . I $4,044. 76 98,107.84 14,927.86 $267,419.17 266,507.41 136,514.70 11 Receipts Advances from appropriation $5,956.52 227,100.55 $271,463.93 363,615.25 151,442.56 Total expenditures Total available All other Total expended Cash balance Estimated value all assets, exclusive of cash balance PAN AM ERICAN UNION QUOTAS Status June 30, 1927 ....... . Fiscal year, 192S--------------- . Fiscal year, 1929----------------Estimated, fiscal year, 1930.. Estimated, fiscal year 1931 _ . ' Unpaid quotas. $1,582.18 $150,568.93 152,256.00 167.219.60 167.219.60 $138,925.90 86,758.66 j 97,305. 77 115,079.25 $291,077.01 245,683.43 282,296.85 $284,408.24 244,436.99 266,695.88 282,29a 85 6,668.77 2,170.51 1 $23,006.20 * 19,864.24 130,098.39 a88 the budget, 1931 No. 10.— Summary statements of various accounts, funds, and authorizations— Continued S T A T E D E P A B T M E N T -C ontinued Total expendi tures during year Balance on hand Balances brought Receipts during year forward Total available for expenditures $11,617.50 7,000.00 11,630.00 21,000.00 21.000.00 3,820.55 3,600 00 3,700.00 $12,501.76 9,635.91 11,723.37 21,447.61 21,000.00 3,819.17 3,774.12 3,920.77 526.04 4,719.17 3.774.07 3,820.89 217.83 GE R M A N GOVERNM ENT*. AUSTRIAN GO VE R N M EN T, AND HUNGARIAN M O IE TIE S German moiety, 1927.* ___ _ * ______ __ . ________________. . . __________ German moiety, 1928 ___ . . . . . _________ _________ ______ _______ - _________ German moiety, 1929.. .... . ____ __ ___________________________ Estimated German moiety, 1930................................................................. ........................... Estimated German moiety, 1931... __________ . . . . _____________ ____ - __ ____ _____ Austrian moiety, 1927 .... . . _____ . . . _______________ - _______________ Austrian moiety, 1928 _____ _ _______ . . . . ___________ . . . . __________________ Austrian moiety, 1929 .. ___ _ ______ _ _______________ _ Estimated Austrian moiety, 1930 . _____ . . . ___________ _____________________ Hungarian moiety, 1927 . . . . . . ________. . ________ _______________________________ Hungarian, moiety, 19(28___ ___.. .. ........ . , ... - ___ ~ ____ Hungarian moiety, 1929 ........................ ........ ............. ........................................................ Estimated Hungarian moiety, 1930....................... ....................... ...............................- $884.26 2,635.91 93.37 447.61 Receipts Advances from appropriations Loans, interest, etc. Salary deductions -1 .3 8 174.12 220.77 526.04 -1 .3 7 1,074.07 22a 89 4 ,72ft 54 2,700.0C 3,600.00 217.83 Total, including balance previous fiscal year $9,865.85 9,542.54 11,275. 76 21,447.61 21,000.00 3,645.05 3,553.35 3, t*94.73 526.04 3,645.10 3,553.18 3,603.06 $2,635.91 93.37 447.61 174.12 220.77 526.04 1,074.07 220.89 217.83 Expenditures Annuities, etc. Refunds Investment cost Balance FOREIGN SERVICE RETIR E M EN T AND DISABILITY FUND (Act M ay 24, 1924) Total to June 30,1926......... ........................... ....... Total to June 30, 1927............................................ Total to June 30, 1928........................................... Total to June 30,1929....................... .................... Estimated for 1930.................... . .................. ...... Estimated for 1931.......................... ................... $213,000.00 216,000.00 216,000.00 $295,800.26 446,597.82 153,997.91 165,928.88 165.000.00 175.000.00 $11,524.08 21,532.02 9,548.63 6,587.88 7.000.00 8.000.00 $307,325.24 468,130.34 166,058.11 386,242.39 396,974.04 403,000.00 $2,189.06 9,427.84 10,645.60 9,967.94 10,000.00 10,000.00 $122,229.06 190,321.08 77,347.86 84,856.29 90,000.00 100,000.00 $182,602.35 265,869.85 77,339.02 282,444.12 292,974.04 290,000.00 $2,511.57 725.63 8,974.04 4.000.00 3.000.00 1 Unpaid quotas. TREASURY D E P A R T M E N T FEDERAL FA RM LOAN BUREAU Receipts—ad vances from appropriations 1 FEDERAL IN TER M E D IA TE CREDIT BANKS Accumulated total or status, June 30— 1928................. .......................... .............................................................................................................................................................. 1929................................................................................................................................................................................................... 1930 (estim ated).......................................................... ................................................................................ ........... ........... ........ 1931 (estimated).................................................................. ....................................................................................... ......... Expenditures—de posited to credit of miscellaneous re ceipts and repay ment of appro priations * $25,000,000.00 30.000.000.00 33.000.000.00 33.000.000.00 $1,971,563.31 2,229,649.82 2,440,00a 00 2,650,000.00 * Subscriptions to capital stock b y Treasury. * Franchise tax paid to Treasury. Expenditures— deposited to Estimated Receipts—ad credit of miscel value of all vances from ap laneous receipts assets, exclu propriations i and repayment sive of cash of appropria balanceJ tions > FEDERAL LAND BANKS Accumulated total or status June 30— 1928..................................................................................................................................................................................................................... 1929........ ..................................... ................................................................................................................................................................... 1930 (estim ated)............................................ ........................................................................ ................................................................ ........ 1931 (estim ated)....................................... ................................................................................ .................................................................... 1 Subscriptions to capital stock by Treasury. * Retirement of capital stock. $8,892,13a 00 8,892,13a 00 8,092,13a00 8,892,13a 00 $8,330,43a 00 8,509,101.25 8,612,13a 00 8,702,13a 00 * Capital stock owned'by Treasury. $555,70a00 383,02& 75 280, 00a 00 i9<\ooaoo A89 BUDGET STATEMENTS No. 10.— Summary statements oj various accounts, funds, and authorizations— Continued TREASURY DEPARTMENT—Continued COMPTROLLER OF THE CURRENCY Receipts Advances from appropriations Expenditures Total available All other Deposited to credit of miscel Total expended laneous receipts and repayment of appropriations Cash balance Estimated value all assets, exclu sive of cash balance SALARIES AND EXPENSES, NATIONAL BANK EXAMINERS, SPECIAL FUND Accumulated total or status June 30— 1928.................................................................. 1929.................................................................. 1930 (estimated)....... ...................................... 1931 (estimated).............................................. $2,602,495.75 1.874.133.89 2.315.411.90 2,267,596.00 $3,583,816.83 3,103,121.56 3.010.821.83 2.878.417.83 $2,354,829.16 2,407,711.63 2.400.000.00 2.600.000.00 $1,228,987.67 695,409.93* 610.821.83 278.417.83 BUREAU OF THE MINT CHARGES ON SILVER-DOLLAR BULLION SOLD Accumulated total or status June 30— 1928.................................................................. 1929............ ..................................................... 1930 (estimated).............................................. 1931 (estimated).............................................. $1,382,115.62 1.382.115.62 1.382.115.62 1.382.115.62 $1,382,115.62 1.382.115.62 1.382.115.62 1.382.115.62 COAST GUARD REBUILDING AND IMPROVING COAST GUARD STATIONS FROM PROCEEDS OF SALES Accumulated total or status June 30— 1928....... .......................................................... 1929.................................................r............... 1930 (estimated).......................... 1 ............... 1931 (estimated)..................... ......................... $2,297.26 5.000.00 5.000.00 $36,478.16 16,084.66 9,084.66 $25,393.50 12,000.00 8,000.00 $34,180.90 11,084.66 4.084.66 1.084.66 10,214.00 3.000.00 3.000.00 15,468.95 10,761.82 3,761.82 7,707.13 10,000.00 3,000.00 5,254.95 7,761.82 761.82 761.82 BUILDING OR PURCHASE OF VESSELS FOR THE COAST GUARD FROM PRO CEEDS OF SALES Accumulated total or status June 30— 1928......... ........................................................ 1929............................... .................................. 1930 (estimated)..............., ............ ............ 1931 (estimated).*............................................ DIVISION OF SUPPLY PRINTING AND BINDING* TREASURY DEPARTMENT Accumulated total or status June 30— 1928— .......................................... 192 9 ............................. 1930 (estimated)............................ 1931 (estimated)............................ $820,000.00 715.000.00 715.000.00 715.000.00 $43,787.11 45,639.19 40,000.00 40, ooa 00 $863,787.11 760,639.19 755.000.00 755.000.00 $829,091.52 757,738.47 755.000.00 755.000.00 $34,695.59 % 900.72 BUREAU OF ENGRAVING AND PRINTING (TREASURY DEPARTMENT) SUMMARY STATEMENT OF APPRO PRIATIONS AND REPAYMENTS Accumulated total or status June 30— 192 8 ............................. ............. 192 9 ........................................... 1990 (estimated)........................................ . 1931 (estimated)...................... ................... $7,172; 590.00 6,788,023.00 6,376,20X00 6.125, ooa 00 $2,878,142.88 4,043,967.39 3,280,851.00 3,300,000.00 $10,050,732.88 10,831,99a 39 9,657, 111. 00 425, ooa 00 $9,734,996-41 10,608,971.77 9,547,286.00 9,435,00a 00 $315,736.47 228,018.62 109,825.00 a90 THE BUDGET, 1931 No. 10.— Summary statements of various accounts, funds, and authorizations— Continued WAR DEPARTMENT Receipts Advances from appropriations Expenditures Total available All other Deposited to credit of miscel Total expended laneous receipts and repayment of appropriations Cash balance Estimated value all assets, exclu sive of cash balance MILITARY POST CONSTRUCTION FUND (Act Mar. 12, 1926) Accumulated total: June 30, 1928...................... June 30, 1929........................ Estimated to June 30, 1930.. Estimated to June 30, 1931~ $3,158,991. 60 5,899,510.88 3,563,869.23 2,157,883.42 $13,858,991. 60 16,599,510.88 19,063,869.23 19,657,883.42 $13,858,991.60 16,599,510.88 19,063,869.23 19,657,883.42 $10,700,000.00 10.700.000.00 15.500.000.00 17.500.000.00 $666,737.68 908,062.10 517.000.00 517.000.00 186,438.84 201,122. 51 190.000.00 190.000.00 i 4,443,976.06 i 4, 708,472.91 * 4, 598, 393. 22 i 4, 514, 393. 22 840, 790.49 817,045.93 791.000.00 791.000.00 5.108.339.51 7,608,339. 51 9.108.339.51 12,108,339.51 2,010,288. 79 3.025.497.75 3,525,497. 75 4.025.497.75 7,118,628. 30 10.633.837.26 12,633,837. 26 16.133.837.26 6.734.125.11 7.668.886.11 12.133.837.26 15.133.837.26 384,503.19 2,964,951.15 500,000.00 1,000,000.00 $16,600,000.00 17.750.000.00 21.400.000.00 24.250.000.00 4,256,230.28 4.200.000.00 4.200.000.00 6,790,397.38 7.286.519.99 7.286.519.99 3,703,877.39 4.200.000.00 4.200.000.00 1,172,648.80 1.372.080.82 1.372.080.82 1.372.080.82 1,361,518.30 1.714.439.17 1.714.439.17 1.714.439.17 3,900,809.01 3.900.000.00 3.900.000.00 4,317,585.06 4.343.403.17 4.343.403.17 3,874,181.89 3.900.000.00 3.900.000.00 416,776.05 443.403.17 443.403.17 443.403.17 17,744,688.01 17,500,000.00 17,500^000.00 20,826,463.03 21.425.419.09 22.725.419.09 16,201,043.94 16,700,000.00 16,700^000.00 700.000.00 700.000.00 700.000.00 3,081,775.02 3.925.419.09 4^025,419.09 4.125.419.09 36,095,577.16 36.578.234.64 36.878.234.64 37.078.234.64 2,178,610.40 j 1.364.177.00 1 1.293.937.00 ! 17,022,917.40 * #, 117,098.47 15,892,097.12 1,480,039.40 996.120.00 843.620.00 1,060,806.53 793,668.35 827,625.00 4,608,728.89 4,482,071.47 4.327.310.12 4.220.852.12 3,975,918.15 3,915,480.97 3,881,524 32 3,934,764.32 UNITED STATES SOLDIERS’ HOME, WASHINGTON, D. C. (R. S., secs. 19, 4818, 4919; U. S. C., p. 674, secs. 46, 69) Status June 30, 1928_______ Status June 30, 1929............ Estimated to June 30,1930.. Estimated to June 30,1931.. $3,897.27 33. 76 3,599,288. 30 3.891.393.22 3.807.393.22 3.723.393.22 INLAND WATERWAYS CORPORATION (WAR) (Act June 3, 1924) Accumulated totals (except last two columns): June 30,1928.............. .................................... June 30, 1929.............. ....... ............................ Estimated to June 30, 1930............................ Estimated to June 30, 1931........... ................ ORDNANCE STOCK FUND ACCOUNT (Act Mar. 4,1911; U. S. C., p. 1018, sec. 669) Status June 30,1928............ Fiscal year 1929................... Estimated, fiscal year 1930.. Estimated, fiscal year 1931-. ORDNANCE SHOP EXPENSE ACCOUNT (Act Mar. 2, 1907; U. S. C., p. 1018, sec. 658) Status June 30, 1928...... ...... Fiscal year 1929.................. Estimated, fiscal year 1930.. Estimated, fiscal year 1931.. PANAMA RAILROAD CO. (WAR) Capital stock, $7,000,000 purchased from French company. Cost included in $40,000,000 paid for canal. (Act June 28, 1902) Status June 30,1928............ Fiscal year 1929................... Estimated, fiscal year 1930.. Estimated, fiscal year 1931.. RESERVE FUND, PANAMA CANAL (Sec. 6, act Aug. 24, 1912, and current appropria tion act) Status June 30,1928............ Fiscal year 1929................... Estimated, fiscal year 1930.. Estimated, fiscal year 1931.. i Includes cash balance at the end of previous year. 235,560111 270.850.00 270.850.00 a91 BUDGET STATEMENTS No. 10.— Summary statements of various accounts, funds, and authorizations— Continued WAR DEPARTMENT—Continued Receipts Advances from appropriations Expenditures Total available All other Deposited to credit of miscel Total expended laneous receipts and repayment of appropriations Cash balance Estimated value all assets, exclu sive of cash balance NATIONAL HOME FOR DISABLED VOLUNTEER SOLDIERS (Act June 25, 1910) General post fund, active: Status June 30, 1928....... . Fiscal year 1929.................. Estimated, fiscal year 1930.. Estimated, fiscal year 1931. General post fund, reserve: Status June 30, 1928........... Fiscal year 1929................... Estimated, fiscal year 1930.. Estimated, fiscal year 1931.. Ward fund: Status June 30 1928....... . Fiscal year 1929__________ Estimated, fiscal year 1930.. Estimated, fiscal year 1931.. $266,901.25 285.000.00 290.000.00 $276,528.73 292.000.00 295.000. 00 $9,627.48 27,672.16 10,000.00 5,000.00 $187,116.81 300.000.00 325.000.00 551,850.61 571.000.00 591.000.00 613.000.00 19,234.99 20,000.00 22,000.00 611.40 600.00 500.00 $565,673.88 626,439.15 616,000.00 582.000.00 862.15 1,400.00 1,300. 00 250.75 594.76 200.00 200.00 1,317.39 2,200.00 2,000.00 20.727.00 19.727.00 18,000.00 17,000.00 Expended Total author ized Total appropri ated Total contrib uted Total avail able $354,202,462. 27 410.088.772.27 460.088.772.27 515.088.772.27 $14,191,288.39 14.591.386.73 14.991.386.73 15.491.386.73 85.000.000.00 95.000.000.00 95.000.000.00 117,328,040.52 1 16,061,288,09 15,872,540.52 From appropri ated funds From contrib uted funds $368,393,750.66 424.680.159.00 475.080.159.00 530.580.159.00 $328,320,768.30 375.669.593.15 425.669.593.15 480.669.593.15 $13,510,780.43 13.773.789.43 14.615.958.43 15.115.958.43 $341,831,548.73 389.443.382.58 440.285.551.58 495.785.551.58 102,328,04a 52 111,061,288.09 110,872,540.52 82,167,861.67 93,613,434.41 95,000,000.00 1 17,033,944.95 99,201,806.62 109,422,436.11 110,872,540.52 7.000.000.00 7.000.000.00 6,738,644.49 7,000,000.00 15.037.000.00 45.887.000.00 81.837.000.00 11.837.189.00 42.637.189.00 78.437.189.00 Total RIVER AND HARBOR IMPROVEMENTS (Lump-sum appropriations only) (Maintenance and improvement of existing river and harbor works) Accumulated total: June 30, 1928-............... June 30, 1929___________ Estimated, June 30, 1930.. Estimated, June 30,1931.. MISSISSIPPI RIVER FLOOD CONTROL (Acts Mar. 1, 1917; Mar. 4,1923) Accumulated total: June 30,1928.................... June 30, 1929___________ Estimated, June 30,1930- $105,000,000.00 105.000.000.00 105.000.000.00 15,809,001.70 15,872,540.52 EMERGENCY FLOOD CONTROL, MISSISSIPPI RIVER (First deficiency act, Dec. 22,1927) Accumulated total: June 30, 1928............................................. June 30,1929........................................ 7.000.000.00 7.000.000.00 6,738,044.49 7,000,000.00 MISSISSIPPI RIVER AND TRIBUTARIES, FLOOD CONTROL AND EMERGENCY FUND (Act May 15, 1928) Accumulated total: June 30, 1928.................... June 30, 1929........ „ r....... Estimated, June 30,1930.. Estimated, June 30,1931.. 330.000.000.00 330.000.000.00 330.000.000.00 330.000.000.00 15.000.000.00 45.800.000.00 81.600.000.00 37.000.00 87.000.00 237,000.00 i $1,311,252.43 refunded to contributors during fiscal year 1929. (Act Mar. 23, 1928, vol. 45, p. 359.) 3 $188,747.57 to be refunded to contributors. (Act Mar. 23,1928, vol. 45, p. 359.) 62331—29----- x 4,417.00 54,417,00 204,417.00 11,841, m . 00 42,691,606.00 78,641,606*00 a 92 THE BUDGET, 1931 No. 10.— Summary statements of various accounts, funds, and authorizations— Continued WAR DEPARTMENT—Continued Expended Total appropri ated Total author ized Total contrib uted Total avail able * $4,370,000.00 *4,370,000.00 125,000.00 325,000.00 $8,739,90a 00 9,139,900.00 10.264.900.00 11.464.900.00 $4,323,118.00 4,769,900.00 10.139.900.00 11.139.900.00 $4,228,775.00 *4,370,000.00 125,000.00 325,000.00 $8,551,893.00 9,139,900.00 10.264.900.00 11.464.900.00 1,030,748.18 12,786,028.34 11,755,280.16 1,030,748.18 12,786,028.34 1,244,160.95 13,974,873.79 12,730,712.84 1,244,160.95 13,974,873.79 1,444,160.95 15,099,873.79 13,655,112.84 1,444,160.95 15,099,873.79 1,644,160.95 16,224,873.79 14,580,712.84 1,644,160.95 16,224,873.79 From appropri ated funds From contrib uted funds Total SACRAMENTO RIVER FLOOD CONTROL (Acts Mar. 1,1917; May 15,1928) Accumulated total: June 30,1928.................................................... June 30, 1929 _ ................. .. ..... ....... Estimated, June 30,1930................................. Estimated, June 30, 1931................................. $11,200,000.00 17.600.000.00 17.600.000.00 17.600.000.00 $4,369,900.00 4,769,900.00 10.139.900.00 11.139.900.00 ROADS IN ALASKA (Acts Mar. 3,1913; June 30, 1921) Accumulated total: Jnnn 30, ____ June 30, 1929.................................................... J i Estimated to June 30,1930.............................. J Estimated to June 30, 1931.............................. 1 «3,229,680.16 J •8,525,600.00 43,380,112.84 | 19,350,600.00 43,505,112.84 ®10,150,600.00 43,630,112.84 j •10,950,600.00 * $4,370,000 returned to the State of California (act Feb. 28,1929, vol. 45, p. 1381). Funds derived from sale of certain licenses in the Territory of Alaska as provided in act Mar. 3,1913 (U. S. C., p. 1561, sec. 4l). * Construction and maintenance of roads, bridges, and trails, Alaska (U. S. C., title 48, secs. 321,328). * Wagon roads, bridges, and trails, Alaska fund. Unpaid author ized obliga tions, July 1, 1929 Total available for expenditure July 1,1928 Accrued during fiscal year 1929 Total available for expenditure, fiscal year 1929 $1,886,008.15 $902,749.82 1,673,250.46 $2,788,757.97 1,673,250.46 $1,287,147.27 1,394.85 $1,500,610.70 499,211.92 $1,000.00 117,635.95 276,937.25 341,700.65 276,937.25 116,279.33 223,819.13 35,000.00 1,602.19 529,999.21 87,514.83 565,674.41 617.514.04 565,674.41 348,932. 78 7,95a 37 263,185.03 43,399.52 5,396.23 2,279,753.54 421,190.26 2,281,780.35 2,700,943.80 2,281,78a 35 2*354,888.46 250,883.06 344,585.06 149,574.47 1,470.28 9,373.24 741.90 10,115.14 8,213.40 1,901.74 291,631.65 142,304.29 449,008.05 433,935.94 449.006.05 380,372.75 250,818.44 52,563.19 125,93a 71 5,971,625.13 5,971,625.13 5,971,625.13 Expended dur ing fiscal year 1929 Lapsed, fiscal year 1929 Total available July 1, 1929 REPLACING APPROPRIATIONS (Act Apr. 23, 1904, U. S. C.f p. 1694, sec. 73) Replacing ordnance and ordnance stores: 1928-29............................................................. 1929-30............................................................. $1,172,643.69 (Act Apr. 27,1914, U. S. C., p. 217, sec. 1282) Replacing Signal Corps supplies and equipment: 1928-29............................................................. 1929-30............................................................. 224,064.70 241,937.25 (Act Mar. 23,1910, U. S. C., p. 217, sec. 1283) Replacing regular supplies of the Army: 1928-29............................................................. 1929-30............................................................. Replacing clothing and equipage: 1928-29.............................................................. 1929-30.............................................................. Replacing water and Sewers at military posts: 1928-29............................................................. Replacing Army transportation: 1928-29............................................................. 1929-30.............................................................. (Act Apr. 27, 1914, U. S. C., p. 216, sec. 1281) Subsistence of the Army, 1929............................... 514,324.52 1,881,322180 i,ooa 00 72,258.90 a93 BUDGET STATEMENTS No. 10.— Summary statements oj various accounts, funds, and authorizations— Continued WAR DEPARTMENT—Continued Total available for expenditure July 1, 1928 Accrued during fiscal year 1929 Total available for expenditure, fiscal year 1929 Expended dur ing fiscal year 1929 Unpaid author ized obliga tions, July 1, 1929 $32, 654.13 $2,663.46 74,928. 54 $35,317.59 74,928. 54 $18,441.04 317. 75 $12,717.87 53,182.25 $4,158.68 96.67 127.14 37.20 223.81 37.20 213.81 10.00 2,373.58 993.61 3,355.42 3,367.19 3,355.42 2,123.73 106.47 1,243.46 1,578.53 1,670.42 112,129.86 559,911.63 309,183.49 559,911.63 304,804.56 71,897.76 4,378.93 202,827.24 285,186.63 1,304.76 89,393.47 105,570.67 89,393.47 81,417.85 14,989.23 6,500. 73 30,416.54 Lapsed, fiscal year 1929 Total available July 1, 1929 REPLACING APPROPRIATIONS—Continued (Act July 9, 1918, U. S. C., p. 217, sec. 1284) Replacing engineer equipment of troops: 1928-29.,.................................... ........ ........ 1929-30._______________ ________________ Replacing engineer operations in the field: 1928-29............................................................. 1929-30........................................................... Replacing engineer depots: 1928-29........................................................ 1929-30............................................................. $21,428.54 37.20 (Act June 12, 1906, U. S. C., p. 217, sec. 1285) Replacing medical supplies: 1928-29............................................................. 1929-30.......................................................... 197,053.63 (Act May 12,1917, U. S. C., p. 1034, sec. 23) Arms, uniforms, equipment, etc., for field service, National Guard: 1928-29............................................................. 1929-30............................................................. \ 104,265.91 17,652.09 43,987.70 (Act Mar. 3, 1875, 18 Stat., p. 388) Ordnance material, proceeds of sale (special fund). 232,446.54 92,726.87 325,173.41 26,370.91 97,480.12 Total............................. ............................... 5,789,720.95 13,827,984.66 19,617,705.61 11,498,975.20 3,650,320.95 201,322.34 32,289.47 4,436,119.99 DISTRICT OF COLUMBIA Receipts Total available Total expended $1,251,333.38 1,402,832.11 1,677,184.84 1.750.000.00 1.800.000.00 $1,427,891.14 1,761,262.61 2,036,702.57 2.281.913.71 2.281.913.71 $1,069,460.64 1,401,744.88 1,504,788.86 1,600,000.00 l, 900, ooa 00 592.152.42 585.876.42 601,216.46 675.000.00 675.000.00 643,889.94 663.298.71 685,964.20 747.196.71 687,448.97 566,467.65 578,55a 97 613,767.49 734,747.74 675, ooa 00 2,097.95 1,926.14 2.500.00 2.500.00 6,676.10 2,148.34 2,031.84 2.591.61 2.591.61 6,625.71 2,042.64 1,940.23 2,5oaoo 2,591.61 2,948.60 1,287.95 26169 122.30 1,846.27 1,047.26 GASOLINE TAX FUND Status June 30,1926............ Fiscal year 1927.................. Fiscal year 1928.................. Fiscal year 1929.................. Estimated, fiscal year 1930.. Estimated, fiscal year 1931.. POLICEMEN AND FIREMEN'S RELIEF FUND Status June 30, 1926............ Fiscal year 1927.................. Fiscal year 1928.............. Fiscal year 1929.................. Estimated, fiscal year 1930Estimated, fiscal year 1931ESCHEATED ESTATES RELIEF FUND Status June 30, 1926............ Fiscal year 1927.................. Fiscal year 1928.................. Fiscal year 1929.................. Estimated, fiscal year 1930.. Estimated, fiscal year 1931.. INDUSTRIAL HOME SCHOOL FUND Status June 30,1926........... Fiscal year 1927.................. Fiscal year 1928................... Fiscal year 1929................... Estimated, fiscal year 1930. Estimated, fiscal year 1931-. 1,597.65 185.62 24.00 142.39 122.30 Cash balance THE BUDGET, 1931 No. 10;— Summary statements of various accounts, funds, and authorizations— Continued DISTRICT OF COLUMBIA—Continued Total available Receipts Total expended Cash balance PERMIT FUND Status June 30, 1926............ Fiscal year 1927.................. Fistnl year 1928.................. Fiscal year 1929.................. Estimated, fisci! year 1930.. Estimated, fiscal year 1931_ $48,199. 23 31,113.50 35,946. 58 55.000.00 35.000.00 $127,108. 78 102,773. 27 82,010.87 100,181. 28 115,181. 28 $55,449. 01 56,708. 98 36,829.59 50.000.00 75.000.00 $78,909. 57 71,659. 79 .6,064.29 45.181. 28 50.181. 28 40,181.28 1,452,139.17 1,422,690.68 1,507,812.84 1, 504,725.00 1, 548,000.00 1,588,943.03 1,685,418.88 1,696,374.66 1,673,655.38 1,721,655. 38 1,326,214.83 1,496,857.06 1,527,444.28 1.500.000.00 1.550.000.00 136,803.86 262,728.20 188,561.82 168.930.38 173,655. 38 171.655.38 953,772.02 832,255.72 584,230.91 825,000/k) 500,000.00 1,301,313.98 1,119,000.34 813,621. 69 1,114,536.47 814, 536.47 1,014,569.36 889,609.56 524,085.22 800,000.00 650,000.00 20.00 144.22 144.22 144.22 121.78 121. 78 WATER FUND Status June 30, 1926______ Fiscal year 1927.......... ........ Fiscal year 1928.................. Fiscal year 1929................ Estimated, fiscal year 1930. Estimated, fiscal year 1931. MISCELLANEOUS TRUST FUND DEPOSITS ! Status June 30,1926______ Fiscal year 1927............ ...... Fiscal year 1928.................. Fiscal year 1929.................. Estimated, fiscal year 1930. Estimated, fiscal year 1931. ! 347, 541. 96 286,744.62 229,390. 78 289,536.47 314, 536.47 164, 536. 47 MILITIA FUND FROM FINES Status June 30, 1926............ Fiscal year 1927__________ Fiscal year 1928............... Fiscal year 1929............. . . . Estimated, fiscal year 1930. Estimated, fiscal year 1931. Receipts From appro priations From salary deductions Total, includ ing previous nscal-year balance Loans, in terest, etc. 124.22 144.22 144.22 121.78 121.78 121. 78 Expenditures Refunds Annuities, etc. Balance Invested (cost) TEACHERS* RETIREMENT FUND Total June 30, 1927 _____ __________ _______ Fiscal year 1928....... ......................................... Fiscal year 1929. _________ ____ ___________ Estimated 1930______________________ . ... Estimated 1931. ........................................ $360,393.97 337,035. 50 380.000.00 400.000.00 400.000. 00 $1,f94,414.74 282,157.95 282, 582. 90 300.000.00 300.000.00 $2,309,747.92 741,005.92 1 812,600.91 ! 891,065.28 850,000.00 | $219,616.18 85,412.15 116,373.94 125.000.00 150.000.00 i $144,199.67 50,351.87 42,569.65 50,000.00 50,000.00 $397,164.89 136,829. 62 166, 865. 55 190.000.00 190.000. 00 $1,731,983.04 520,180.36 537,100.43 651,065.28 610,000.00 $36,400.32 33,644.07 66,065.28 BUDGET STATEMENTS a95 B udget S tatem ent N o . 11 Summary oj estimates of appropriations, classified by governmental junctions, fiscal year 1981, compared with appropria tions j or fiscal year 1930, exclusive oj the Postal Service Estimates of appropriations, 1931 Appropriations, 1930 Per cent Increase over appro* priations for 1930 (+), decrease (—) Function Amount Per cent Amount J A. General functions: 1. L eg isla tive____ _________ 2. Judicial_______ _____ 3. Executive__ ______ __ _ ------. __ 4. General administration— 1. Financial administration______ ______ 2. Government supply services _ ________ 3. Public-buildings service__ ______________ 4. Civil pensions and allowance administra tion _ _ ______ _______ ____ 5. Institutional and general expenses 1 ----------Total, general adm inistration_______ Total, general functions...................... .......... B. Military functions: 1. National defense, exclusive of public works-------2* Public works under national defense------------- _ 3. Military pensions; annuities; World War allow ances and life-insurance claims... _ * -------Total, military functions ____________ C. Civil functions: 1. Foreign relations and protection of American interests abroad _ ________ _ _ _ 2. General law enforcement. ---- ------------3. Provision for control of currency and banking__ 4. Administration of Indian Affairs — ____ 5. Administration of public domain _______ 6. Promotion and regulation of commerce and in d u s tr y _______ __________ - _ — 7. Promotion, regulation, and operation of marine transportation_______ __ _______ __ — 8. Promotion and regulation of land transportation. 9. Promotion and regulation of agriculture. ____ 10. Promotion and regulation of fisheries ____ 11. Promotion of labor interests____ — ______ 12. Immigration and naturalization ------------- __ 13. Promotion of public health__ — __ 14. Promotion of public education— _ ................... 15. Science and research ______ ______ — $11, 568, 208. 00 14, 983, 778. 00 422, 320. 00 0. 31 . 40 . 01 $10, 698, 972. 60 14, 247, 149. 00 447, 220. 00 0. 28 . 36 . 01 + $869, 235. 40 + 736, 629.00 - 2 4 , 900. 00 68, 862, 168, 00 12, 447, 942. 00 17, 939, 542. 98 1. 84 . 33 . 48 68, 694, 429. 80 12, 708, 232. 00 17, 871,158. 40 1. 77 . 33 . 46 + 167, 738. 20 -2 6 0 , 290. 00 + 68, 384. 58 592, 000. 00 1, 266, 900. 00 .01 . 03 554, 326. 00 1, 316, 520. 00 . 01 . 03 + 37, 674. 00 - 4 9 , 620. 00 101, 108, 552. 98 2. 69 101, 144, 666. 20 2. 60 - 3 6 , 113. 22 128, 082, 858. 98 3. 41 126, 538, 007. 80 3. 25 + 1, 544, 851. 18 / 692, 077. 563. 00 1 18. 45 27, 01i; 825. 00 I . 72 665, 275, 617. 00 27, 074, 187. 00 . 17. 09 ' . 70 + 26, 801, 946. 00 “ -62, 362. 00 647, 558, 143. 00 17. 26 640, 362, 598. 00 16. 45 + 7, 195, 545. 00 1, 366, 647, 531. 00 36. 43 1, 332, 712, 402. 00 34. 24 + 33, 935, 129. 00 / 16, 48, 8, 20, 35, 731, 909, 663, 598, 528, 865. 854. 499. 029. 139. 60 00 00 74 00 . 1. . . . 25, 307, 821. 00 21, 677, 034. 00 . 56 + 3 , 630, 787. 00 50 00 00 00 00 00 92 00 66 1. 05 . 19 1. 25 .0 6 . 14 . 23 . 50 . 32 . 82 - 4 , 416, 313. 00 + 2, 781,138. 00 + 3, 045, 426. 00 + 26, 510. 00 + 440, 210. 00 + 1, 138, 940. 00 + 1,039, 938.82 + 62, 245. 00 - 9 , 006, 912. 36 681. 869. 604. 215. 498. + 2, 478, + 6, 366, + 225, + 3, 074, + 2, 529, 184. 985. 895. 813. 641. 00 00 00 96 00 855, 750. 00 189, 978, 600. 00 46, 341,811. 00 . 02 5. 06 1. 24 1, 044, 740. 00 196, 028, 600. 00 45, 110, 500. 00 .0 3 5. 03 1. 16 -1 8 8 , 990. 00 - 6 , 050, 000. 00 + 1,231, 311. 00 _____ ______ 237, 176, 161. 00 6. 32 242, 183, 840. 00 6. 22 - 5 , 007, 679.00 17. Revenue-producing enterprises__ _________ 18. Local g o v e r n m e n t.______ _____________ 19. Relief expenditures.. ________ _________ 11,015, 225. 00 54, 033, 806. 00 82, 050. 00 . 30 1. 44 . 00 9, 350, 000. 00 50, 740, 300. 00 82, 050. 00 . 24 1. 30 . 00 + 1, 665, 225. 00 + 3, 293, 506. 00 630, 782, 101. 88 16. 81 617, 413, 561. 46 15.86 + 13,368,540.42 Total, civil fu n c tio n s _____ * ____ ___ 757. 763. 236. 060. 170. 930. 661. 605. 468. . 37 1. 09 . 22 . 45 . 85 253, 542, 437, 523, 998, . 97 . 28 1. 37 .0 6 . 16 . 28 . 55 . 33 . 60 Total, public works_______ 549, 330, 530, 225, 000, 178, 656, 459, 804, . 67 60 00 00 78 00 14, 42, 8, 17, 32, 50 00 00 00 00 00 74 00 30 16. Public works— 1. General supervision, design, and overhead_ 2. Public improvements______ ___________ 3. Government plant additions______ ____ 36, 10, 51, 2, 6, 10, 20, 12, 22, 45 30 23 55 95 » Salaries and expenses of the several departments not directly chargeable to any productive function 40, 7, 48, 2, 5, 9, 19, 12, 31, 966, 549, 484, 198, 559, 039, 616, 397, 811, 070. 625. 810. 550. 960. 990. 722. 360. 380. A96 THE BUDGET, 1931 No. 11.—Summary of estimates of appropriations, classified by governmental functions, fiscal year 1931, compared with appropriations for fiscal year 1980, exclusive of the Postal Service—Continued Estimates of appropriations, 1931 Appropriations, 1930 Per cent Increase over appro priations for 1930 (+> decrease (—) Function Per cent Amount D. Nonfunctional appropriations: 1. Refunds, losses, contingencies, and miscellaneous. 2. Agricultural marketing loans_________________ _ Amount $164, 044, 500. 00 4. 37 ^157, 100, 930. 00 150, 000, 000. 00 4. 04 3. 86 + $6, 943, 570. 00 -1 5 0 , 000, 000. 00 3. Fixed debt charges— 1. Public-debt retirements from “ ordinary" receipts 1______ __________________________ 2. Interest on the public d e b t . .______________ 635, 324, 000. 00 619, 000, 000. 00 16. 93 16. 50 623, 894, 100. 00 656, 000, 000. 00 16. 03 16. 85 + 11,429,900.00 - 3 7 , 000, 000.00 32. 88 - 2 5 , 570, 100. 00 Total, fixed debt charges.............. ................ 1, 254, 324, 000. 00 33. 43 1, 279, 894,100. 00 4. Trust funds___________ _____ _____________ _____ 208, 064, 240. 00 5. 55 228, 482, 650. 00 5. 87 - 2 0 , 418, 410. 00 Total, nonfunctional appropriations______ 1, 626, 432, 740. 00 43. 35 1, 815, 477, 680. 00 46. 65 - 1 8 9 , 044, 940. 00 Grand total______________________________ 3, 751, 945, 231. 86 100. 00 3, 892, 141, 651. 26 100. 00 -1 4 0 , 196, 419. 40 RECAPITULATION Genera] functions______________________________________ Military functions_____________________ ______________ Civil functions______ ________________ ________________ Nonfunctional appropriations__________________________ Grand total_____________________________________ i Excludes public-debt redemptions to be made from the general fund. N o t e — Definitions of governmental functions are given on p. A3. 128, 1, 366, 630, 1, 626, 082, 647, 782, 432, 858. 531. 101. 740. 98 00 88 00 3, 751, 945, 231. 86 3. 36. 16. 43. 41 43 81 35 100. 00 126, 1, 332, 617, 1, 815, 538, 712, 413, 477, 007. 402. 561. 680. 80 00 46 00 3, 892, 141, 651. 26 3. 34. 15. 46. 25 24 86 65 100. 00 + 1, 544. + 33, 935, + 13, 368, -1 8 9 , 044, 851. 129. 540. 940. 18 00 42 00 -1 4 0 , 196, 419.40 a97 BUDGET STATEMENTS B u d g e t S t a t e m e n t No. 12 Summary of estimates of appropriations, by “ character and objects of expenditure” 1for the fiscal year 1931, compared with appropriations for the fiscal year 1980, exclusive of the Postal Service Estimates of appropriations, 1931 Appropriations, 1930 Character and objects of expenditure Amount Per cent Amount Per cent Current expenses: $588, 558, 400. 51 15. 67 $573, 470, 931. 55 14. 72 01. Personal services 3_________ _______ _________ 102, 514, 799. 50 112, 699, 549. 00 3. 00 2. 62 02. Supplies and materials______________________ 10, 314, 878. 45 11, 361, 083. 68 .3 0 . 26 03. Subsistence and support of persons (service). 04. Subsistence and care of animals and storage 266, 762. 00 283, 221. 00 .0 6 . 07 and care of vehicles (service)______________ 6, 751, 103. 00 5, 753, 098. 50 . 17 . 14 05. Communication service______________________ 36, 613, 944. 00 38, 983, 566. 00 1. 03 . 94 06. Travel expenses_____________________________ 14, 756, 444. 76 14, 331, 840. 65 . 39 .3 6 07. Transportation of things (service)........... ......... 08. Printing, engraving, lithographing, binding, 11, 732, 946. 00 . 31 11, 818, 640. 80 .3 0 photographing, and typewriting (service) 145, 976. 67 153, 212. 71 . 03 . 03 09. Advertising and publication of notices (service). 10. Furnishing of heat, light, power, water, and 6, 684, 492. 36 7, 107, 668. 17 . 18 . 17 electricity (service)_______________________ 11, 026, 188. 00 10, 127, 879. 00 .2 9 . 26 11. Rents*______________________________________ 78, 433, 280. 03 2. 09 65, 443, 383. 26 1. 68 12. Repairs and alterations______________________ 10, 406, 797. 29 11, 180, 068. 80 . 27 .2 8 13. Special and miscellaneous current expenses __ 14. Maintenance and operation of naval shore sta 77, 662, 552. 00 79, 752, 261. 00 2. 12 1. 99 tions_____ ________________________ _____ 104, 239, 454. 00 106, 345, 950. 00 2. 83 2. 67 15. Maintenance and operation of fleet....... ........... 32, 869, 892. 00 33, 269, 239. 00 . 84 .8 8 16. Miscellaneous naval operating charges_______ 1, 111, 613, 674. 11 29. 63 1, 063, 445, 829. 58 27. 32 Total current expenses________________ Fixed charges: 619, 238, 983. 00 656, 153. 000. 00 16. 51 16. 86 20. Interest_____________________________________ 21. Pensions, retirement salaries, annuities, and 584, 705, 588. 00 584, 568. 786. 00 15. 58 15. 02 World War allowances____________________ 107, 037, 111. 14 108, 535, 453. 68 2. 85 2. 79 22. Grants, subsidies, and contributions_________ 1, 310, 981, 682. 14 34. 94 1, 349, 257, 239. 68 34 67 Total fixed charges_______________________ Acquisition of property : 110, 264, 814. 00 2. 94 102, 208, 886. 00 30. Plant and equipment________________________ 2. 63 22, 901, 868. 00 19, 362, 336. 00 . 52 31. Land and interests in land__________________ . 59 32. Structures and parts and nonstructural im provements to land (includes fixed equip 134, 526, 398. 87 119,311, 857.47 3. 58 m ent)_____ _______________________________ 3. 06 6, 705. 00 6, 705. 00 . 01 33. Stores purchased for resale__________________ . 01 23, 741, 950. 00 18, 958, 700. 00 . 50 . 60 34. General stores_______________________________ 268, 171, 266. 47 283,118,953. 87 7. 55 Total acquisition of property___________ 6. 89 Payment of debt: 623, 894, 100. 00 635, 324, 000. 00 16. 93 16.03 40. Public-debt redemptions and purchases____ Payments for rights and obligations: 192, 896, 000. 00 3 366, 774, 110. 00 5. 12 9. 41 50. Investments_______________________________ 250, 0 0 0 .0 0 250, 000. 00 .0 6 . 06 51. Treaty obligations_________________________ 17, 850, 050. 00 14, 050, 340. 00 . 36 . 44 52. Repayments of deposits___________________ 162, 661, 005. 00 167, 222, 206. 74 4 44 53. Refunds, awards, and indemnities_________ 4. 16 374, 418, 546. 74 547, 535, 165. 00 9. 98 Total payments for rights and obligations.. 14. 07 8, 123, 795. 00 . 21 R eserve-------------------------------------------------------------------3, 715, 456, 856. 86 Total, General Government_________________ 99.03 3, 860, 427, 395. 73 99. 19 47, 880, 228. 00 44, 540, 115.00 1. 27 1. 14 District of Colum bia________________________ ______ 3, 763, 337, 084. 86 100. 30 3, 904, 967, 510. 73 100. 33 11, 391, 853. 00 Adjustments and collections. 12, 825, 859. 47 .3 0 .3 3 T ota l________________ 3, 751, 945, 231. 86 1 0 0 .0 0 3, 892, 141, 651. 26 100. 00 Increase over appropri ations for 1930 (+)* decrease (—) + $15, 087, 468. 96 + 10, 184, 749. 50 + 1, 046, 205.23 + 16, 459. + 998, 004 + 2, 369, 622. + 424, 604 00 50 00 11 - 8 5 , 694. 80 - 7 , 236. 04 + 423, +898, + 1 2 , 989, -7 7 3 , 175. 309. 896. 271. 81 00 77 51 + 2, 089, + 2, 106, + 399, + 48, 167, 709. 496. 347. 844. 00 00 00 53 - 3 6 , 914, 017. 00 + 136, 802. 00 - 1 , 498, 342. 54 - 3 8 , 275, 557. 54 + 8, 055, 928. 00 - 3 , 539, 532. 00 + 15, 214, 541. 40 ~~- 4 ," 783," 250." 00 + 14, 947, 687.40 + 11, 429,900.00 -173, 878,110. 00 —3, 799, + 4, 561, -1 7 3 , 116, - 8 , 123, -144, 970, + 3 , 340, -141,630, + 1, 434, -1 4 0 , 196, 710.00 201. 74 618. 26 795. 00 538. 87 naoo 425. 87 006.47 419. 40 RECAPITULATION Current expenses-------------------------Fixed charges------------------------ ---------Acquisition of property-------------------Payment of debt------------------- -------- Payments for rights and obligations _ Reserve.......... ............ - .......... - .......... Total, General Government. D istrict o f Colum bia______________ Adjustments and collections. T ota l_______________________ 1, 111, 613, 674 11 1, 310, 981, 682. 14 283,118, 95a 87 635, 324, 000. 00 374, 418, 546. 74 3, 715, 456, 47, 880, 3, 763, 337, 11, 391, 3, 751, 945, 856. 86 22a 00 084. 86 85a 00 231* 86 29. 63 34 94 7.55 16. 93 9. 98 99.03 1. 27 100.30 . 30 1 0 0 .0 0 1, 063, 445, 829.58 1, 349, 257, 239. 68 268, 171, 266. 47 623, 894, 1 0 0 .0 0 547, 535, 165.00 8,123, 795.00 3, 860, 427, 395.73 44,540, 115l 00 3, 904, 967, 510. 73 12, 825, 859.47 3, 892, 141, 651. 26 * For definitions of obtocte, see General Accounting Office Bulletin No. 1, dated May 11,1923, as amended. 1Exclusive of personal services chargeable to the manufacture and repair of equipment or the building and repair of structures, etc. » Includes agricultural marketing loans. 27.32 34 67 6.89 Id 03 14 07 .2 1 99. 19 1. 14 KMX 33 .3 3 100. 00 + 48, 167, - 3 8 , 275, + 14,947, + 11, 429, -1 7 3 ,1 1 6 , -8 ,1 2 3 , -1 4 4 ,9 7 0 , + 3,340, -1 4 1 ,6 3 0 , + 1,434, 140,196, 844 53 557.54 687.40 900. 00 618.26 795. 00 538.87 uaoo 425. 87 006,47 419. 40 a 98 THE BUDGET, 1931 B udget S tatem ent N o * 13 Summary of expenditures, by character and objects, fiscal years 1929 to 1926, exclusive of Postal Service, payable from postal revenues Character and objects of expenditure Current 01. 02. 03. 04. 05. 06. 07. 08. "09. 10. 11. 12. 13. 14. 15. 16. expenses: Personal services________ _________________ Supplies and materials_____________________ Subsistence and support of persons (service). Subsistence of animals and care of vehicles (service)_____________________________ Communication service____________________ Travel expenses___________________________ Transportation of things (service)_________ Printing, engraving, binding, and type writing (service)________________________ Advertising and publication of notices (service) _ ______________________________ Furnishing of heat, light, power, etc. (service)_______________________ _______ _ Rents ___________________________________ Repairs and alterations____________________ Special and miscellaneous current expenses,. Maintenance and operation of naval shore stations_________________________________ Maintenance and operation of fleet________ Miscellaneous naval operating charges_____ 1929 1926 1927 1928 1 $542, 709, 726. 08 103, 932, 844. 03 10, 749, 978. 91 327, 5, 513, 35, 406, 14, 432, 230. 970. 161. 526. 00 35 82 11 $499, 854, 529. 84 103, 442, 668. 31 10, 583, 146. 19 282, 3, 694, 34, 881, 13, 548, 249. 242. 685. 913. 39 54 39 61 11, 400, 084. 33 10, 060, 086. 26 184, 449. 61 162, 799. 28 6, 8, 72, 23, 259, 978, 738, 210, 021. 820. 006. 336. 82 00 62 57 74, 663, 083. 00 100, 245, 665. 00 31, 424, 342. 00 5, 7, 64, *89, 980, 680, 266, 229, 823. 526. 779. 996. 1 i $486, 586, 917. 94 95, 540, 026. 17 io, 515, 478. 38 $473, 240, 848. 22 86, 749, 560. 35 10, 206, 931. 60 221, 933. 52 3, 893, 038. 47 34, 310, 374. 84 12, 412, 679. 20 150, 748. 59 3, 385, 083. 45 32, 580, 042. 66 12. 220, 086. 18 1 11, 508, 819. 62 ! } 33 1 67 1 03 33 ' 70, 765, 336. 87 99, 127, 040. 00 | 29, 043, 308. 00 J io, 058, 489. 96 114, 546. 95 240, 848. 14 6, 7, 60, 26, 328, 131, 765, 037, 421. 178. 713. 620. 53 1 45 64 ! 16 ( 6, 066. 7>089, 60, 732, 32, 573, 822. 054. 077. 629. 46 91 25 40 67, 439, 020. 50 i 103, 188, 598. 00 27, 096, 042. 00 ! 65, 648, 930. 01 104, 294, 455. 00 27, 575, 846. 00 1, 042, 176, 246. 25 1, 042, 604, 131. 04 953, 216, 710. 56 932, 687, 152. 99 679, 130, 674. 00 731, 908, 826. 95 787, 975, 374. 01 831,619. 117. 1^ 594, 319, 112. 48 116, 479, 589. 96 593,612, 114. 52 111,872, 325. 94 577, 282, 184. 45 | 114, 803, 710. 18 | 643, 727, 618. 1& 116, 136, 986. 7£K 1, 389, 929, 376. 44 1, 437, 393, 267. 41 105, 899, 897. 58 25, 157, 617* 37 78, 733, 286. 88 6, 516. 959. 02 62, 707, 067. 34 10; 480, 780. 18 59, 881 182, 44 1, 949. 968 63 84, 611, 147. 77 59. 579. 00 40, 165, 975. 00 90, 902, 732. 67 91, 950. 39 33, 840, 855. 00 69, 598, 372 91 88, 566. 46 26, 845. 224. 00 64, 333, 426 54 31,744 19 19, 662, 045. 00 Total acquisition of property. 255, 894, 216. 72 210, 085, 783. 96 j 169, 720, 010. 89 145. 858, 366. 80- Payment of debt: 1 40. Public-debt redemptions and purchases paid from ordinary receipts, including pre mium 3__________________________________ 549, 451, 883. 00 540, 583, 783. 41 522, 926, 277. 25 487, 376, 050. 6> Payments for rights and obligations: 50. Investments______________________ 51. Treaty obligations________________ 52. Repayments of deposits__________ 53. Refunds, awards, and indemnities. 209, 797, 250, 13, 015, 217, 777, 180, 548, 680, 17, 161, 170, 693, 170, 5, 21, 129, 170, 5, 30, 213, Total current expenses. Fixed charges: / 20. Interest___________________r_______________ 21. Pensions, retirements, annuities, and allow ances________ __________________________ 22. Grants, subsidies, and contributions_______ Total fixed charges. Acquisition of property: 30. Plant and equipment______________________ 31. Land and interests in land_________________ 32. Structures, improvements to land, and fixed equipment______________________________ 33. Stores purchased for resale________________ 34. General stores_____________________________ Total payments for rights and obliga tions_________________________________ 584. 000. 350. 329. 00 00 00 00 059. 000. 344. 032. 31 00 42 40 1, 480, 061, 268. 64 ! 723, 668, 893, 399, 595. 879. 632. 969. 19 09 69 76 1, 591, 483, 722. 11 764, 473, 197, 770, 539. 156 540. 844. 20 36 10 60 440, 840, 263. 00 369, 082, 436. 13 327, 686, 076. 73 420, 206, 080. 26 137, 790, 614. 33 32, 080, 202. 46 27, 263, 191. 12 39, 506, 490. 29 Total, General Government. District of Columbia___________________ 3, 816, 082, 599. 74 40, 619, 744. 75 3, 631, 829, 604. 41 39, 913, 540. 19 3, 480, 873, 535. 19 37, 856, 501. 00 3, 617, 117, 863. 14 34, 707, 744 32 Adjustment to total cash expenditures. 3, 856, 702, 344. 49 - 8 , 239, 154. 86 3, 671, 743, 144. 60 - 2 8 , 223, 269. 47 3, 518, 730, 036. 19 “ 25, 145, 516. 79 3, 651, 825, 607. 46 - 6 6 , 837, 733. 9& Total__________________________ 3, 848, 463, 189. 63 3, 643, 519, 875. 13 3, 493, 584, 519. 40 I 3, 584, 987, 87a 50 Postal deficiencies, etc.3_ 1 Includes $50,000,000 for settlement of alien property claims. > Exclusive of redemptions paid from surplus and balances. * Including for 1929 $42,997,089.50 back railway mail pay to inland carriers and $93,780.77 miscellaneous items* a99 BUDGET STATEMENTS B udget S tatem ent N o . 14 Summary oj expenditures, classified by governmmteil junctions, fiscal year 1931, compared with prior years Estimated 1 1931 Function Actual 1930 j Per cent Am ount 1929 Per cent A m ount j Per cent Am ount i A. General functions: 1. Legislative ........................................ 2. J u d ic ia l- ___3. Executive_____ _ _ _ _ — 0. 27 . 36 . 01 $11, 250, 800. 00 14, 242, 000. 00 476, 100. 00 0. 28 . 35 .01 $10, 883, 502. 68 14, 416, 480. 79 487, 250. 03 0. 28 . 37 . 01 68, 743, 600. 00 1. 68 12, 352, 000. 00 1 . 30 . 53 21, 838, 600. 00 69, 144, 100. 00 12, 892, 700. 00 20, 254, 500. 00 1. 73 . 30 .51 66, 942, 930. 40 12, 718, 476. 05 18, 681, 073. 44 1. 74 . 33 . 50 510, 000. 00 1, 129, 800. 00 , . 01 .0 3 470, 000. 00 1, 109, 000. 00 . 01 . 03 507, 353. 39 1, 083, 128. 01 .01 .0 3 Total, general administration___ 104, 574, 000. 00 j 2. 55 103, 870, 300. 00 2. 58 99, 932, 961. 29 2. 61 Total, general functions_________ 130, 999, 700. 00 , 3. 19 129, 839, 200. 00 3. 22 125, 720, 194. 79 3. 27 684, 976, 300. 00 22, 448, 800. 00 2 50, 000. 00 16. 70 . 55 .0 0 679, 645, 200. 00 31, 951, 200. 00 2 50, 000. 00 16. 89 . 79 .0 0 656, 911, 411. 78 19, 224, 141. 27 2 405, 070. 54 17. 08 . 50 2 . 01 629, 139, 910. 00 15. 33 4. General administration— 1. Financial administration___________ 2. Government supply services. _____ 3. Public buildings service.. 4. Civil pensions and allowance ad ministration _ _________ _________ 5. Institutional and general expenses *_ B. Military functions: 1. National defense, exclusive of public works. 2. Public works under national defense____ 3. Special war agencies------------------------ — 4. Military pensions; annuities, World War allowances, and life-insurance claims__ Total, military functions________ C. Civil functions: 1. Foreign relations and protection of American interests abroad_____________ 2. General law enforcement________________ 3. Provision for control of currency and banking______________ __ - __________ 4. Administration of Indian affairs_________ 5. Administration of public domain________ 6. Promotion and regulation of commerce and industry....................... .. _ -----7. Promotion, regulation, and operation of marine transportation_________________ 8. Promotion and regulation of land trans portation ___ - __ ______ 9. Postal Service (deficiency in postal reve nues) ____________________________ - 10. Promotion and regulation of agriculture. 11. Promotion and regulation of fisheries-----12. Promotion of labor interests. _ _ 13. Immigration and naturalization _ _______ 14. Promotion of public health________ _____ 15. Promotion of public education 16. Science and research _ --------------------------17. Public works— 1. General supervision, design, and overhead _ _ _ 2. Public improvements_______________ 3. Government plant additions-----------Total, public works _____ _____ 18. Revenue-producing enterprises___ 19. Local government__ _ ___________ _ 20. Relief expenditures___________ _____ Total, civil functions* ______ $11, 192, 000. 00 14, 823, 000. 00 410, 700. 00 630, 068, 007. 00 15. 66 628, 868, 065. 39 16. 34 1, 336, 515, 010. 00 | 32. 58 1, 341, 614, 407. 00 33. 34 1, 304, 598, 547. 90 33. 91 14, 041, 300. 00 49, 276, 190. 00 . 34 1. 20 11, 394, 900. 00 44, 693, 798. 00 . 28 1. 12 11, 457, 541. 85 43, 175, 250. 65 . 30 1. 12 8, 615, 300. 00 20, 859, 000. 00 29, 999, 500. 00 . 21 .5 2 . 73 8, 677, 000. 00 17, 766, 100. 00 29, 923, 600. 00 . 22 . 44 . 74 8, 564, 676. 01 21, 499, 854. 38 26, 881, 554. 91 . 22 .5 6 . 70 30, 479, 200. 00 . 74 27, 317, 400. 00 . 68 25, 264, 801. 86 . 66 88, 182, 600. 00 2. 15 57, 259, 695. 00 1. 42 42, 671, 825. 09 1. 11 10, 890, 000. 00 .2 7 374, 200. 00 .01 5, 974, 880. 58 . 16 78, 500, 000. 44, 713, 900. 2, 055, 000. 5, 899, 600. 9, 927, 400. 20, 492, 100. 12, 495, 800. 22, 631, 700. 00 00 00 00 00 00 00 00 1. 92 I 1.09 ! . 05 . 14 . •24 ! . 50 . 30 j . 55 00 00 00 00 00 00 00 00 2. 09 1. 13 . 06 . 14 . 23 . 49 . 32 . 79 33 74 46 70 54 60 65 41 3. 58 . 99 . 05 . 15 . 21 . 53 . 30 . 38 989, 000. 00 I .0 2 200, 255, 000. 00 i 4.89 71, 134, 900. 00 ! 1. 73 874, 000. 00 209, 605, 400. 00 71, 412, 300. 00 . 02 5. 21 1. 77 816, 808. 28 196, 311,507. 18 34, 881, 817. 74 . 02 5. 10 . 91 6. 64 281, 891, 700. 00 7.00 232, 010, 133. 20 6.03 11, 100, 000. 00 ; .2 7 48, 949, 000. 00 1 1. 19 61, 000. 00 | .0 0 9, 300, 000. 00 47, 399, 200. 00 50, 500. 00 .2 3 1. 18 .0 0 9, 052, 185. 24 43, 462, 747. 10 44, 044. 54 .2 3 1. 13 .0 0 781, 547, 490. 00 | 19. 05 746, 708, 693. 00 18. 57 708, 473, 230. 84 272, 378, 900. 00 ! 84, 45, 2, 5, 9, 19, 12, 31, 000, 000. 640, 900. 233, 700. 607, 600. 327, 600. 871, 000. 342, 2Q0. 637, 600. t 1 Salaries and expenses of the several departments not directly chargeable to any productive function. * Credit. 1 Includes $42,997,089.50 payment to inland carriers under authority of joint resolution approved June 6, 1929. 1 8 137, 790, 38, 005, 2, 023, 5, 682, 8, 259, 20, 342, 11,456, 14, 852, 614. 202. 880. 746. 721. 691. 669. 208. 18.41 r a IOO THE BUDGET, 1931 No. 14.— Summary of expenditures, classified by governmental functions, fiscal year 1931, compared with prior years— Con. Actual Estimated Function D. Nonfunctional expenditures: 1. Refunds, losses, contingencies, and mis cellaneous___________________ ______ 2. Cape Cod Canal bonds, and canal 3. Inland Waterways Corporation_________ 4. Loans to foreign governments— Greece________________________________ 5. Agricultural marketing loans____________ 6. Seed loans and collections_______________ 7. Capital stock payments, Federal Inter mediate Credit Banks________________ 1929 1930 1931 Amount Per cent Amount Per cent Amount $166, 532, 300. 00 4.05 $212, 328, 500. 00 5. 27 3, 000, 000. 00 . 07 1, 500, 000. 00 . 04 $216, 839, 631. 50 6, 180, 509. 97 2, 500, 000. 00 5. 64 . 16 .0 6 12, 167, 000. 00 .3 2 200, 000, 000. 00 1 4.87 1 680, 000. 00 75, 000, 000. 00 1 3, 644, 000. 00 I. 85 .0 9 5, 600, 175. 15 . 15 3, 000, 000. 00 .0 7 5, 000, 000. 00 . 13 15. 67 16. 30 549, 603, 703. 75 678, 330, 399. 50 1, 366, 081. 24 14. 28 17. 63 .0 4 1, 229, 300, 184. 49 31. 95 8. Fixed debt charges 2— 1. Public-debt retirements payable from ordinary receipts__ _________ 2. Interest on the public debt_________ 3. Premium on sinking-fund purchases 635, 324, 000. 00 619, 000, 000. 00 15.48 15.09 630, 365, 600. 00 656, 000, 000. 00 Total, fixed debt charges3______ 1, 254, 324, 000. 00 30. 57 1, 286, 365, 600. 00 31. 97 9. Trust funds_____________ _____ ____ _____ 230, 700, 200. 00 5.62 230, 969, 500. 00 5. 74 Total, nonfunctional expendi tures_________________________ 1, 853, 876, 500. 00 45. 18 1, 805, 519, 600. 00 44 87 i Total, expenditures from the Treasury, checks issued, partiallv adjusted____ . - - ____ E. Adjustment between cash expenditures and checks issued_____________________________ 4, 857, 338, 700. 00 4, 023, 681, 900. 00 100. 00 44. 41 3, 847, 138, 907. 74 100. 00 3, 848, 463, 189. 63 725, 400, 000. 00 696, 947, 578. 00 4, 749, 081, 900. 00 4, 545, 410, 767. 63 1Deduct, excess of credits. * Excludes expenditures out of loan funds liquidating public debt (refunding operations), but includes all redemptions made from ordinary receipts. N ote .— Definitions of governmental functions are given on p. A3. For years prior to 1925, see Budget Statement No. 0, in Budget for 1926, / 6. 00 1, 708, 346, 934. 21 1, 324, 281. 89 Total expenditures from the Treasury, cash basis_________ 4, 102, 938, 700. 00 100. 00 \dd Postal Service expenditures, payable from 754, 400, 000. 00 postal revenues. ___________________________ Total expenditures........ ............ 230, 759, 433. 10 | Per cent A lO l BUDGET STATEMENTS B u d g e t S t a t e m e n t N o . 15 Comparisons of appropriations recommended and appropriations made by Congress, fiscal year 1930, compared with fiscal year 1929, classified by organization units Appropriations recommended Organization unit In Budget Supplemental estimates Total Appropriations by Congress to Nov. 1, 1929 Increases by Congress (+); i ( -) Fiscal year 1930 14.164.200.00 3,400,000.00 35,734.25 10,325,692.50 15.475.860.00 5,205,600.00 ‘ 86,826,470.98 $19,032,065.64 800.659.921.00 155.442.531.00 58.674.749.00 311,455,345.78 28.103.570.00 10.719.430.00 363.289.682.00 819.609.325.00 14,780,565.68 340,024,308.30 460.311.082.00 45.141.222.00 1,279,894,100.00 $18,866,445.00 801.402.731.00 155.729.990.00 58.795.609.00 311,346,075.78 27.937.370.00 10.774.430.00 362.061.247.00 818.235.725.00 14,794,945.68 342,545,815.80 463.452.777.00 44.540.115.00 1,279,894,100.00 -$165,620.64 +742,810.00 +287,459.00 +120,860.00 -109,270.00 —166,200.00 +55,000.00 -1,228,435.00 -1,373,600.00 +14,380.00 +2,521,507.50 +3,141,695.00 -601,107.00 4,417,369,904.67 289,767,992.73 4,707,137,897.40 4,710,377,376 26 +3,239,478.86 16, 612, 204.052.00 142, 753.229.00 37, 599.460.00 300, 190.089.00 26, 784.630.00 10, 735.840.00 167.020.00 270.042.00 14, 015,188.14 316, 333.562.00 823.143.00 40, 431.186.00 10.042.492.00 12.702.379.00 27,463,944.50 2,366,277.67 22,581,008.19 2,738,408.50 994,796. 75 6,051,354.37 76,162,647.68 1,501,789.00 121,538,454.82 14,075,929.87 972,727.32 * 5,819,314.03 26,905,422.86 624,906,431.00 170,217,173.50 39,965,737.67 322,771,097.19 29,523,038.50 11,730,636.75 368,218,374.37 844,432,689.68 15,516,977.14 437,872,016.82 412,899,072.87 41,403,913.32 1,217,442,707.56 20,755,907.01 625,135,668.44 164.694.779.22 40,056,916.20 323,370,935.66 29,425,422.95 11,719,136.75 376,850,729.28 841,334,271.33 15,545,634.91 430.323.080.22 420,710,450.78 41,301,844.34 1,217,442,707.56 -6,149,515.85 +229,237.44 *-5,522*394.28 +91,178.53 +599,838.47 -97,615.55 -11,500.00 +8,632,354.91 -3,098,418’. 35 +28,657. 77 -7,548,936.60 +7,811,377.91 -102,068.98 4,258,793,765.53 305,011,523.70 4,563,805,289.23 4,558,667,484.65 -5,137,804.58 Legislative establishment...................... ............................................ Executive and independent establishments...................................... Department of Agriculture.................................. ............................. Department of Commerce................................................................. Interior Department...... ....... ........................................................... Department of Justice...................................................................... Department of Labor........................................................................ Navy Department.................... ........................................................ Post Office Department........................................... ......................... State Department.............................................................................. Treasury Department................................................. ............ ......... War Department, including Panama Canal.......................... ........... District of Columbia................................................................... ...... Public debt, principal and interest.................................................... $18,919,730.64 648.361.521.00 154.232.131.00 58.459.749.00 310,957,045. 78 28.103.570.00 10.719.430.00 349.125.482.00 816.209.325.00 14,744,831.43 329,696,615.80 444.835.222.00 39.935.622.00 1,193,067,629.02 Total, including Postal Service, payable from postal revenues. $112,335.00 152,298,400.00 1,210,400.00 215,000.00 498,300.00 Fiscal year 1929 Legislative establishment................... ............ .......................... ........ Executive and independent establishments....................................... Department of Agriculture___________ _____________ ___________ Department of Commerce................................... .............................. Interior Department.......................................................................... Department of Justice........ ............................ .................................. Department of Labor................................................... ..................... Navy Department...____________ ______ _______________ ______ Post Office Department..................................................................... State Department___ _______________________________________ Treasury Department................................. .................................... . War Department, including Panama Canal............... ...................... District of Columbia..................... ............................. ......... ............ Public debt, principal and interest................................................... Total, including Postal Service, payable from postal revenues. ., 211, i Net increase in original public-debt estimates, as revised by the Treasury Department. N ote .— Appropriations for which no estimates were submitted have been distributed above by departments. A 102 THE BUDGET, 1931 B udget S tatem ent N o . 16 Statement of estimates of appropriations for 1931 and appropriations for 1930, showing percentages of the totals for current operation of the Government, by departments and offices D epartment or office Legislative establishment_____________________________________ Executive Office______________________________________________ Independent offices: American Battle Monuments Commission________________ Arlington Memorial Bridge Commission__________________ Civil Service Commission________________________________ Employees’ Compensation Commission___________________ Federal Board for Vocational Education_________________ Federal Farm Board_____________________________________ Federal Trade Commission_______________________________ General Accounting Office________________________________ Housing Corporation_____________________________________ Interstate Commerce Commission________________________ Shipping Board and Merchant Fleet Corporation_________ Smithsonian Institution__________________________________ Public Buildings and Public Parks of the National Capital Tariff Commission_______________________________________ United States Veterans’ Bureau__________________________ Other independent offices_________________________________ Department of Agriculture____________________________________ Department of Commerce____________________________________ Department of the Interior___________________________________ Department of Justice________________________________________ Department of Labor_________________________________________ Navy Department____________________________________________ State Department____________________________________________ Treasury Department_________________________________________ War Department, including Panama Canal___________________ District of Columbia__________________________________________ Current operations^ _________________________________ I Estimates of appropriaI tions, 1931 Per cent of total $28, 345, 066. 98 422, 320. 00 1. 13 1, 000, 000. 00 1, 000, 000. 00 . 04 .0 4 . 05 . 17 . 34 . 08 .0 6 . 17 1, 362, 952. 00 4, 210, 000. 00 8, 420, 400. 00 1, 900, 000. 00 1, 437, 460. 00 4, 181, 000. 00 298, 950. 00 10, 329, 963. 00 6, 396, 000. 00 1, 189, 683. 00 3, 591, 640. 00 825, 000. 00 589, 755, 000. 00 6, 700, 866. 00 165, 088, 506. 00 52, 382, 270. 00 304, 302, 347. 74 32, 017, 292. 00 12, 219, 770. 00 380, 392, 526. 00 17, 238, 659. 14 348, 107, 000. 00 466, 626, 332. 00 47, 880, 228. 00 2, 497, 621, 231. J . 02 Appropriations, 1930 Per cent of total $18, 866, 445. 00 447, 220. 00 0. 72 600, 000. 00 2, 000, 000. 00 . 02 .0 8 . 05 . 16 . 34 5. 81 . 05 . 16 1, 226, . 02 . 03 22. 87 . 49 15. 23 . 69 13. 94 18. 68 1. 92 862. 00 4, 073, 326. 00 8, 799, 520. 00 151, 790, 000. 00 1, 277, 760. 00 4, 092, 000. 00 243, 450. 00 7, 548, 825. 00 11,494, 000. 00 1, 106, 183. 00 2, 888, 061. 00 789, 000. 00 597, 375, 000. 00 5, 565, 624. 00 155, 729, 990. 00 58, 795, 609. 00 311, 346, 075. 78 27, 937, 370. 00 10, 774, 430. 00 362, 061, 247. 00 14, 794, 945. 68 342, 631, 715. 80 463, 452, 777. 00 44, 540, 115. 00 100. 00 2, 612, 247, 551. 26 100. 0 0 . 01 . 41 . 26 . 05 . 14 . 03 23. 61 . 27 6. 61 2. 10 12. 18 1. 28 . 01 . 29 . 44 . 04 . 11 . 21 5. 96 2. 25 11. 92 1. 06 . 41 13. 86 . 57 13. 12 17. 74 1. 70 a 103 BUDGET STATEMENTS B u d g et S t a t e m e n t N o * 17 Comparative statement oj appropriations jor departments and establishments jor the jiscal years 1930 and 1929, including revised public-debt appropriations Appropriations for 1930 Annual and other Legislative establishment: Senate.............................. House of Representatives. Architect of the Capitol... Botanic Garden................ Library of Congress_____ Public Printer--------- . . Legislative miscellaneous. Total, legislative establishment_ Executive Office and independent establishments: Executive Office.................................................................... Alaska relief fund__________ _________ ____ _____ _______ Alien Property Custodian_____________________________ American Battle Monuments Commission---------------- -----Arlington Memorial Bridge Commission.............................. Board of Mediation... . _______________ ____ __________ Board of Tax Appeals____________________________ _____ Bureau of Efficiency___________ ___________________ ____ Civil Service Commission................................ ..................... Commission of Fine Arts................... ........................... ....... Employees’ Compensation Commission_________________ Federal Board for Vocational Education............................... Federal Farm Board.............................................................. Federal Power Commission_________ ______ _____ _____ _ Federal Radio Commission____________________________ Federal Reserve Board------------- ------------------ ------ ---------Federal Trade Commission _. --------------- ------ -------------General Accounting Office............ ......................................... George Rogers Clark Sesquicentennial Commission----------Housing Corporation__________________________________ Interstate Commerce Commission......... .................... . ......... Mount Rushmore National Memorial Commission............. National Advisory Committee for Aeronautics..................... Perry's Victory Memorial Commission-------- . ------- ---------Porto Rican Hurricane Relief Commission----------------------Protecting interests of the United States in oil leases. .......... Public Buildings and Public Parks of the National Capital. Smithsonian Institution. -------------------- ------------------------Supreme Court Building Commission................................... Tariff Commission.. . . ______________ ___________ U. S. Geographic Board_______________________________ U. S. Shipping Board................... ................ ....................... U. S. Veterans'Bureau ....... ..................... . .. _________ Miscellaneous items------------- --------------------------------------Total, Executive Office and independent establishments. Department of Agriculture ..... ........................... Department of Commerce....... ..................... ... Department of the Interior____________________ Department of Justice________ ________ ______ Department of Labor... . . ................ ....... Navy Department___________________________ Post Office Department (payable from Treasury). State Department............ . . _____ _______ Treasury Department___ _____________ ______ War Department............................................. ...... District o Columbia--------------- --------- -------------- $205,800. 00 205,800. 00 I 533,120. 00 15,000.00 600,000.00 2,000,000.00 302,270. 00 663.863.00 224.330.00 1,226,862.00 9,080.00 4.073.326.00 1.432.520.00 151,790.000.00 170.250.00 164.440.00 Annual and other Permanent and indefinite $2,951, 651.60 7, 580, 00 2,506, 800. 40 173, 060.00 i 1,862, 812.00 3,419, 000.00 166, 960.00 18,660,645.00 Appropriations for 1929 $2,951,651.60 7, 580, 361. 00 2,506,800. 40 173.060.00 2,068,612. 00 3,419,000. 00 166.960.00 $3,029,431.40 7,965, 988. 89 4,256,620. 80 167, 620. 00 1,795,192.00 3,167,493.92 212,760.00 18,866,445. 00 20,595,107.01 533,120.00 15,000. 00 1,277,760.00 4,092,000.00 600,000.00 2,000,000.00 302.270.00 663,863. 00 224.330.00 1,226,862.00 9,080.00 4.073.326.00 8.799.520.00 151,790,000.00 179.500.00 164.440.00 2.605.741.00 1.277.760.00 4,092,000.00 243,450.00 7,548,825.00 243,450.00 7,548,825.00 1,292,200.00 1,292, 200. 00 100,000.00 2,888,061.00 1,046,183. 00 7,367,000.00 9,250.00 2,605,741.00 60,000.00 100,000.00 2,888,061.00 1,106,183.00 789, 000.00 9,200.00 11,494,000.00 499,975,000.00 97,400,000.00 789,000.00 9,200.00 11,494,000.00 597,375,000.00 693,945, 740.00 107, 456, 991. 00 144, 681.554.00 58, 792.609.00 285, 634,075.78 27, 937.370.00 10, 765.430.00 360, 236.697.00 84, 000,000.00 14, 653,712.68 316, 270.634.00 453, 789,362-00 41, 487.615.00 11,048,436.00 3,000.00 25,712,000.00 Permanent and indefinite $160,800.00 160,800.00 497,996.00 I 15,000.00 1, 500.00 700, 000.00 2,300, 000.00 347, 902.00 747, 740.00 228, 130.00 1,399, 440.00 7, 580.00 4,109, 291. 43 870, 900.00 118.380.00 364.027.00 7,367,000.00 8,250.00 2,700,000.00 1.118.240.00 ! 4,111,800.00' 200,000.00 475.750.00 8.043.625.00 100,000.00 836.770.00 14,374.00 7,150,000.00 55.000.00 3.035.820.00 1.028.271.00 25.000.00 809,000.00 4.400.00 13,688,7,50.00 488,090,232.01 5.500.00 60,000.00 74,500,000.00 Total $3,029,431.40 7,965,988.89 4,256,620.80 167.620.00 1,955,992.00 3,167,493.92 212.760.00 20,755,907,01 497.996.00 15,000.00 1.500.00 700,000.00 2,300,000.00 347.902.00 747.740.00 228.130.00 1.399.440.00 7.580.00 4,109,291.43 8.237.900.00 126.630.00 364.027.00 2.700.000.00 1.118.240.00 4.111.800.00 200,000.00 475.750.00 8.043.625.00 100,000.00 836.770.00 14,374.00 7.150.000.00 55.000.00 3.035.820.00 1.088.271.00 25.000.00 809,000.00 4.400.00 13,688,750.00 562,590,232.01 5.500.00 801,402, 731.00 \ 540,485,418.44 84,650,2.50.00 625,135,668.44 153,684, 279.22 40,053, 916.20 295,916, 935.66 29,425, 422.95 11,709, 136.75 374,963, 179.28 94,727, 485.86 15,404, 401.91 406,587, 343.22 410,622, 320.78 38,581, 844.34 11,010,500.00 3,000.00 27,454,000.00 141,233.00 23.735.737.00 10.088.130.00 2,720,000.00 164,694, 779.22 40,056, 916.20 323,370, 935.66 29,425, 422.95 11,719, 136.75 376,850, 729.28 94,727, 485.86 15,545, 634.91 430,323, 080.22 420,710, 450.78 41,301, 844.34 185,392,106.80 2,696,247,551.26 2,432,756,791.62 656.000.000.00 656.000.000.00 382.720.000.00 382.720.000.00 241,174,100.00 241,174,100.00 161,861,200.00 675,000,000.00 370,153,407.56 172,289,300.00 2,594,617,991.62 675,000,000.00 370,153,407.56 172,289; 300.00 9,000.00 1,824,550.00 141,233.00 26,275,181.80 9.663.415.00 3.052.500.00 155,729, 990.00 58,795, 609.00 311,346, 075.78 27,937, 370.00 10,774, 430.00 362,061, 247.00 84,000, 000.00 14,794, 945.68 342,545, 815.80 463,452, 777.00 44,540, 115.00 10,000.00 1,887,550.00 Total, exclusive of public debt.. Interest on the public debt__________ Sinking fund.............................. ........ Other redemptions of the public debt. 2,510,855,444.46 Total payable from the Treasury_____ Postal Service, payable from postal revenue. 2,510,855,444.46 734,0X5,725.00 1,465,286,206.80 220,000.00 3,976,141,651.26 734,235,725.00 2,432,756,791.62 746,386,785.47 1,379,303,907.56 220,000.00 3,812,060,699.18 746,606,785.47 Total_____________________________ 3,244,871,169.46 1,465,506,206.80 4,710,377,376.26 3,179,143,577.09 1,379,523,907.56 4,558,667,484.66 a104 t h e b u d g e t , 1931 B udget Statem ent N o . 18 Statement of balances of appropriations of June 30, 1929, and of appropriations for the fiscal year 1930 {including revised estimated permanent and indefinite appropriations), as of November 1, 1929, reported by the Secretary of the Treasury [Budget and accounting act, 1021, sec. 201 (e)] Balances of appropria tions, June 30,1929 Legislative establishment______________________ Executive Office_______________________________ Independent offices: Federal Board for Vocational Education. __ Interstate Commerce Commission________ Transportation act, 1920________________ Railroad Administration__________________ Shipping Board___________________________ United States Veterans' Bureau___________ Other independent offices_________________ Department of Agriculture____________________ Department of Commerce_____________________ Department of the Interior____________________ Department of Justice________________________ Department of Labor_________________________ Navy Department________ ___ _____ ___________ Post Office Department_______________________ State Department_________ ______________ ____ Treasury Department____________________ !____ War Department______________________________ Panama Canal________________________________ District of Columbia__________________________ Purchase of obligations of foreign governments. Sinking fund__________________________________ Other public-debt redemptions________________ Interest on the public debt____________________ Total, exclusive of Postal Service____ Postal Service payable from postal revenues. T otal________________________________ Appropriations for fiscal year 1930, including revised estimated per manent and indefinite appropriations Total available $5, 527, 256. 69 144, 451. 22 $18, 312, 445. 00 478, 120. 00 $23, 839, 701. 69* 622, 571. 22 1, 009, 862. 47 1, 175, 231. 74 292, 584, 937. 23 193, 286, 480. 62 66, 101, 728. 65 39, 064, 986. 79 9, 655, 435. 11 26, 803, 532. 73 7, 568, 722. 63 47, 792, 932. 49 3, 626, 452. 48 1, 306, 084. 01 112, 004, 107. 48 48, 458. 56 8, 110, 895. 06 111,215, 189. 12 230, 977, 090. 40 3, 127, 046. 40 10, 434, 135. 99 26, 424, 629. 05 29. 18 104. 50 8, 799, 520. 00 7, 548, 825. 00 ”382~726’ 666.~66" 241, 174, 100. 00 656, 000, 000. 00 9, 809, 382. 47 8, 724, 056. 74 292, 584, 937. 2a 193, 286, 480. 62" 77, 595, 728. 65 630, 439, 986. 79 32, 517, 701. 11 151, 830, 522. 7a 66, 024, 331. 6a 348, 113, 706. 90 31, 488, 822. 48 12, 080, 514. 01 472, 590, 854. 48 48, 458. 56 22, 866, 840. 74 430, 671, 004. 92* 583, 049, 387. 40 13, 138, 046. 40 50, 158, 900. 99 26, 424, 629. 05 382, 720, 029. 18 241, 174, 204. 50 656, 000, 000. 00 1, 197, 989, 780. 60 3, 559, 811, 019. 89 1 818, 235, 725. 00 4, 757, 800, 800. 49 1 818, 235, 725. OO 1. 197, 989, 780. 60 4, 378, 046, 744. 89 5, 576, 036, 525. 49* 11, 494, 000. 00 591, 375, 000. 00 22, 862, 266. 00 125, 026, 990. 00 58, 455, 609. 00 300, 320, 774. 41 27, 862, 370. 00 10, 774, 430. 00 360, 586, 747. 00 14, 755, 945. 68 319, 455, 815. 80 352, 072, 297. 00 10, 011, 000. 00 39, 724, 765. 00 » Not carried on the books of the Treasury, but added here to complete the total. N ote.— The appropriations for 1930, as stated above, are exclusive of amounts appropriated for the fiscal year 1930 that were made available for expenditure during the fiscal year 1929, the balances of which are included in the first column. A 105 BUDGET STATEMENTS B u d g et S tatem en t No. 19 Consolidated current balance sheet1 at close of business June 80, 1929 2 [g e n e ra l fu nd and p u b lic-d eb t (loan ) funds] Reference to statement Assets Liabilities, reserves, and surplus Amount No. A. Cash in Treasury offices. B. Cash in depositories: 1. Federal reserve banks. 2 Special depositories___ 3. Foreign depositories. 4. National banks_______ 5. Philippine treasury___ Total cash in depositories.. $226, 393, 590. 95 43, 568, 117. 356, 843, 000. 450, 670. 27, 633, 998. 1, 155, 357. 80 00 12 81 41 429, 651, 144 14 C. Liabilities: 1. Treasurer’s checks outstanding_________ 2. Deposits of Government officers— 1. Post Office Department____________ 2. Board of trustees, Postal Savings System— 1. Five per cent reserve__________ 2. Other deposits________________ 3. Postmasters, clerks of courts, dis bursing officers, etc______________ 59, 960, 243. 98 Total liabilities. 129, 664, 089. 33 D. Reserve for deposits: 1. Redemption of Federal reserve notes (5 per cent gold fund)__________________ 2. Redemption of national-bank notes (5 per cent fund)_______________________ 3. Retirement of additional circulating notes, act M ay 30, 1908______________ 4. Exchange of currency, coin, etc_________ A100 a 15 Total cash assets____ 656, 044, 735. 09 $3, 574, 257. 28 57, 278, 196. 82 7, 459, 992. 23 1, 391, 399. 02 168, 871, 032. 57 28, 452, 759. 43 2, 341, 901. 13 Total reserve for deposits___________ 199, 667, 643. 13 Total liabilities and reserves________ 329, 331, 732. 46 E. Balance in general fund: 1. At beginning of year, July 1, 1928______ 2. Addition during year— 1, Excess of ordinary receipts over ex penditures payable therefrom____ 29 Amount Page Total balance and additions during year__________________ 3. Deductions during year— 1. Public debt, redemptions from the general fund, in addition to sink ing fund and redemptions from restricted receipts_______ ________ 265, 526, 980. 79 184, 787, 035. 42 450, 314, 016. 21 123, 601, 013. 58 4. Balance in general fund June 30,1929____ 326, 713, 002. 63 Total liabilities, reserves, and balance. 656, 044, 735. 09 i On basis of daily statement of the United States Treasury. * While this statement is designated a consolidated current balance sheet, it only includes the cash resources of the Government and those liabilities of the Treasury now required to be set up by law as an encumbrance of the cash assets. No account Is taken at present of the assets accrued and due or other liabilities incurred. a THE BUDGET, 1931 106 B u d g et S ta tem en t N o . 20 Statement oj operations/ general fund, jiscal year ended June 30, 1929 1 a 15 A. Receipts, by sources of revenue: 1. Internal-revenue receipts— 1. Income tax______________________________________________________________________ 2. Miscellaneous____________ -_______________________________________________________ Total internal-revenue receipts------------------------------------------------------------------------- $2, 330, 711, 822. 66 607, 307, 548. 98 2, 938, 019, 371. 64 a 15 2. Customs receipts______________________________________________ _____ ___________________ 602, 262, 786. 17 a 68 3. Miscellaneous receipts— 1. Interest, premium, and discount_________________________________________________ 2. Sale of Government property_____________________________________ ______________ 3. Net earnings, Federal reserve and intermediate credit banks (franchise ta x)--------4. Profits on coinage, bullion deposits, etc__________________________________________ 5. Revenue-producing enterprises____ ____________ _________________________________ 6. Rent of public buildings and grounds__________ ______ ___________________________ 7. Fees, fines, penalties, forfeitures, etc_____________________________________________ 8. Gifts and contributions__________________________________________________________ 9. Repayments of investments_________________________________ _______ ____________ 10. Assessments and reimbursements________________________ ________________________ ,11. District of Columbia receipts____________________________________________________ 12. Trust-fund receipts______________________________________________________________ 13. Other___________________________________________________________________________ Total receipts________________________________________________________________ 170, 676, 025. 40 14, 206, 040. 38 2, 842, 745. 01 5, 373, 407. 13 31, 421, 128. 34 902, 998. 82 24, 974, 649. 16 3, 103, 215. 36 57, 101, 430. 66 18, 066, 673. 37 33, 582, 680. 36 96, 643, 142. 87 34, 643, 336. 74 493, 537, 473. 60 569, 406. 36 492, 968, 067. 24 4, 033, 250, 225. 05 B. Expenditures, by character of expenditure: 1. Current expenses, including equipment_____ ____________________________________________ 1, 074, 541, 346. 87 T ota l-------------------- ---------- --------------------------- --------------------------------------------------Adjustment between receipts by warrant and cash receipts as per Treasury statement_____ Total miscellaneous receipts_________________________________________________ a67 2. Nonadministrative expenses 2— 1. Interest on public d eb t__________________________________________________________ 2. Pensions--------------------------------------------------------------------------------------------------------------3. Other______________________________________________________________ _____________ Total nonadministrative expenses 2_________________________________________________ 3. Construction work, including national-defense structures— 1. Rural post roads_________________________________________________________________ 2. Rivers and harbors______________________________________________________________ 3. Other public works______________________________________________________________ 4. 5. 6. 7. Total public works______________________________________ _____ ______________ District of Columbia___________________________________________________________________ Deficiencies in postal revenues*_______________________________________ ______ ___________ Operations in special accounts 3_________________________________________________________ Investments____________________________________________________________________________ 37, 911, 535. 60 94, 699, 744. 06 12, 074, 683. 85 25, 847, 509. 97 Total reduction in principal of public debt payable from ordinary receipts___ 370, 277. 100. 00 179, 326, 603. 75 549, 603, 703. 75 9. Special funds___________________________________________________________________________ 12, 787, 725. 64 10. Trust funds— 1. Investment of trust funds________________________________________________________ 2. Expenditure from trust funds____________________________________________________ Total trust funds________________________ i ___________________________________ Total expenditures___________________________________________________________ a 15 50 04 43 97 84, 006, 619. 00 83, 388, 415. 24 99, 062, 349. 15 266, 457, 383. 39 8. Reduction in principal of public debt, payable from ordinary receipts— 1. Sinking fund____________________________________________________________________ 2. Other____________________________________________________________________________ a67 678, 330, 399. 229, 549, 430. 660, 378, 388. 1, 568, 258, 217. C. Excess of ordinary receipts over expenditures payable therefrom______________________________ D. Balance in general fund at beginning of year__________________________________________________ E. Balance, and excess of ordinary receipts over expenditures payable therefrom_________________ F. Deduct amount of general fund applied through loan funds to redemption of public debt, in addition to sinking fund and restricted receipts_____________________________________________ G. Balance in general fund at end of year________________________________________________________ 165, 696, 366. 82 40, 594, 971. 71 206, 281, 338. 53 J , 848, 463, 189. 63 184, 787, 035. 42 265, 526, 980. 79 450, 314, 016. 21 123, 601, 013. 58 326, 713, 002. 63 * On basis of Treasuiy daily statement. • * Represents those disbursements of the Government which do not constitute expenses of administration, strictly speaking. Examples of such expenditures are interest on the public debt, pensions, grants, subsidies and contributions, refunds and drawbacks, indemnities, military and naval insurance, and the like. * These are net figures and make allowance for receipts and deposits credited to the accounts concerned. BUDGET STATEMENTS a 107 B udget S tatem ent N o . 21 Statement of operations,1 public-debt receipts and expenditures, fiscal year ended June SO, 1929 A. Public debt receipts and deposits: 1. Treasury bonds____________________________________________________________________ 2. Certificates of indebtedness_____________ ______ ____________________________________ 3. Treasury savings securities___________________ _____________________________________ 4. Postal savings bonds_______________________________________________________________ 5. Deposits for retirement of national-bank notes (act of July 14, 1890)_______________ 6. Treasury notes and certificates of indebtedness (adjusted service series)____________ 7. Treasury notes and certificates of indebtedness (civil-service retirement-fund series). 8. Treasury notes and certificates of indebtedness (Foreign Service retirement series) „ _ $359, 4, 637, 10, 2, 24, 127, 33, Total public-debt receipts and deposits. 042, 488, 015, 074, 536, 700, 000, 377, 950. 00 200. 00 227. 37 800. 00 457. 50 000. 00 000. 00 000. 00 5, 194, 234, 634. 87 B. Public-debt expenditures: 1. Interest-bearing debt— 1. Certificates of indebtedness___________________________________________________________ 2. War savings securities____________________________1____________________________ _______ 3. Treasury savings securities____________________________________________________________ 4. Treasury notes and certificates of indebtedness (adjusted service series)_______________ 5. Treasury notes and certificates of indebtedness (Foreign Service retirement-fund series) 6. Liberty bonds and Victory loan notes_______________________________________ _________ 7. Treasury notes______________________________________________________________ _____ ____ 8. Treasury bonds_______________________________________________________________________ Total expenditures, interest-bearing debt_______________ 2. D ebt bearing no interest— Miscellaneous debt items________ 3. National-bank notes and Federal reserve bank notes retired. 4, 240, 031, 56, 140, 998, 16, 500, 27, 1, 247, 725, 184, 950, 12, 695, 300. 548. 153. 000. 000. 100. 050. 000. 00 25 45 00 00 00 00 00 5, 842, 983, 151. 70 109, 944. 00 24, 346, 256. 50 Total public-debt expenditures_________________________________________________________ 5, 867, 439, 352. 20 C. Redemptions of the public debt required to be paid from ordinary receipts (for details see page a32)___________________________________________________________________________________ D. Additional redemptions of the public debt (net)_______________________________ ________________ 549, 603, 703. 75 123, 601, 013. 58 E. Total redemptions of the public debt (n et)_____________________________________________________ 673, 204, 717. 33 1On basis of daily Treasury statement. B udget Statem ent N o . 22 Consolidated statement of operations,1fiscal year ended June 30, 1929 [general fund and public - debt (loan ) funds ] Reference to statement No. 1 21 Item Fiscal year 1929 A. Receipts: 1. Ordinary receipts (general fund)__ ______________ ______________ _ _ _ _ __________ 2. Public-debt (loan) funds - ______ - ~ ____________ _ . $4, 033, 250, 225. 05 5, 194, 234, 634. 87 Paf?e a 15 a 107 Total receipts ^ __ _____ __ „ „ __ ______________ _ __ ________ 9, 227, 484, 859. 92 1 B. Expenditures: 20 21 a 106 a 107 1 1. General fund - ______ _ ________ _____________ ____ 2. Public-debt (loan) fu n d s2__ _____ _ __ ______________ Total expenditures___ 1 a 15 1 a 15 _ ____ _ __ ______ __________ __ _________ ___ 9, 166, 298, 838. 08 C. Excess of receipts over all expenditures. _ ____________ ______ __ _ ________________ _____ D. Balance in general fund at beginning of year, Julv 1, 1928 ___________ . * _ _______ 61, 186, 021. 84 265, 526, 980. 79 j E. Balance in general fund at end of year, June 30, 1929_____________ 1 On basis of Treasury daily statement. 1 Excludes redemptions of debt payable from " Ordinary receipts." _ 3, 848, 463, 189. 63 5, 317, 835, 648. 45 ____________ These are included in generaMund expenditures. _ 326, 713, 002. 63 a108 t h e b u d g e t , 1931 B udget S tatem ent No. 23 PUBLIC DEBT OF THE UNITED STATES Summary statement oj outstanding debt at close oj business June 30,1929, compared with June 80,1928, and June 30,1916 [On basis of revised figures reported in the *‘Statement of the Public Debt of the United States"] Outstanding debt Description of loan A. Interest-bearing debt (see Statement 24, p. a 109): I. Bonds— 1. Pre-war_______________________________ 2. War (Liberty loan bonds)______________ 3. Treasury bonds___________ ____________ Total bonds______________ 2. Treasury notes__________________ 3. Certificates of indebtedness— Tax. 4. War-savings securities 2__________ Total interest-bearing debtB. Matured debt on which interest has ceased: 1. Pre-war loans_________________________ 2. War loans_____________________________ Total matured debt on which interest has ceased________________________ C. Debt bearing no interest. D. Total gross debt *_______ _____________ E. Plus matured interest obligations, etc.4. June 30, 1929 June 30, 1928 1770, 207, 310. 00 8, 217, 508, 450. 00 3, 136, 986, 600. 00 $768, 132, 510. 00 9, 462, 046, 350. 00 2, 790, 638, 650. 00 12, 124, 702, 360. 2, 861, 011, 500. 1, 640, 199, 500. 13, 028, 019. 00 13, 020, 817, 510. 00 2, 900, 000, 550. 00 1, 252, 408, 000. 35 144, 469, 036. 00 00 00 45 16, 638, 941, 379. 35 17, 317, 695, 096. 45 Decrease in fiscal year 1929 Outstanding debt June 30, 1916 1 $2, 074, 800. 00 1, 244, 537, 900. 00 * 346, 347, 950. 00 $967, 172, 590. 00 00 00 00 10 967, 172, 590. 00 4, 390, 000. 00 678, 753, 717. 10 971, 562, 590. 00 896, 38, 1 387, 131, 115, 989, 791, 441, 150. 050. 500. 017. 1, 914, 180. 26 48, 837, 219. 00 2, 023, 210. 26 43, 308, 450. 00 109, 030. 00 1 5, 528, 769. 00 1, 473, 100. 26 50, 751, 399. 26 45, 331, 660. 26 5, 419, 739. 00 1, 473, 100. 26 241, 504, 968. 99 241, 263, 806. 22 241, 162. 77 252, 109, 877. 27 16, 931, 197, 747. 60 17, 604, 290, 562. 93 136, 063, 842. 90 123, 505, 274. 98 673, 092, 815. 33 1 12, 558, 567. 92 1, 225, 145, 567. 53 17, 061, 950. 25 F. Total gross debt plus matured interest obliga tions, etc______________________________________ 17, 067, 261, 590. 50 17, 727, 795, 837. 91 C . Less offsets to debt: 5 Cash balance held by Treasurer of the United States as per daily Treasury statements of June 30______________________________________ 324, 506, 850. 83 265, 526, 980. 79 660, 534, 247. 41 1, 242, 207, 517. 78 1 58, 979, 870. 04 236, 879, 590. 90 H. Net debt, including matured interest obligations, etc.5___________________________________________ 16, 742, 754, 739. 67 17, 462, 268, 857. 12 719, 514, 117. 45 1, 005, 327, 926. 88 * Increase. * Amounts issued of Treasury (war) savings certificates of the series of 1919, 1920, and 1921 are on basis of reports of sales, taken at issue price; amounts retired are on basis of redemption value. Amounts issued and amounts outstanding of Tresaury savings certificates, issue of Dec. 15,1921, series of 1921 and 1922, and issue of Sept. 30,1922, series of 1922 and 19©, are on basis of net redemption value, partly estimated, and for the issue of Dec. 15,1921, include receipts from sales of Treasury savings stamps. 1The total gross debt June 30,1923, on the basis of daily Treasury statements was $18,511,908,931.85, and the net amount of public-debt redemptions and receipts in transit, etc., WBS $1*732*665.75# 1 ^ru e d discount calculated on basis of exact accrual at rate of 4 per cent per annum compounded quarterly, with due allowance for cash redemptions to date. * No deduction is made on account of obligations of foreign governments or other investments. * a109 BUDGET STATEMENTS B u d g e t St a t e m e n t N o. 24 PUBLIC DEBT OF THE UNITED STATES Detail statement oj outstanding debt at close oj business June 30, 1929, compared with June 30, 1928, and June 30, 1916 Description of loan A . Interest-bearing debt: 1. Bonds— 1. Pre-war— 2 per cent consols of 1930 ____ 4 per cent loan of 1925________ 2 per cent Panamas of 1916-1936 2 per cent Panamas of 1918-1938 3 per cent Panamas of 1961____ 3 per cent conversion bonds of 1946-47_____________________ 2J4 per cent postal savings bonds (1st to 22d series)___________ 2)4 per cent postal savings bonds (1st to 34th series) 3 per cent loan of 1908-1918___ 2 # per cent postal savings bonds (1st to 36th series) Interest rate (per cent) Total, first Liberty loan Third Liberty loan— 4% per cent bonds of 1928** Fourth Liberty loan— 4}i per cent bonds of 19331938_______ June 30, 19:8 2 4 2 2 3 $599, 724, 050. 00 $599, 724, 050. 00 48, 954, 180. 00 25, 947, 400. 00 49, 800, 000. 00 48, 954, 180. 00 25, 947, 400. 00 49, 800, 000. 00 3 28, 894 500. 00 28, 894, 500. 00 Total Treasury notes 3 * Increase. 00 00 00 00 00 5, 900, 600. 00 $14, 812, 380. 00 1 16, 887, 180. 00 770, 207, 310. 00 768, 132, 510. 00 1 2, 074, 800. 000 3X 1, 397, 685, 200. 00 1, 397, 686, 200. 00 1, 000. 00 5, 155, 450. 00 5, 155, 650. 00 200. 00 4}i 532, 816, 100. 00 532, 820, 150. 00 4, 050. 00 4% 3, 492, 150. 00 3, 492, 150. 00 1, 939, 148, 900. 00 1, 939, 154, 150. 00 5, 250. 00 1, 228, 848, 600. 00 1, 228, 848, 600. 00 4}i 4 H 6, 278, 359, 550. 00 6, 294, 043, 600. 00 15, 684, 050. 00 8, 217, 508, 450. 00 9, 462, 046, 350. 00 1, 244, 537, 900. 00 762, 1, 042, 491, 494, 3, 5, 2, 1, 1 359, 758, 984, 300. 4/4 4 1, 036, 834, 500. 489, 087, 100. 3/4 493, 037, 750. 3J£ 359, 042, 950. 3 /8 00 00 00 00 00 320, 401, 212, 704, 300. 500. 100. 750. 00 00 00 00 12, 124, 702, 360. 00 13, 020, 817, 510. 00 3H 1, 138, 047, 400. 00 603, 015, 550. 00 3H 513, 046, 550. 00 3M 4 4 4 4 4 4 550. 900. 980. 000. 000. 63, 945, 460. 00 16, 887, 180. 00 Total bonds__________ *2. Notes— Treasury notes— Series A 1930-1932 ____ ______ B 1930-1932.. ......... C 1930-1932____________ Adjusted service— Series A 1930________ _ . _ __ A 1931__________________ B 1931_________________ A 1 9 3 2 „_ _____ __________ A 1933____________ _____ A 1934__________________ ‘ Civil service retirement fund— Series 1931____ * _ * i 1932_____________________ 1933 . Foreign Service retirement fund— Series 1933 - 259, 489, 456, 875, 000, 8, 245, 100. 00 14, 812, 380. 00 2H 3 4 Outstanding debt June 30, 1916 $636, 118, 54, 29, 50, 2% Total war bonds 3. Treasury bonds— Bonds of 1947-1952 Bonds of 1944-1954 Bonds of 1946—1956 * Bonds of 1943-1947 Bonds of 1940-1943 Decrease in fiscal year 1929 June 30, 1929 Total pre-war bonds______ 2. War (Liberty loan bonds)— First Liberty loan— per cent bonds of 19321947-Converted 4 per cent bonds of 1932-1947 Converted 4}i per cent bonds of 1932-1947_____ Second converted 4}i per cent bonds of 1932-1947_ Outstanding debt 15, 53, 70, 123, 123, 127, 000, 500, 000, 400, 400, 700, 000. 000. 000. 000. 000. 000. 00 00 00 00 00 00 1, 215, 153, 200. 00 615, 095, 700. 00 607, 399, 650. 00 31, 53, 70, 123, 123, 500, 500, 000, 400, 400, 000. 000. 000. 000. 000. 00 00 00 00 00 336, 567, 125, 667, 042, 000. 000. 000. 000. 950. 967, 172, 590. 00 00 00 00 00 00 896, 115, 150. 00 967, 172, 590. 00 77, 105, 800. 00 12, 080, 150. 00 94, 353, 100. 00 4, 390, 000. 00 16, 500, 000. 00 1 127, 700, 000. 00 4 4 4 31, 200, 000. 00 14, 400, 000. 00 47, 800, 000. 00 31, 200, 000. 00 14, 400, 000. 00 14, 800, 000. 00 1 33, 000, 000. 00 4 502, 000. 00 152, 000. 00 1 350, OOO 00 2, 861', 011, 500. 00 2, 900,000, 550. 00 38, 989, 050. 00 4,390, o o a 00 THE BUDGET, 1931 A llO PUBLIC DEBT OF THE UNITED STATES---- C o n tin u e d No. 24.—Detail statement of outstanding debt at close of business June 30, 1929, compared with June 30, 1928, and June 80, 1916— C o n tin u e d Description of loan Outstanding debt Inttrcst rate (p?r cint) A. Interest-bearing debt— Continued. 3. Certificates of indebtedness— Tax— Series T D -19 28-------- ------------T D 2-1928____________ TD 3-1928____________ T M -192 9______________ TM 2-1929____________ TS-1929_______________ TS 2-1929_____________ T D -19 29______________ T D 2-1929____________ T M -193 0______________ Total tax certificates. 4. War savings securities2— 1. Treasury savings certificates, se ries 1923, issue of Sept. 30, 1922 2. Treasury savings certificates, se ries 1923, issue of Dec. 1, 1923.. 3. Treasury savings certificates, se ries 1924, issue of Dec. 1, 1923._ Total war savings securities. Total interest-bearing debt outstanding______________ B. Matured debt on which interest has ceased (payable on presentation): 1. Old debt matured at various dates prior to Apr. 1 1917_____________ 2. Certificates of indebtedness, at vari ous interest rates, matured________ 3. 4 per cent Second Liberty Loan of 1927-42_________________________ 4. 4}i per cent Second Liberty Loan of 1927-42_________________________ 3% $261, 201, 216, 360, 211, $307, 202, 273, 452, 404, 1, 640, 806, 818, 169, 197, 209, 199, 000. 000. 000. 000. 500. 500. Doorcase in fiscal year 1929 j Outstanding debt June ' 30. 1916 $261, 201, 216, 360, 211, ' 307, 1202, 1 273, 1 452, 1 404, 1387, ! ! 1 ! June 30, 1928 June 30, 1929 00 00 00 00 00 00 761, 544, 371, 947, 784, 000. 500. 500. 000. 000. 00 00 00 00 00 1, 252, 408, 000. 00 761, 544, 371, 947, 784, 806, 818, 169, 197, 209, 791, 000. 500. 500. 000. 000. 000. 000. 000. 000. 500. 500. 00 00 00 00 00 00 00 00 00 00 00 4 27, 431, 326. 85 27, 431, 326. 85 3 4H 23, 302, 602. 90 23, 302, 602. 90 93, 735, 106. 70 144, 469, 036. 45 80, 707, 087. 35 131, 441, 017. 10 16, 638, 941, 379. 35 17, 317, 695, 096. 45 678, 753, 717. 10 $971, 562, 590. 00 1, 914, 180. 26 2, 023, 210. 26 109, 030. 00 1, 473, 100. 26 12, 832, 700. 00 3, 162, 700. 00 ' 9, 670, 000. 00 1, 498, 300. 00 2, 475, 900. 00 977, 600. 00 8, 106, 550. 00 30, 271, 600. 00 22,165, 050. 00 1, 702, 450. 00 22, 350. 00 2, 198, 050. 00 » 20, 453, 400. 00 1, 350. 00 495, 600. 00 619, 900. 00 3, 602, 919. 00 2, 030, 900. 00 3, 146, 950. 00 1, 411,000.00 • 455, 969. 00 50, 751, 399. 26 45, 331, 660. 26 1 5, 419, 739. 00 346, 681, 016. 00 156, 039, 088. 03 190, 641, 927. 97 346, 681, 016. 00 156, 039, 088. 03 190, 641, 927. 97 346, 681, 016. 00 152, 979, 025. 68 193, 701, 990. 37 53, 012. 50 53, 012. 50 53,152. 50 45, 337, 150. 50 1, 991, 560. 04 45, 039, 852. 00 1, 992, 474. 04 297, 298. 50 914.00 3, 481, 317. 98 3, 536, 539. 71 55, 221. 73 241, 504, 968. 99 I 241, 263, 806. 22 16, 931, 197, 747. 60 }17, 604, 290, 562. 93 1 241, 162. 77 673, 092, 815. 33 34H 13, 028, 019. 35 13, 028, 019. 35 5. 4}i per cent Third Liberty Loan of 1928____________________________ 6. 3% per cent Victory notes of 1922-23.. 7. 4% per cent Victory notes of 1922-23.. 8. Treasury notes at various interest rates, matured____________________ 9. Treasury savings certificates_________ Total matured debt outstanding on which interest has ceased___ C. Debt bearing no interest (payable on pres entation) : 1. Obligations required to be reissued when redeemed— United States notes________________ Less gold reserve___________________ Excess of notes over reserve........ .. 2. Obligations that will be retired on presentation— Old demand notes____________ ;_____ National-bank notes and Federal re serve bank notes assumed by the United States on deposit of lawful money for their retirement_______ Fractional currency________________ Thrift and Treasury savings stamps, unclassified sales, etc_____________ Total debt bearing no interest outstanding_______________ D. Total gross d e b t 4_________________________ 20, 453, 400. 00 21, 000. 00 1, 473, 100. 26 51, 506, 237. 50 6, 848, 496. 90 252, 109, 877. 27 1, 225, 145, 567. 53 1Increase. 2 Amounts Issued of Treasury (war) savings certificates of the series of 1919, 1920, and 1921 are on basis of reports of sales, taken at issue price; amounts retired are on basis of redemption value. Amounts issued and amounts outstanding of Treasury savings certificates, issue of Dec. 15,1921, series of 1921 and 1922, and issue of Sept. 30, 1922, series of 1922 and 1923, are on basis of net redemption value, partly estimated, and for the issue of Dec. 15,1921, include receipts from sales of Treasury savings stamps. 3Average rate. * The total gross debt June 30, 1928, on the basis of daily Treasury statements was $18,511,906,931.85 and the net amount of public-debt redemptions and receipts in transit, etc., was $1,732,665.75. BUDGET STATEMENTS A lii PUBLIC DEBT OF THE UNITED STATES— C o n tin u e d No. 24.—Detail statement oj outstanding debt at close oj business June 30, 1929, compared with June 30, 1928, and June SO, 1916—Continued Description of loan E. Plua matured interest obligations, etc.: 1. Maturpd interest obligations out standing__________________________ 2. Discount accrued (partly estimated) on war savings securities, matured _______ series 2________ 3. Treasury warrants and checks out standing_________ _______ _________ 4. Disbursing officers' checks outstand ing--------------------------------------- --Total matured interest obli gations, etc______ _____ F. Total gross debt, plus matured interest obligations, etc__________ _______ __ G . Less offsets to d e b t:3 Cash balance held by Treasurer of the United States as per daily Treasury statements of June 30_____________ H. Net debt, including matured interest obli gations, etc.3 _________________ _______ Interest rate (per cent) Outstanding debt June 30, 1929 June 30, 1928 Decrease in fiscal year 1929 Outstanding debt June 30, 1916 $909, 616. 85 $32, 772, 251. 84 $37, 310, 065. 54 $4, 537, 813. 70 5, 697, 400. 00 6, 471, 855. 00 774, 455. 00 2, 057, 912. 95 1, 704, 346. 79 1 353, 566. 16 2, 309, 205. 14 95, 536, 278. 11 78, 019, 007. 65 1 17, 517, 270. 46 13, 843, 128. 26 136, 063, 842. 90 123, 505, 274. 98 1 12, 558, 567. 92 17, 061, 950. 25 17, 067, 261, 590. 50 17, 727, 795, 837. 91 660, 534, 247. 41 1, 242, 207, 517. 78 265, 526, 980. 79 1 58, 979, 870. 04 236, 879, 590. 90 16, 742, 754, 739. 67 17, 462, 268, 857. 12 719,514, 117. 45 1, 005, 327, 926. 88 324, 506, 850. 83 1Increase. JAccrued discount calculated on basis of exact accrual at rate of 4 per cent per annum compounded quarterly, with due allowance for cash redemptions to date. 3 No deduction is made on account of obligations of foreign governments or other investments. B udget Statement N o . 25 Securities owned by the United States Government, June 30, 1929 June 30, 1928 Bonds of foreign governments, funded debts_______ _____________ Obligations of foreign governments, cash advances less repayments of principal (acts Apr. 24 and Sept. 24, 1917)2_________ _______ Foreign obligations, sale of surplus war supplies 3_______ __________ Foreign obligations, American Relief Administration 2_ _ __ ____ Foreign obligations, U. S. Grain Corporation 2_________________ __ Capital stock, U. S. Emergency Fleet Corporation, net_________ Capital stock, U. S. Housing Corporation, net____________________ Capital stock, V . S. Spruce Production Corporation_______________ Equipment trust 6 per cent gold notes, act Mar. 21, 1918, M. & St. L. R. R. C o ______ _________________ * ________ __ ____ Obligations of carriers, sec. 207, act Feb. 28, 1920 __________ _ Obligations of carriers, sec. 210, act Feb. 28, 1920_______________ Capital stock, Panama Railroad C o _________________ _ ______ Capital stock, Inland Waterways Corporation__ _____ Capital*stock, Federal land banks____________ _ _____ Capital stock, Federal intermediate credit banks--------------------Securities, sale of surplus war supplies, War Department___ _ __ Securities, sale of surplus war supplies, Navy Department______ Securities, sale of ships, Shipping Board _____ ____________ Total_____________ _______________________________________ June 30, 1929 Decrease $7, 198, 879, 927. 93 $7, 257, 927, 794. 93 1 $59, 047, 867. 00 3, 202, 264, 448. 20 453, 620, 178. 78 18, 921, 966. 41 30, 860, 452. 51 24, 314, 496. 62 30, 683, 508. 89 99, 993. 00 3, 161, 211, 695. 19 428, 642, 157. 79 18, 921, 966. 41 30, 860, 452. 51 13, 020, 304. 92 29, 023, 596. 47 99, 993. 00 41, 052, 753. 01 24, 978, 020. 99 235, 200. 00 5, 112, 300. 00 69, 261, 448. 38 7, 000, 000. 00 5, 000, 000. 00 555, 700. 00 25, 000, oeo. 00 1, 194, 960. 91 6, 266, 889. 28 29, 679, 7M. 99 201, 600. 00 5, 112, 300. 00 57, 384, 791. 99 7, 000, 000. 00 7, 500, 000. 00 383, 028. 75 30, 000, 000. 00 928, 000. 00 5, 770, 651. 08 61, 061, 826. 83 i’ 2,’ 500,’ ooa 00 172, 671. 25 1 5, 000, 000. 00 266, 960. 91 496, 238. 20 1 31, 382, 091. 84 11, 108, 951, 205. 90 11, 115, 050, 159. 87 6, 098, 953. 97 1, 000, 000. 00 64, 969, 454. 54 3, 440, 417. 44 10, 000. 00 238, 200. 70 3,424,611.29 990, 000. 00 64, 731, 253. 84 15, 806. 15 11, 294, 191. 70 1, 659, 912. 42 33, 600. 00 ------------- M EM O RAND UM Capital stock, War Finance Corporation____ __ ____ Offset by cash deposited in Treasury to credit of corporation._ Amount due United States, Pacific Railroad aid b o n d s ............. ...... •Increase. 2 Accrued and unpaid interest not included. a 112 THE BUDGET, 1931 CUMULATIVE SINKING FUND STATEMENTS REPORTED BY THE SECRETARY OF THE TREASURY B u d get S t a te m e n t No. 26 Cumulative sinking fund account, fiscal year 1929 Credits Debits A. Balance at beginning of year July 1, 1928. B. Sinking fund appropriations: 1. 2H per cent of aggregate amount of Liberty bonds and Victory notes out standing on July 1, 1920, less par amount of obligations of foreign gov ernments purchased under the several Liberty loan acts and held by the United States on July 1, 1920 (sec. 6, Victory Liberty loan act of Mar. 3, 1919).................. ...................................... 2. Interest (par. (a), sec. 6, act approved Mar. 3, 1919, as amended by act ap proved Mar. 2, 1923)— (1) One year’s interest on bonds and notes purchased or re deemed prior to July 1, 1928. Interest on bonds and notes (2) purchased or redeemed dur ing fiscal year 1929__________ Total debits. $838. 07 C. Expenditures on account of principal: Net cash expenditures____________ D. Balance at end of year June 30, 1929- $370, 241, 297. 84 29. 48 253, 404, 864. 87 108, 207, 990. 27 8, 627, 633. 81 370, 241, 327. 02 Total credits. 370, 241, 327. 02 B u d g e t S t a t e m e n t N o. 27 Cumulative sinking fund account, estimated for fiscal year 1930 A. Balance at beginning of year July 1, 1929----$29. 18 B. Sinking fund appropriations: 1. 2# per cent of aggregate amount of Liberty bonds and Victory notes out standing on July 1, 1920, less par amount of obligations of foreign gov ernments purchased under the several Liberty loan acts and held by the United States on July 1, 1920 (sec. 6, Victory Liberty loan act of Mar. 3, 1919)________________- _______________ 253, 404, 864. 87 2. Interest (par. (a), sec. 6, act approved Mar. 3, 1919, as amended by act ap proved Mar. 2, 1923)— (1). One year’s interest on bonds and notes purchased or re deemed prior to July 1, 1929 (estimated)_________________ 123, 905, 360. 28 (2) Interest on bonds and notes purchased or redeemed dur ing fiscal year 1930 (esti mated) _ ------- ----------------------5, 409, 745. 67 Total debits____ _____ ___ 382, 720, 000. 00 C. Expenditures on account of principal (esti mated) : Net cash expenditures_______________ Total credits______________ ______ _ J $382, 720, 000. 00 382, 720, 000. 00 B u d g e t S t a t e m e n t N o . 28 Cumulative sinking fund account, estimated for fiscal year 1931 Sinking fund appropriations: 1. 2H per cent of aggregate amount of Liberty bonds and Victory notes out 9 standing on July 1, 1920, less par amount of obligations of foreign gov ernments purchased under the several Liberty loan acts and held by the United States on July 1, 1920 (sec. 6, Victory Liberty loan act of Mar. 3, $253, 404, 864. 87 1919)_________________ __________ 2. Interest (par. (a), sec. 6, act approved Mar. 3, 1919, as amended by act ap proved Mar. 2, 1923)— (1) One year’s interest on bonds and notes purchased or re deemed prior to July 1, 1930 (estimated)_________________ 137, 604, 336. 52 (2) Interest on bonds and notes purchased or redeemed dur ing fiscal year 1931 (esti 4, 614, 798. 61 mated) _____________________ B. Expenditures on account of principal (esti mated) : Net cash expenditures________________ 395, 624, 000. 00 Total c r e d its ..___________*______ 1_ $395, 624, 000. 00 a 113 BUD GET STATEM ENTS B u d g e t S ta te m e n t N o . 29 Proposed public-debt issues and redemptions and purchases, fiscal year 1931, compared with prior years fOn basis of daily Treasury statements] Fiscal year J931 Fiscal year 1930 Fiscal year 1929 EXPENDITURES Certificates of indebtedness and Treasury bills...................................... Victory notes.......................................................................................... Second Liberty loan bonds................................................................... . Third Liberty loan bonds..................................................................... Fourth Liberty loan bonds......................................................... .......... Treasury notes and bonds and Liberty bonds....................................... Treasury notes and certificates of indebtedness adjusted service series.. Treasury (War) savings securities.......................................................... Retirements of Federal reserve bank notes and national-bank notes... Old debt items....................................................................................... Total public-debt expenditures........................................................ . Deduct:1 Debt expenditures chargeable against ordinary recepits (as above)— Sinking fund........................................... — .................................... Redemptions from cash repayments of principal by foreign govern ments............................................................................................ Received from foreign governments under debt settlements_______ Retirements from Federal reserve bank and Federal intermediate credit bank franchise-tax receipts....... ....... .................................... Received from estate taxes................... ............................................ . Retirements from gifts, forfeitures, etc.......................................... . $1,500,000,000.0Q 200,000.00 1,000,000.00 1,000,000.00 640,000,000.00 18,000,000.00 1,000,000.00 21,000,000.00 100,000.00 $1,600,000,000.00 300.000.00 5,000,000.00 15.000.000.00 10.100.000.00 550,000,000.00 17.000.000.00 15.000.000.00 23.000.000.00 200.000.00 $1,255,116,800.00 497.950.00 23.141.700.00 1,208,396,150.00 15.684.050.00 >97,650,300.00 16,500,000.00 141,054,701.70 24,346,256.50 109.944.00 2,182,300,000.00 2,235,600,000.00 2,882,497,852.20 $395,624,000.00 $389,191,500.00 $370,277,100.00 1,800,000.00 231,500,000.00 20,050,000.00 214,700,000.00 571,150.00 175,642,350.00 6,200,000.00 6,210,000.00 54,100.00 160,000.00 2,933,400.00 20,000.00 159,703.75 200,000.00 635,324,000.00 630,365,600.00 549,603,703.75 1,546,076,000.00 1,605,234,400.00 2,332,894,148.45 20,000,000.00 1,404,187,034.00 550,000.00 22,500,000.00 1,295,416,844.00 10,015,227.37 24,536,457.50 2,174,741,450.00 1,424,187,034.00 1,318,466,844.00 2,209,293,134.87 122,788,966. Op i 286,767,556.00 * 123,601,013.58 RECEIPTS Treasury savings securities....... ............................................................. Deposits to retire Federal reserve bank notes and national-bank notes. New issues of securities...................................... .................................... Total public-debt receipts..................................................................... Excess of public-debt retirements over the retirements chargeable against ordinary receipts due to indicated surplus in ordinary receipts, and de crease in general-fund balance...... ............................................................... 1 Estimated surplus $225,531,534. The sum of $286,767,556 includes $61,186,021.84 carried over from 1929 as an increase in the general-fund balance. 1Surplus, $184,787,035.42. Difference of $61,186,021.84 carried over to 1930 as an increase in the general-fund balance. N ote .— The expenditures on account of Treasury certificates of indebtedness and the receipts on account of new issues of securities, as shown in this statement, do not include Treasury certificates which are issued and retired within the same fiscal year. a114 t h e b u d g e t , 1931 B u d g e t S t a t e m e n t N o. 30 Statement summarizing and comparing by classification services and grades jor the fiscal years 1 9 3 1 , 1 9 3 0 , and 1 9 2 9 , the average number oj employees, the average salary rates, and the total salaries oj the personnel oj the executive departments and independent establishments in the District oj Columbia, classified under the act oj March 4 j 1 9 2 3 , as amended Estim ated expenditures, 1931 Classification service and grade b y departm ent or establishment Average num ber o f em ployees Professional and scientific service: Grade 9, in excess of $9,0 0 0 1 Board of Tax A p peals.......... ................................................. ......... Interstate Com m erce Com m ission __________ ______________ U. S. Shipping B oard............................... ................................ . D epartm ent of the Interior________________________________ D epartm ent of Justice___________________________ __________ T otal................................................ ...... .............................. ^ ra d e 8, $8,000 to $9,000; aveiage, $8,5 0 0 E m ployees' C om pensation C om m ission................................... Federal Board for Vocational E ducation_________ _________ Fedeial Power C om m ission___ . . *.................. ............................ Federal T rade Com m ission, ........ General A ccounting Office, .... ____ Interstate Com m erce C om m ission .................................... - . . . N ational A d visory nornm ittee for Aeronautics___ Tariff C om m issio n ._______ ______________ __________________ U nited States V eteians’ B u re a u .. ______ . _____ . * . . D epartm ent of A griculture_________________ *........... . * . . . D epartm ent of C om m erce........................ . . . . . __ D epartm ent of the In te rio r._______________________ _______ Departm ent of Ju stice................................................................ D epartm ent of Labor............................... . . ........ ................... Post Office D epartm ent___________________ _______________ State D epartm ent__ _ . . . . . . . . _____ . . . . . . . D istrict of C olu m bia ....... ............ ...................... . . T ota l.......... ................................................... .................................. G rade 7, $6,500 to $7,500; average, $7,000— C ivil Service C om m ission.......................... ........... ........................ Federal B oard for Vocational E ducation........................ Federal Farm B o a rd . .......... .......................... Federal Pow er C om m ission..... .................................................... Federal R adio Com m ission..................... .......................... Federal Trade Com m ission........................................ ............ General A ccounting Office......................... . ............................... in t e r s t a t e Com m erce C om m ission.............................................. Smithsonian Institution_____________________________ ______ Tariff Com m ission ................ .......................... . ............ ........... U nited States Shipping B oa rd................. ......... .......................... U nited States Veterans’ B u reau.................................................. D epartm ent of Agriculture________________ __________ ______ D epartm ent of C o m m e r c e .. - __ *_____________ _______ . . . . . D epartm ent of the Interior . ............ ...................... D epartm ent of Justice...... .............................. .............. ............. D epartm ent of Labor * . . . . ___ *..................................... . . . N a v y D epartm en t. ________________. . ___. . . _______ State D epartm en t___ . . . _____. . _ __________ _______ Treasury D epartm ent ................. ........... . . . . . D istrict of C olu m bia............ ............................. ............ T o ta l____ ________________ ___________________ ____________ G rade 6, $5,fiC0 to $6,400; average, $6,000™ Board of Tax Appeals _____________ _________ _ .... Bureau of E fficien cy_________ . . . . . . . ___. . . . . . __________ C iv il Service C om m issio n .. . _______________ E m ployees' Com pensation C om m ission __________. . Federal Board for Vocational Education . . . . ______ Federal Farm B o a r d .____________________________________ . . Federa. R a d io Com m ission^____ ________. . . . . _____________ _ Federal T rade C om m ission.............. . . . ________ ______ _ General A ccounting O ffic e ..------- ----------------------------------------- Average salary rate Estim ated expenditures, 1930 Average num ber of em ployees Total salaries Average salary rate Total salaries Expended and obligated, 1929 Average num ber o f em ployee 51 Average salary rate Total salaries $10,000 10,000 10,000 10,000 10,000 11,790 10,000 $160,000 10,000 20,000 20,000 10,000 33,000 20,000 16 1 1.9 0.9 1 3 2 $10,000 7,900 10,000 10,000 10,000 11,363 10,000 $160,000 7,900 19,000 9.000 10.000 34,090 20,000 10,187 273,000 25.8 10,077 259,990 1 1 2.8 2 1 6 1 1 1 1 2 15 5.9 3 9 13 2 1 2 8 8,500 9,000 8,000 8,500 9.000 9.000 9.000 9.000 8.000 8,000 9,000 8,267 9,000 8,872 8,692 8,500 8,500 8,000 8,125 8,500 9,000 22,400 17.000 9,000 54.000 9,000 9.000 8.000 8,000 18,000 124,000 53,100 34,600 112,996 17,000 8,500 16,000 65,000 1 1 .1 1.9 1 5.9 1 1 .0 + 8,500 9.000 8,000 8,526 9.000 9.000 9.000 9.000 8.000 8,500 9,000 800 16,199 9.000 53,250 9.000 9.000 156 2 13.8 5 8 2.5 12.7 2 1 1.7 7.7 9,000 8.290 9,000 8,833 8,831 8.500 8.500 7,582 8,130 18.000 114,400 52,200 22,083 112,154 17,000 8,500 12,890 62,600 553,504 70.6 8,542 603,096 62.1 8,611 534,732 6,500 7,000 6,500 6.500 21,000 6.500 1 3 6,500 7,000 6,500 21,000 1 3 6,500 7,000 6,500 21,000 2 3 4 14 3 1 2 8 12.2 16 9 16.5 4 2 18 21 12 7,500 6,834 6,625 7,000 6.500 7.500 7.000 7.000 6,705 6,812 6,555 6,894 6,875 7.000 6,944 6,762 6,833 15,000 20,502 26,500 97,997 19,500 7,500 14.000 56.000 81,800 108,996 59,000 113,745 27,500 14.000 124,990 142,000 82.000 0.9 0.9 3 2.5 8 1.9 1.1 1 7,500 7,167 6,709 6,800 7,375 6,500 6,988 7,500 6,656 6,711 6,730 6,902 6,851 6,760 7,000 6,938 J 6,719 | 6,792 j 6,750 6,450 20,127 17.000 59.000 12,350 7,687 7,500 25,958 63,083 87,495 18,635 114,410 27,042 14,000 60,361 137,747 81,500 152.7 6,844 1,045,030 16 1 2 2 1 9 2 $10,000 10,000 10,000 10,000 10,000 10,778 10,000 $160,000 10,000 20,000 20,000 10,000 97,002 20,000 33 10,212 337,002 1 1 3 2 1 6 1 1 1 1 2 15 6 4 2 1 2 8 8,500 9.000 8.000 8,500 9,000 9,000 9.000 9.000 8.000 8,000 9.000 8,267 9.000 8,875 8,572 8.500 8,500 8,000 8,125 8,500 9,000 24.000 17.000 9.000 54,000 9.000 9.000 8.000 8,000 18,000 124,000 54,000 35,500 60,004 17.000 8,500 16.000 65,000 65 8,515 1 3 1 16 1 2 2 1 2.8 % * 26.8 I | * | i 1 j 1 3 4 14 3 1 2 5 10.2 14 5.3 16.9 4 2 10 21 12 7,500 6,834 6,625 7,000 6,500 7,500 7,000 7,000 6,721 6,856 | 6,594 6,884 6,875 7,000 6,950 6,738 6,792 7,500 20,502 26,500 97,997 19,500 7,500 14.000 35.000 68,550 95,994 24,950 116,344 27.500 I 14,000 69.500 141,500 81,500 3.9 9.4 13 2.7 16.7 4 2 8.7 20. 5 12 132.4 6,766 895,837 116.2 6,838 794,595 12 6,000 72,000 10,840 6,000 41,400 11,800 182,218 11,200 12.8 0.5 1 1 5.9 2 2 28 1.3 5,880 5,600 5,800 6,000 5,960 5,400 5.600 5,728 5.600 75,283 2,800 5,800 6,000 35,162 10,800 11,200 160,384 7,467 | 13 6,000 78,000 2 1 6 13 5,700 6,000 5,900 6,000 11.400 6,000 35.400 78,000 7 2 5,705 6,000 5,914 5,900 31 2 5,878 5,600 182,218 ; 11,200 ! 31 2 5,878 5,600 1 1.9 1 BUDGET STATEMENTS a 115 No. 30.— Statement summarizing and comparing by classification services and grades for the fiscal years 1931, 1930, and 1929f the average number oj employees, the average salary rates, and the total salaries of the personnel of the executive departments and independent establishments in the District of Columbia, classified under the act of March 4, 1923, as amended—Continued Estimated expenditures, 1931 Classification service and grade by department or establishment Professional and scientific service—Continued. Grade 6, $5,600 to $6,400; average, $6,000—Continued. Interstate Commerce Commission.................................... . National Advisory Committee for Aeronautics................... Smithsonian Institution................ ........................ ............ Tariff Commission..................................... ........................ U. S. Shipping Board ........... ............... ......... ............... ; U. S. Veterans' Bureau....................................................... Department of Agriculture.................................................. Department of Commerce................................................... Department of the Interior..-............................................. Department of Justice......................................................... Department of Labor........................................................... Navy Department*.............. ............................................ Post Office Department....................................................... State Department................................................................ Treasury Department.......— ......... .................................. War Department................................................................. District of Columbia....... . .................................................. Average number of em ployees Average salary rate Total salaries Estimated expenditures, 1930 Average number of em ployees Average salary rate Total salaries 69 1 3 10 $5,829 6,400 6,000 5,680 $402,213 6,400 18,000 56,800 57 1 3 10 $5,877 6,400 6,000 5,680 $335,016 6,400 18,000 56,800 38 138.6 79.6 39.2 46 2 24 2 12 47 10 4 6,000 5,753 5,925 5,767 5,669 5,900 5,750 5,800 5,833 5,915 5,795 5,900 228,000 797,348 471,670 226,068 260,774 11,800 137,999 11,600 69,996 278,000 57,950 23,600 29 128.1 67.7 31.2 45.8 2 23.7 2 5 47 9 4 6,000 5,764 5,962 5,867 5,676 5,900 5,718 5,800 5,600 5,898 5,778 5,800 Total................................................................................. 593.4 5,832 3,460,436 522.4 Grade 5, $4,600 to $5 200; average, $4,600Board of Tax Appeals.......................................................... Bureau of Efficiency................ ........................................... Civil Service Commission................................................... Employees' Compensation Commission.............................. Federal Board for Vocational Education............................. Federal Farm Board.................................... ....................... Federal Power Commission-.............................................. Federal Radio Commission.................................................. Federal Trade Commission............................. .................... General Accounting Office.................................................. Interstate Commerce Commission............. ........................ Public Buildings and Public Parks of the National Capital. Smithsonian Institution______ ________________ - _____ Tariff Commission. _______ _____________ _____________ TJ. S. Shipping Board................................ ...... ......... ......... U. S. Veterans* Bureau.................................................. ... Department of Agriculture........................ ........................ Department of Commerce-*-.............................. ............... Department of the Interior___ _______ ________________ Department of Justice.................................. ....................... Department of Labor........................................................... Navy Department......................................... ..................... Post Office Department............................... ....................... State Department............................................................ Treasury Department.......................................................... War Department___________ ______ _________________ District of Columbia.......... .................................... ......... 8 3 3 2 17 2 7 3 25 5 106 1 22 17 1 104 320.5 247.1 101.5 14 13.5 57 3 34 218 28 38 4,600 5,000 4,600 4,900 4,812 4, £00 4,714 4, £00 4,809 4,880 4,852 4,800 4,782 4,882 4,600 4,900 4,734 4,801 4,738 4,700 4,657 4,751 4,667 4,621 4,832 4,677 4,774 39,200 15,000 13,800 9,800 81,800 9,800 32,998 14,400 120,225 24,400 514,365 4,800 105,208 83,000 1,400.60 Total.................................................................................. Grade 4, $3,800 to $4,400; average, $4,100— Board of Mediation....................................... ...................... Board of Tax Appeals................................................ ......... Bureau of Efficiency............................................................ Civil Service Commission.................................................... Federal Board for Vocational Education....... ...................... Federal Farm Board............................................................ Federal Power Commission.............. .......... ....................... Federal Radio Commission*............................................... Federal Trade Commission.................................................. General Accounting Office................................................... Interstate Commerce Commission...................................... Smithsonian Institution........................ ............................. Tariff Commission.............................................................. United States Veterans' Bureau....................... .................. Department of Agriculture.................................................. Department of Commerce.................................................... Department of the Interior............................. .................... Department of Justice.......................................................... 62331—29------ xi Expended and obligated, 1929 Average number of em ployees Average salary rate Total salaries 174,000 738,414 403,648 183,061 259,955 11,800 135,519 11,600 28,000 277,200 52,000 23,200 52.7 .5 3 4.8 1 26.4 118.1 68.5 33.7 44.6 2 19 2 0.9 47.4 8.3 4 $5,868 6,200 6,000 5,724 5,600 5,945 5,723 5,853 5,774 5,682 5,416 5,744 5,800 5,703 5,888 5,694 5,800 $309,263 3,100 18,000 27,473 5,600 156,948 679,373 400,959 194,599 253,428 10,833 109,134 11,600 5,133 279,083 47,258 23,200 5,839 3,050,071 491.4 5,800 2,849,880 4 600 5 000 4,619 4,900 4,791 4,646 4,714 5,200 4,809 4,880 4,873 4,800 4,782 4,882 4,600 4,900 4,754 4,792 4,771 4,717 4,685 4,708 4,667 4,658 4,804 4,637 4,700 39,200 15,000 14,780 9,800 105 400 60,398 30,641 5,200 110,607 24,400 477,565 4,800 105,208 83 000 4, €00 475,300 1,414,280 1,140,772 482,311 63,204 49,193 267,940 14,000 65,212 1,047,193 125,200 159,800 8 3.6 5 1.8 17.7 11.7 5.9 3 23.4 5.9 112.1 4,699 4,893 4,720 4,729 4,783 4,632 4,715 4,800 4,720 4,850 4,806 37,598 17,615 23,600 8,513 84 667 54,194 27,819 14,400 110,448 28,617 538,753 20.6 23.2 0.1 93.5 277.3 234 1 98.2 15.2 11.2 57.9 3 9.7 217.1 26.9 30.6 4,693 4,768 4,600 4,835 4,766 4,712 4,711 4,740 4,702 4,717 4,667 4,598 4,810 4,649 4,698 96,680 110,615 509,600 1,517,229 1,186,482 480,891 65,804 62,880 270,804 14,000 157,114 1,053,394 130,944 181,400 8 3 3.2 2 22 13 6.5 1 23 5 98 1 22 17 1 97 297.5 237.6 101.1 13.4 10.5 56.9 3 14 218 27 34 452,073 1,321,703 1,104,060 462,640 72,052 52,663 273,137 14,000 44,600 1,044,202 125,062 143,760 4,786 6,703,938 1,335.70 4,788 6,395,004 1,316.70 4,757 6,263,961 1 1 1 6 10 4 1 4,000 4,100 4,000 3,800 4,020 3,800 4,200 4,000 4,100 4,000 22,800 40,200 15,200 4,200 4,000 4,100 4,000 3,800 3,840 3,800 4,200 3,825 3,800 4,100 3,825 2,858 2,870 3,800 3,800 22,998 16,200 12 3,833 4,050 3,871 3,800 3,900 4,000 4,100 4,000 20,900 38,400 3,800 4,200 4,000 19,200 1 0.7 0.7 1 6 4 62 1 1 1 5.5 10 1 1 1 5 41 4,100 109 48.5 3,842 3,898 3,812 8 3,800 1 32.2 4, eoo 239,998 3,800 46,800 168,100 418,786 4 36 16,200 141,200 3,900 4,100 3,859 3,886 3,805 3,806 46,800 102; 500 335,740 92,884 155,992 35,799 1.1 2 2.9 2.5 12.1 0i4 12 25 125,537 87 23.9 184,886 41 30,400 4,000 3,840 4,050 3,922 9.4 5.5 iae 38,5 9l2 20 6.7 3,927 4,000 3,735 3,994 3,875 3*800 3,848 3,792 3,803 3,841 3,800 3,806 4eo 4,320 8,000 10,832 9,964 46,890 1,530 21,164 4M96 146*399 35,398 76,000 20*501 a THE BUDGET, 1931 116 No. 30.—Statement summarizing and comparing by classification services and grades for the fiscal years 1931, 1930, and 1929, the average number of employees, the average salary rates, and the total salaries of the personnel of the executive departments and independent establishments in the District of Columbia, classified under the act of March 4t 1923, as amended—Continued Estimated expenditures, 1931 Average number of em ployees Classification service and grade by department or establishment Average salary rate Total salaries Estimated expenditures, 1930 Average number of em ployees Average salary rate Total salaries Expended and obligated, 1929 Average number of em ployees Average salary rate Total salaries Professional and scientific service—Continued. Grade 4, $3,S00 to $4,400; average, $4,100—Continued. 1 25 State Department____ ... ____________ ______ ____ Treasury Department....... - _____________ ________ _ S War Department_____ _________ _________ _________ _ i District of Columbia.................................... ................ . Total................ ... ........ . _____ _________ ______ 18 69 11 5 476. 70 1 $3,900 3,919 3,800 3,861 3,839 4,000 97,980 68,400 266,410 42,228 20,000 3,883 1,850,923 $3,900 1 24.8 13 44 10 5 $3,900 3,848 3,800 3,818 3,820 3,880 $3,900 95,431 49,400 168,000 38,200 19,400 362.60 3,872 0.9 7.6 8.3 23.7 8 2.3 $3,800 3,800 3,854 3,848 3,816 3,800 $3,420 28,880 31,989 91,192 30,537 8,740 1,404,046 165.70 3,828 634,314 5.6 0.3 7 2.5 4.4 2 14 12.6 114.2 1 3 15.3 25.7 3,286 3,267 3,357 3,240 3,332 2,800 3,300 3,419 3,329 3,400 3,233 3,408 3,344 18,404 980 23,500 8,100 14,661 5,600 46,200 43,084 380,152 3,400 9,699 52,152 85,953 Grade 3, $3,200 to $3,700; average, $3,450— Bureau of Efficiency............................................... ............ Civil Set vice Commission............. .............................. . .. Employees’ Compensation Commission........................... Federal Faim Boaid....................... .................................. Federal Radio Commission... . . . . . . . . ..... ..................... Federal Trade Commission................. ............................... Ueneial Accounting Offico.................................................. Interstate Commeice Commission.._____ _______ ______ National Advisoiy Committee for Aeronautics_____ _____ Public Buildings and Public Paiksof the National Capital. Smithsonian Institution...................................................... Tariff Commission...... ................ . ................................ U. S. Shipping Board . * _________ - __ -___________ U. S. Veterans' Bureau............................. .......................... Department of Agriculture..... ............................ ............... Department of Commerce........ .............................. . . ....... Department of the Interior........ ........................................ Department of Justice..................... .................................. Department of Labor........................................................... Navy Department................. ....................................... . Post Office Department....... ............................. ................ State Department................................................................ Treasury Department....................................................... War Department................... ............................................ District of Columbia----- ------ ----------- -------------------------Total................ ................................................................ Grade 2, $2,600 to $3,100; average, i2,850Board of Tax Appeals.... ..................................................... Civil Service Commission.................................................... Federal Farm Board............................................................ Federal Radio Commission................................................. Federal Trade Commission................................................ General Accounting Office........*............................... ........ Interstate Commerce Commission.......... ............................ National Advisory Commit fee for Aeronautics................... Smithsonian Institution...................................................... Tariff Commission.... ........................................................ U. S. Shipping Board..................................................... ...... TJ. S. Veterans' Bureau....................................................... Department of Agriculture................................................. Department of Commerce..... .......................................... Department of the Interior.................................................. Department of Justice.......................................................... Department of Labor-.................................................... . Navy Department...... ...........*............................................ Post Office Department....................................................... State Depaitment................................................................ Treasury Department.......................................................... War Department.................................................................. District of Columbia......................................................... Total.................................................................................. '7 3,450 24,150 6 3,450 20,700 6 2 11 3,200 3,450 3,450 19,200 6,900 37,950 5.4 2 6 3.220 3,450 3,300 17,390 6,900 19,800 15 11 142 1 3 20 20 2 87 307.2 293.6 137.2 13 29 120 7 21 200 48 54 3,398 3,445 3,33u 3,500 3,267 3,330 3,311 3,200 3,450 3,378 3,367 3,276 3,400 3,227 3,361 3,414 3,204 3,392 3,300 3,363 50,970 37,900 472,861 3,500 9,801 66,606 66,228 6,400 300,150 1,037,639 988,548 449,538 44,199 93,598 403,334 23,900 67,284 678,353 158,422 181, eoo 13 11 130 1 3 19 20 2 76 280.2 265.5 130.1 13 20.9 117.8 7 8.5 195.5 47 50 3,384 j 3,445 | 3,342 | 3,500 3,267 3,352 3,311 3,200 3,450 3,392 3,382 3,289 3,393 3,238 3,334 3,414 3,224 3,383 3,258 3,322 i 43,992 37,900 434,499 3,500 9,801 63,693 66,228 6,400 262,200 950,497 898,040 427,961 44,199 67,673 392,799 23,900 27,404 661,426 153,107 166,100 77.5 258.7 274.2 142.1 12.7 20.9 115.7 7 13.2 198 44.8 49.5 3.396 3,391 3,324 3,296 3,396 3,225 3,321 3,414 2,630 3,362 3,257 3,310 263,190 877,374 911,507 468,372 43,129 67,420 384,261 23,900 34,716 665,763 145,894 163,830 1,557 3,358 5,229,031 1,429.9 | 3,361 | 4,806,109 1,421.9 3,334 4,741,241 4 7 5 1 11 6 92 1 11 11 2,850 2,643 2,900 3,000 2,909 2,717 2,754 2,600 2,754 2,710 11,400 18,500 14,500 3,000 31,999 16,300 253,350 2,600 30,296 29,800 5 7 1 2 11 6 70 2,850 2,643 2,900 2,950 2,909 2,717 2,803 14,250 18,500 2,900 5,900 31,999 16,300 196,234 6.7 4 1 3 10.5 3.9 81.6 2,779 2,675 2,650 2,733 2,731 2,729 2,750 18,621 10,700 2,650 8,199 28,676 10,642 224,415 12 11 2,791 2,710 33,500 29,800 39 249.1 240.3 82.2 14 34 70 3 14 129 38 71.3 2,850 2,691 2,803 2,696 2,679 2,700 2,764 2,833 2,614 2,757 2,726 2,757 111,150 680,456 662,657 221,655 37,506 91,802 193,457 8,500 36,595 355,649 103,970 196,557 30 220.7 208.4 70.1 13 28.2 73.3 3 13 127 37 66.3 2,850 2,762 2,770 2,723 2,685 2,720 2,739 2.833 2,623 2,741 2,673 2,717 85,500 609,685 577,427 190,888 34,905 76,717 200,783 8,500 34,100 348,143 98,892 180^153 11.9 10.3 2 32.7 204.9 209.7 71.6 12.5 27.2 66.8 2.5 9.1 102.5 36.4 65.1 2,762 2,844 2,800 2,762 2,773 2,777 2,691 2,693 2,714 2,744 2,880 2,620 2,740 2,652 2,721 32,874 29,292 5,600 90,317 568,299 582,478 192,705 33,664 73,843 183,294 7,200 23,839 280,860 96,536 177,169 1,132.90 2,747 3,111,699 2,754 2.975.076 ©75.90 2,748 %681,873 1,015 All7 BUDGET STATEMENTS No. 30.—Statement summarizing and comparing by classification services and grades for the fiscal years 1981, 1980, and 1929, the average number of employees, the average salary rates, and the total salaries of the personnel of the executive departments and independent establishments in the District of Columbia, classified under the act of March 4, 1923, as amended—Continued Estimated expenditures, 1931 Classification service and grade by department or establishment Professional and scientific service—Continued. Grade 1, $2,000 to $2,500; average, $2,250Board of Tax Appeals.... ...................... ..................... ....... Civil Service Commission___ __________________ ______ Federal Farm Board__________________________ ______ Federal Trade Commission................................................. TntArstfrta Cnmmerra Commission . . . -, . r, . ____ Public Buildings and Public Parks of the National Capital. SrnUfisonijin Institution _ _____ ... Tariff Commission. .......... . .. . . . ................... . __ TJnited States Shipping Board_________________________ Department of Agriculture____________________________ Department of Commerce_________ _________ _________ Department of the Interior___ _____________ _________ Department of Justice.......................................................... Department of Labor........................................................... Navy Department............................... ............................... Post Office Department....................................................... State Department................................................................ Treasury Department.......................................................... War Department.................. .......................... .......... ....... District of Columbia....... .................................................... Total................................................................................. Subprofessional service: Grade 8, $2,600 to $3,100; average, $2,850— Federal Power Commission................................................ Interstate Commerce Commission....................................... National Advisory Committee for Aeronautics...... ............ Smithsonian Institution....................................................... United States Veterans' Bureau.......................................... Department of Agriculture.................................................. Department of Commerce_____ ____ ___ _____ _________ Department of the Interior................................................. Department of Justice____________ _________________ Department of Labor_______ _________________________ Navy Department............................................................... Post Office Department .................................................. Treasury Department......................................................... War Department................................................................. District of Columbia........................................................... Total........ .............................................. ......................... Estimated expenditures, 1930 Average number of em ployees Expended and obligated, 1929 Average number of em ployees Average number of em ployees Average salary rate 13 1 7 152 1 6 5 1 199.3 358.1 31 7 17 26 1 14 20 9 30 $2,008 2,100 2,089 2,011 2,000 2,166 2,160 2,100 2,123 2,090 2,070 2,229 2,105 2,167 2,400 2,035 2,145 2,122 2,076 $26,100 2,100 14,623 305,639 2,000 13,000 10,800 2,100 423,141 748,447 64,178 15,600 35,798 56,347 2,400 28,490 42,900 19,100 62,280 13.2 1 7 54 1 6 5 1 170.8 334.6 34 7 13 22.8 1 9 20 9 26 $2,007 2,100 2,089 2,032 2,000 2,166 2,160 2,100 2,139 2,110 2,098 2,236 2,138 2,112 2,400 2,067 2,086 2,088 2,J07 $26,490 2,100 14,623 109,784 2,000 13,000 10,800 2,100 365,476 706,188 71,333 15,600 27,800 48,143 2,400 18,603 41,710 18,800 54,776 896.4 2,087 1,875,043 735.4 2,110 1,551,726 626.4 1 3 2 1 6 20.9 30 29 2 2,800 2,833 2,800 2,800 2,850 2,806 2,803 2,713 2,600 2,800 8,499 5,600 2,800 17,100 58,637 84,108 78,685 5,200 1 3 2 1 6 20.9 29 27.1 2,800 2,833 2,800 2,800 2,850 2,805 2,695 2,714 2,800 8,499 5,600 2,800 17,100 58,629 78,178 73,543 1 3 2 1 4.2 20.1 27.5 22.1 2,800 2,767 2,750 2,800 2,774 2,790 2,742 2,711 2,800 8,301 5,500 2,800 11,651 56,085 75,324 59,912 23 3 14 6 19 2,817 2,833 2,743 2,719 2,784 64,781 8,500 38,399 16,313 52,901 23 3 13.8 6 17 2,764 2,833 2,734 2,633 2,771 63,577 8,500 _ 37,732 15,800 47,100 .2 24.1 3 8.9 6 17 3,100 2,790 2,833 2,774 2,622 2,738 620 67,244 8,500 24,688 15,733 46,550 159.9 2,779 444,323 152.8 2,748 419,858 140.1 2,753 385,708 1 1 5 1 43.5 21 17 2,300 2,300 2,520 2,550 2,524 2,549 2,547 2,300 2,300 12,600 2,550 109,781 53,547 43,297 11 1 1 5 6 31 2,409 2,800 2,300 2,440 2,317 2,442 26,500 2,800 2,300 12,200 13,900 75,695 1 1.5 4.7 1 43.3 20.7 21.9 0.2 8.8 1 0.7 4.7 5.8 28.7 2,300 2,300 2,536 2,600 2,467 2,536 2,483 2,500 2,384 2,700 2,464 2,417 2,292 2,448 2,300 3,450 11,920 2,600 106,825 52,402 54,373 500 20,983 2,700 1,725 11,361 13,292 70,256 2,490 359,770 2,463 354,687 Total salaries Grade 7, $2,300 to $2,800; average, $2,550— Civil Service Commission................................................... National Advisory Committee for Aeronautics......... . ....... Smithsonian Institution...................................................... United States Veterans’ Bureau................ ........................ Department of Agriculture.................................................. Department of Commerce. „ .............................................. Department of the Interior............. ................................... Department of Labor................................................ Navy Department..................................... ....................... Post Office Department...................................................... State Department.,................... ........................................ Treasury Department....................... ................................. War Department................................................................ District of Columbia.................. ........................... ............ 1 2 6 1 42.5 20.5 19 2,300 2,300 2,483 2,550 2,526 2,570 2,537 2,300 4,600 14,900 2,550 107,357 52,648 48,199 12 1 1 5 6 38 2,417 2,800 2,30b 2,460 2,422 2,435 29,000 2,800 2,300 12,300 14,531 92,490 Total........................... ..................................................... 155 2,490 385,975 144.50 Average salary rate Total salaries 0.2 5 1 5.3 10.2 _ 1 6.4 6.9 1 142.3 313.3 25.9 7.3 14.8 25 1.5 10.3 15.8 7.2 26 144 Average salary rate $2,200 2,000 2,050 2,125 2,052 2,000 2,119 2,072 2,100 2,142 1,623 2,074 2,212 2,112 2,105 2,367 2,027 2,150 2,085 2,105 1,986 Total salaries $367 10,000 2,050 11,263 20,926 2,000 13,562 14,294 2,100 304,908 580,533 53,729 16,148 31,254 52,626 3,550 20,878 33,973 15,015 54,726 1,243,902 a118 THE BUDGET, 1931 No. 30.—Statement summarising and comparing by classification services and grades for the fiscal years 1981, 1930, and 1929, the average number of employees, the average salary rates, and the total salaries of the personnel of the executive departments and independent establishments in the District of Columbia, classified under the act of March 4, 1923, as amended—Continued Estimated expenditures, 1931 Classification service and grade by department or establishment Average number of em ployees Average salary rate Total salaries ! Estimated expenditures, 1930 Average number of em ployees Board of Tax Appeals................................ *.................................... Grade 6, $2,000 to $2,500; average, $2,250— Pivil Sarvififi Cninmissirm „ . , _____ __ Federal Power Commission................................................. Interstate Commerce Commission_____ ____ *......... ......... Public Buildings and Public Parks of the National Capital. Smithsonian Institution....................................................... U. S. Veterans' bureau.............................................. ...... Department of Agriculture.................................................. Department of Commerce.................................................... Department of the Interior.................................................. Department of Justice.......................................................... Department of Labor.................................... .......... ......... Navy Department...................... ......................................... Post Office Department....................................................... State Department................................................................ Treasury Department................................ •_....................... War Department____________ _______________ _______ District of Columbia............................................................. 1 $2,400 $2,400 1 1 8 1 13 12 102.7 83.4 66.5 1 1 58 8 1 7 21 86.5 2,300 2,264 2,300 2,564 2,250 2,192 2,186 2,127 2,500 2,000 2,197 2,225 2,100 2,129 2,171 2,165 2,300 18,115 2,300 33,332 27,000 224,968 182,361 141,450 2,500 2,000 127,449 17,800 2,100 14,900 45,595 187,390 Total................................................................................. 472.1 2,190 8 Grade 5, $1,800 to $2,100; average, $1,950— * Civil Service Commission_______________________ . . . __ Federal Board for Vocational Education.______ ________ Federal Power Commission................................................. Federal Trade Commission....... ._ -------------------- --------General Accounting Office................................................... Interstate Commerce Commission....................................... National Advisory Committee for Aeronautics................... Public Buildings and Public Parks of the National Capital. Smithsonian Institution............................. ......... : . ............ United States Shipping Board............................................. United States Veterans' Bureau.......................................... Department of Agriculture.................................................. Department of Commerce................................................... Department of the Interior................................................ Department of Justice.............. .......................................... Department of Labor.......................................................... Navy Department......................................... ..................... Post Office Department..................................................... State Department................................................................ Treasury Department.......................................................... War Department................................................................. District of Columbia............................................................ Total......................................................... ....................... Average salary rate Total salaries Expended and obligated, 1929 Average number of em ployees Average salary rate Total salaries $2,400 $2,400 1 $2,300 $2,300 1 9 1 15 13 104 78.8 62.4 1 1 50 8 1 6.9 21 88.5 2,300 2,267 2,300 2,219 2,250 2,187 2,180 2,138 2,500 2,000 2,198 2,138 2,100 2,087 2,110 2,137 2,300 20,400 2,300 33,296 29,250 227,482 171,836 133,415 2,500 2,000 109,907 17,104 2,100 14,400 44,300 189,097 1 1 8.8 1 12.1 13.8 95.4 80.6 53.2 1 1 48.2 6.8 1 5.8 20.3 85.1 2,200 2,300 2,125 2,200 2,208 2,088 2,181 2,156 2,096 2,500 2,000 2,178 2,178 2,100 2,028 2,140 2,140 2,200 2,300 18,700 2,200 26,728 28,814 208,093 171,843 111,505 2,500 2,000 104,973 14,810 2,100 11,762 43,442 182,119 1,033,960 462.6 2,171 1,004,087 437.1 2,147 938,389 1,800 14,400 1 1 1 16 3 1 12 1 6 79.2 43.5 70 2 2 16 5 7 16 17 167 1,980 1,980 1,800 1,882 1,940 1,800 1,909 1,800 1,950 1,882 1,904 1,847 1,800 1,860 1,945 1,920 1,800 1,953 1,929 1,906 1,980 1,980 1,800 30,116 5,820 1,800 22,914 1,800 11,700 149,051 82,836 129,266 3,600 3,720 31,120 9,600 12,600 31,243 32,795 318,344 7.3 1 0.8 1 1 12 3 1 12 1 3 74.2 35.5 60.1 2 2 16 5 5 15.1 17 159 1,800 1,920 1,980 1,980 1,800 1,920 1,940 1,800 1,909 1,800 1,950 1,887 1,922 1,850 1,800 1,860 1,909 1,884 1,800 1,956 1,885 1,888 13,140 1,920 1,584 1,980 1,800 23,040 5,820 1,800 22,914 1,800 5,850 139,995 68,242 111, 184 3,600 3,720 30,540 9,420 9,000 29,541 32,040 300,239 1 0.5 0.1 0.9 13.4 2.5 1 12.2 1 2.7 68.5 31.7 58.6 1.8 2 16.7 6.8 4.2 15.1 19 154.2 1,920 1,980 1,980 1,800 1,836 1,932 1,800 1,910 1,760 1,837 1,853 1,913 1,869 1,822 1,860 1,891 1,893 1,852 1,928 1,902 1,886 1,920 990 198 1,650 24,605 4,830 1,800 23,312 1,760 4,960 126,955 60,670 109,523 3,280 3,720 31,584 12,874 7,778 29,118 36*138 291,044 474.7 ! 1,893 898,485 434 1,887 819,169 413.9 1,881 778,709 2 1,680 1,749 1,800 1,620 1,722 1,860 1,740 1,706 1*689 1,706 1*740 1,688 1,579 1,722 1,735 1,671 3,&48 150 1,620 5,685 1*860 522 128,404 98,824 246,455 1*740 23,127 3,474 20,150 21,510 184,700 1*696 Grade 4, $1,620 to $1,920; average, $1,770— Federal Trade Commission.................................................. General Accounting Office____ __ _________________ ____ National Advisory Committee for Aeionautics ................. Smithsonian Institution....................................................... Tariff Commission............................................................... TJ. S. Shipping Board_________ _________ __ __________ Department of Agriculture.................................................. Department of Commerce........ .......................................... Department of the Interior.................................................. Department of Labor.......................................................... Navy Department............................ ............ ................... State Department................................................................ Tieasury Department.......................................................... War Department................................................................. District of Columbia............................................................ 3,360 2 1,680 3,360 2 6 1 1,620 1,670 1,860 3,240 10,020 1,860 2 3 1 1,620 1,720 1,860 3,240 5,160 1,860 85.9 68.2 143 1 14 3 12 12 121 1,712 1,685 1,671 1,740 1,731 1,620 1,735 1,765 1,701 147,095 115,437 238,943 1*740 24,240 4,860 20,820 21,180 205,994 80.3 63 15L7 1 15 3 13 12 119 1,719 1*692 1,672 1,740 1,712 1,620 1,717 1,745 1,680 13M17 106,619 253,629 1,740 25,673 4,860 22,320 20,940 199,944 2.2 0.1 1 3.3 1 0.3 7&2 58.5 144.3 1 13.7 2L2 11.7 12.4 110 Total................................................................................. 47L1 1,696 i ------------- 798,789 466 1,690 787,362 436.9 742,069 "iT.. 1 I--.. „J BUDGET STATEMENTS a 119 N o. 30.— Statement summarizing and comparing by classification services and grades for the fiscal years 1981, 1980, and 1929, the average number of employees, the average salary rates, and the total salaries of the personnel of the executive departments and independent establishments in the District of Columbia, classified under the act of March 4, 1923, as amended— Continued Estimated expenditures, 1931 Estimated expenditures, 1930 Average number of em ployees Expended and obligated, 1929 Average number of em ployees Average number of em ployees Average salary rate Department of Agriculture.................................................. Department of Commerce........................... ....................... Department of the Interior.................................................. Navy Department............................................................... State Department............................................................... Treasury Department..................................................... — War Department................................................................ District of Columbia .......................................................... 1 8 2 7 55 52.2 66 24 4 3 11 90.9 $1,560 1,455 1,440 1,534 1,534 1,488 1,509 1,548 1,440 1,480 1,531 1,551 $1,560 11,640 2,880 10,740 84,390 77,710 99,594 37,163 5,760 4,440 16,844 141,037 1 1 1 7 52.4 41.3 59.4 22.8 2 3 11 59.5 $1,560 1,560 1,440 1,560 1,537 1,490 1,509 1,532 1,440 1,480 1,489 1,534 $1,560 1,560 1,440 10,920 80,516 61,450 89,622 34,932 2,880 4,440 16,380 91,287 1 1 1 7.3 47.3 30.8 63.5 22.1 .7 2.9 9.8 57.5 $1,560 1.440 1.440 1,528 1,530 1,487 1,511 1,518 1,371 1,488 1,467 1,522 $1,560 1.440 1.440 11,158 72,386 45,800 95,946 33,552 960 4,315 14,374 87,494 Total................................................................................. 324.1 1,523 493,758 261.4 1,519 396,987 244.9 1,513 370,425 1 1 6 1 64.4 33.5 520 1,320 1,380 1,410 1,260 1,359 1,326 1,301 1,320 1,380 8,460 1,260 87,505 44,427 676,584 1 1 9 1 63.3 33.5 478 1,320 1,380 1,399 1,260 1,360 1,332 1,320 1,320 1,380 12,595 1,260 86,116 44,612 631,040 1 5 1 2 5 141.1 1,320 1,344. 1,260 1,320 1,390 1,332 1,320 6,720 1,260 2,640 6,951 178,915 1 5 1,320 1,344 1,320 6,720 1 1 10.3 0.4 56.3 32.3 472.4 0.9 2 5.5 1,315 1,380 1,373 1,260 1,348 1,339 1,346 1,344 1,212 1,306 1,315 1,380 14,147 504 75,870 43,247 635,799 1,210 2,424 7,185 2 5 139.3 1,320 1,260 1,316 2,640 6,300 183,278 1.3 4 131.3 1,348 1,260 1,323 1,753 5,040 173,734 782 1,314 1,027,742 739.1 1,324 978,581 718.7 1,341 963,608 Classification service and grade by department or establishment Board of Tax Appeals—Continued. Grade 3, $1,440 to $1,740; average, $1,590General Accounting Office................................. ................. Interstate Cofni,'W0e n n T n m i s s i n n .. __. r. T _ _ National Advisory Committee for Aeronautics.................. Grade 2, $1,260 to $1,560; average, $1,410Bureau of Efficiency...... . .................................................... Federal Trade Commission.................................................. Smithsonian Institution....................................................... United States Shipping Board............................................. Department of Agriculture.................................................. Department of Commerce..................... .............................. Department of the Interior.................................................. Department of Justice........................................................Department of Labor**...................................................... Navy Department............................................................ . State Department.................................................... - ....... Treasury Department.......................................................... War Department.................................................................. District of Columbia............................................................ Total................................................................................ Total salaries Average salary rate Total salaries Average salary rate Total salaries Grade 1, $1,020 to $1,320; average, $1,170— Smithsonian Institution.................................. .................... Department of Agriculture................................................... Department of Commerce................................................... Department of the Interior.................................................* Department of Justice.......................................................... Navy Department............................................................... District of Columbia............................................................ 1 63.1 28.2 8.6 1 2 27 1,080 1,133 1,070 1,034 1,320 1,080 1,066 1,080 71,506 30,164 8,892 1,320 2,160 28,770 1 58.8 25.2 10.2 1 2 25 1,080 1,137 1,075 1,032 1,320 1,020 1,039 1,080 66,830 27,096 10,526 1,320 2,040 25,980 1 58.8 27.1 9.9 0.1 L2 25 1,080 1,155 1,056 1,030 1,100 1,035 1,039 1,080 67,894 28,635 10,197 110 1,242 25,980 Total................................................................................ 130.9 1,099 143,892 123.2 1,095 134,872 123.1 1,098 135,138 30,000 60,000 50,250 60,000 10,000 20,000 84,000 12,000 25.000 35.000 35.000 35,000 35,000 55,000 67,000 86,996 35,000 3 5 5 5 1 2 7 1 1 10,000 12,000 9,000 10,000 10,000 10,000 12.000 12,000 15,000 30,000 60,000 45,000 50,000 10,000 20,000 84,000 12,000 15,000 1 4.6 5 5 1 2 7 1 1 10,000 12,000 10,000 9,917 10,000 10,000 12,000 12,000 15,000 10,000 55,700 50,000 49,585 10,000 20,000 84,000 12,000 14,968 1 1 1 1 15,000 15,000 15,000 15,000 25,000 53,998 25,000 1 1 1 1 1 4.9 2 15,000 15.000 2 15,000 15,000 15,000 15,000 12,500 11,020 12,500 15,000 15,000 15,000 16,000 15,000 10,193 3 10,000 12,000 10,050 12,000 10,000 10,000 12,000 12,000 12,500 11,667 11,667 11,667 11,667 11,000 11,167 10,875 11,667 12,500 15,000 49,948 25,000 65 1,131 42.9 1,142 489,996 39.5 1,155 456,191 Clerical, administrative, and fiscal service: Grade 16, In excess of $9,000Executive Office................................................................... Board of Mediation................................................. ............ Federal Radio Commission.................................... ........... Federal Trade Commission...............................- ................. General Accounting Office............—.................................... Interstate Commerce Commission....................................... U. S. Shipping Board................................ .......................... U. S. Veterans' Bureau........................................................ Department ol Agriculture.................................................. Department of Commeice................................................... Department of the Interior.................. ............................... Department of Labor........................................................... Navy’ Department................................................................ Post Office Department....................................................... State Department................................................................ Treasury Department.......................................................... War Department................................................................ Total................................................................................. 3 6 5 5 1 2 7 1 2 3 3 3 3 5 6 8 735,246 2 4.9 15,000 15,000 a 120 THE BUDGET, 1931 No. 30.— Statement summarizing and comparing by classification services and grades for the fiscal years 1931, 1930, and 1929, the average number of employees, the average salary rates, and the total salaries of the personnel of the executive the act of March 4, 1923, as departments arid independent establishments in the District of Columbia, classified\under u amended—Continued Estimated expenditures, 1931 Classification service and grade by department or establishment Average number of em ployees Clerical, administrative, and fiscal service—Continued. Grade 15, $8,000 to $9,000; average, $8,500Board of Mediation.............................................. Bureau of Efficiency............................................. Civil Service Commission.................................... Employees' Compensation Commission............. General Accounting Office.................. ................ Interstate Commerce Commission....................... Tariff Commission.................... .... ....... ............. United States Veterans’ Bureau.......................... Department of Agriculture.................................. Department of Commerce.................. ............ . . . Department of the Interior............. .................... Department of Justice..... ......... ....................... Department of Labor........................................... Navy Department................................................ Post Office Department............................... J___ State Department................................................. Treasury Department.................. - ...................... War Department.................................................. District of Columbia--......................................... Total.. Grade 14, $6,500 to $7,500; average, $7,000— Executive Office................ ............ ....... Board of Mediation...................... ........ Bureau of Efficiency... ......... ....... - ....... Federal Power Commission................... General Accounting Office..................... Interstate Commerce Commission____ Smithsonian Institution............. ........... Tariff Commission__________________ U. S. Shipping Board............................ U. S. Veterans’ Bureau.......................... Department of Commerce..................... Department of the Interior.................. . Department of Justice............................ Department of Labor.......... ................... Post Office Department......................... Treasury Department............. .............. 2 1 1 1 1 5 1 1 1 2 5 4 1 1 2 27 Total., Grade 13, $6,600 to $6,400; average, $6,000™ Executive Office............. . . . ...................... ................... . Board of Mediation............................................. ............. Board of Tax Appeals....... ............................................... . Bureau of Efficiency........................................................... Civil Service Commission.......... ....................................... Employees' Compensation Commission............................ Federal OO Conservation Board________ _____________ Federal Power Commission............................................... Federal Radio Commission............................................... Federal Trade Commission............. .................................. General Accounting Office,............................................... Interstate Commerce Commission..... .................... .......... National Advisory Committee for Aeronautics.-.............. . Public Buildings and Public Parks of the National Capital Smithsonian Institution..................................................... . Tariff Commission....... .......................... .......................... . U. S. Shipping Board................ ...................................... . U. S. Veterans' Bureau..................................................... . Department of Agriculture....................... ......................... . Department of Commerce................................................. Department of the Interior................................................. Department of Justice............. ......................................... . Department of Labor*....... ............................................... . Navy Department.............................................................. Post Office Department....................................................... State Department............................................................... Treasury Department......................................................... War Department................................................................. District of Columbia............................................................ Total. 1 2 Average salary rate Total salaries Estimated expenditures, 1930 Average number of em ployees Average salary rate $9,000 9.000 8.500 8,750 9.000 9.000 9.000 9.000 8,800 8,800 8.500 26,500 8.500 9.000 9.000 8.500 9.000 8,833 385,500 64 8,797 562,998 7.000 6.500 7.500 7.500 7.000 14,000 6.500 7.500 7.500 7,000 2 0.6 1 1 1 0.3 7.000 6.500 7,458 7.500 7.000 7.500 27 7.000 6.500 7.000 7,200 7.250 6.500 7,480 7.250 6,759 7,000 6.500 14.000 29.000 29.000 6.500 7,480 14,500 182,506 1 1 1 3 4.4 0.9 0.5 1 26.2 6,537 6,500 7.000 7,361 6,992 6,620 7.000 7.000 6,621 49 6,918 44.9 6,776 5.600 17.600 24,200 35.600 5.600 6,000 6,000 1 3 3.6 5.2 1 1 1 5.600 5,910 5,982 5,900 5.600 5.600 6,000 6.400 12,000 23,200 121,597 6.400 5.600 1 2 4 18.7 1 1 1 1 6.400 6,000 5,800 6,132 6.400 5,600 5,946 5,853 30.000 8.1 17.4 24.9 4.6 6 4.3 3 13.3 1 82.5 1 5 5,756 5,600 5,936 1,338,422 216.6 5,834 8,667 9,000 8.500 8.500 26,000 27.000 17.000 8,500 8,500 8,500 8,444 76,000 8,761 7.000 7.000 7.500 7.500 7.000 6.500 6.500 7.000 6.500 7.000 7,100 7.250 6.500 7.500 7.250 6,778 14.000 7.000 7.500 7.500 7.000 32.500 6.500 7.000 6.500 14.000 35.500 29.000 6.500 7.500 14.500 183,006 6,884 385,506 5.600 6,000 6,066 5,933 5.600 6,000 6,000 5.600 18,000 18,200 35,600 5.600 6,000 6,000 6,000 6,000 6.400 6,000 5.800 5,958 6.400 5,600 6.400 12,000 23.200 113,196 6.400 5,600 6,000 6.400 4 19 1 1 1 1 1 8 18 30 18 10 4 4 15 1 85 1 5 5,776 5.800 6,040 57.800 23.800 24.000 86.200 6,000 490,986 5,800 30,200 246 5,858 1,441,078 6,000 5,866 6,017 5,667 5,780 5,950 6,000 5,747 6,000 $8,000 9.000 9.000 8,500 8,750 9.000 9.000 9.000 9.000 8,816 8,587 8,788 4 4 12 1 3 $9,000 27.000 25.500 17.500 36.000 54.000 27.000 6,000 0.4 0.8 3 2.9 2 4 6 3 1 4.9 3.5 1.1 3 1.9 3.9 4.8 11.9 1 Average salary rate $9,000 27.000 25.500 17.500 36.000 54.000 27.000 9.000 44.000 44.000 17.000 26.500 17.000 36.000 36.000 101,998 9.000 26.500 $9,000 9.000 8,500 8,750 9.000 9.000 9.000 6.400 6,000 Total salaries Expended and obligated, 1929 Average number of em ployees 6,000 48.000 105,596 180,500 102,000 2 4 6 3 1 5 5 2 3 2 1 1 2 4 4 1 1 2 5.600 5,867 6,050 5,933 5.600 1 6.400 2 6,000 4 20 1 1 1 1 1 8 19 27.6 5 6 4 3.8 14 1 84 1 5.800 6,080 6.400 5.600 6,000 6.400 6,000 6,000 5,884 6,035 5.800 5,900 5,950 5,916 5,761 6,000 5 5,774 5.600 6,000 227.4 5,886 6,000 6.400 6,000 48.000 111,796 166,560 29.000 35,400 23,800 22,480 80,600 6,000 484,989 5.600 8,500 9.000 8,890 8,496 9.000 8,781 6,000 6.400 5,843 6,039 5,774 6,000 5,749 6,000 a121 BUDGET STATEMENTS No. 30.—Statement summarizing and comparing by classification services and grades for the fiscal years 1931, 1930, and 19291 the average number of employees, the average salary rates, and the total salaries of the personnel of the executive departments and independent establishments in the District of Columbia, classified under the act of March 4 1928, as amended—Continuea , Estimated expenditures, 1931 Classification service and grade by department or establishment Clerical, administrative, and fiscal service—Continued. Grade 12, $4,600 to $5,200; average, $4,000— Board of Mediation...................... ....... . ............................ Board of Tax Appeals.......................... *............................. Bureau of Efficiency................. ....... . ....... ...................... Civil Service Commission............... ............... ...........T....... Employees’ Compensation Commission............................. Federal Farm Board....................................... .................... Federal Power Commission................ ............................... Fedprfti Radio Commission __________ Federal Trade Commission.............................................. . General Accounting Office................................................... Interstate Commerce Commission.................................. . Tarifl Commission.............................................................. U. S. Shipping Board.......................... .......... .................... U. S. Veterans’ Bureau...................................................... Department of Agriculture................................................. Department of Commerce.................................................. Department of the Interior.............................................. Department of Justice................................................... ...... Department of Labor........................................................... Navy Department............................................................. Post Office Department....... .................. ........................... State Department............................................................... Treasury Department................................................... ...... War Department.............................................. ....... ........... District of Columbia.................................. ......................... Total________________________ ____ ____________ ___ Grade 11, $3,800 to $4,400; average, $4,100— Executive Office........................ .......................................... Bureau of Efficiency............................................................. Civil Service Commission................................................ . Federal Trade Commission.................................................. General Accounting Office................................................... Interstate Commerce Commission...................................... U. S. Shipping Board........................................................... U. S. Veterans' Bureau........................................................ Department of Agriculture................................................. Department of Commerce................................................... Department of the Interior.................................................. Department of Justice.......................................................... Post Office Department....................................................... State Department_______ __________ _________________ Treasury Department......................................................... District of Columbia............................... ............................ Total................................................................................. Grade 10, $3,500 to $4,000; average, $3,750— Executive Office................................................................... Bureau of Efficiency............................................................ Civil Service Commission................................................... Employees' Compensation Commission.............................. Federal Power Commission................................................. Federal Trade Commission............................................... General Accounting Office................... .............................. Interstate Commerce Commission....................................... Personnel Classification Board............ ..................... *....... . Public Buildings and Public Parks of the National Capital--------------------------------- ------ -----------------------Smithsonian Institution....................................................... Tariff Commission............................................................... U. S. Geographic Board...................................................... U. S. Shipping Board ........................................................ U. S. Veterans* Bureau...................................................... Department of Agriculture.................................................. Department of Commerce................................................... Department of the Interior.................................................. Department of Justice.......................................................... Average number of em* ployees 5 2 10 5 1 1 1 1 9 19 1 35 2 1 34 59.1 41 12 8 6 5 10 10 156 3 15 Average salary rate $4,840 4,900 4,780 4,720 4,800 4,800 4,600 4,600 4,738 4,663 4,877 4.900 5,000 4,900 4,779 4,865 4,700 4,675 4,700 4,960 4,760 4,720 4,759 4,733 4,827 Total salaries $24,200 9,800 47,800 23,600 4,800 4,800 4,600 4,600 42,642 88,600 170,705 9,800 5,000 166,600 282,476 199,450 56,399 37,400 28,200 24,800 47,600 47,200 742,439 14,200 72,400 Estimated expenditures, 1930 Average number of em ployees Average salary rate Total salaries 5 2 10 5 1 1 0.5 $4,840 4,900 4,780 4,720 4,800 4,800 4,600 $24,200 9,800 47,800 23,600 4,800 4,800 2,300 5 19 39 2 1 30 59.8 36.3 10.5 4 5 5 10 10 157 3 14 4,720 4,663 4,866 4,900 5,000 4,900 4,771 4,905 4,676 4,750 4,720 4,880 4,760 4,720 4,754 4,667 4,700 23,600 88,600 189,794 9,800 5,000 147,000 285,293 178,040 49,099 19,000 23,600 24,400 47,600 47,200 746,441 14,000 65,800 Expended and obligated, 1929 Average number of em ployees Average salary rate 4.4 2 9.5 5 1 1 0.1 2 4.1 18.5 37.7 2 $4,875 4,925 4,889 4,720 4,800 4,800 4,600 4,600 4,681 4,665 4,797 4,700 $21,450 9,851 46,446 23,600 4,800 4,800 460 9,200 19,192 86,300 181,854 9,400 29.7 57.9 32.5 10.5 4 3.3 4.6 10.8 8.3 156.8 3 13.3 4,822 4,763 4,892 4,711 4,750 4,766 4,861 4,737 4,609 4,749 4,449 4,720 143,213 275,792 158,985 49,470 19,000 15,730 22,360 51,160 38,255 744,658 13,348 62,780 422 4,768 2,012,104 2 3,855 7,710 1.6 2.1 2.7 0.8 1.3 4.4 9.4 2.9 3,840 4,082 3,827 4,156 3,800 3,948 4,346 3,918 6,144 8,467 10,333 3,325 4,940 17,369 40,853 11,363 3,933 3,870 4,013 3,860 5,900 3,483 83,475 1,930 Total salaries 451.10 4,789 2,160,111 435.10 4,784 2,081,567 1 2 1 8 3 14 1 4 9 29 15.5 2 3 4,000 4,000 3,800 3,800 4,067 3,900 4,200 4,100 3,933 3,945 3,837 3,800 3,867 4,000 8,000 3,800 30,400 12,200 54,598 4,200 16,400 35,400 114,396 59,475 7,600 11,600 1 2 0.9 3 3 7 1 2 8 18 11.7 4,000 4,000 3,800 3,800 4,067 3,886 4,200 4,100 3,950 3,978 3,832 4,000 8,000 3,420 11,400 12,200 27,200 4,200 8,200 31,600 71,600 44,835 2 3,900 7,800 39 1 3,900 4,400 152,088 4,400 38 1 3,879 4,400 147,388 4,400 1.5 0.9 20.8 0.5 132.5 3,914 518,557 98.6 3,917 386,243 50.9 4,033 205,292 I 1 5 2 4 1 18 15 4y000 3,500 3,560 3,750 3,575 3,500 3,567 3,650 4, OuO 3,500 17,800 7,500 14,300 3,500 64,200 54,750 1 1 4.8 1.8 3.7 1 IS 10 3,900 3,500 3,567 3,750 3,575 3,500 3,567 3,730 3,900 3,500 17,120 6,750 13,228 3,500 64,200 37,300 1 0.2 3 1.1 1.8 0.1 16.1 12.3 0.4 3,800 3,620 3,667 3,915 3,550 3,500 3,548 3,698 3,500 3,800 724 11,000 4,307 6,390 350 57,117 45,483 1,400 3 1 5 1 2 31 21.5 2/ 7 12 3,633 3,700 3,620 3,800 3,800 3,750 3,723 3,685 3,514 3,606 3 1 5 1 2 31 20.2 22.9 3,633 3,700 3,620 3,700 3,800 3,750 3,733 3,717 3,555 3,644 10,899 3,700 18,100 3,700 7,600 116,250 7a, 400 85,139 36,970 32,799 2 1 1.7 1 1.3 23.9 16.9 18.3 14.5 8 3,700 3,700 3,600 3,700 3,700 3,671 3,714 3,679 3,587 3,644 7,400 3,700 6,120 3,700 4,810 87,737 62,764 67,329 52,013 29,149 10,899 3,700 18,100 3,800 7,600 116,250 80.050 99,496 24,599 43,299 10. i 9 a122 t h e b u d g e t , 1931 No. 30.—Statement summarising and comparing by classification services and grades for the fiscal years 1981, 1930, and 1929, the average number of employees, the average salary rates, and the total salaries of the personnel of the executive departments and independent establishments in the District of Columbia, classified under the act of March , 1928, as amended—Continued 4 Estimated expenditures, 1031 Classification service and grade by department or establishment Clerical, administrative, and fiscal service—Continued. Grade 10, $3,500 to $4,000; average, $3,750—Continued. Department of Labor........................................................... Navy Department............................................................... Post Office Department....................................................... State Department.............................................. „............... Treasury Department......................................................... War Department-................................................................ District of Columbia............................................................ Average number of em ployees Average salary rate Total salaries Estimated expenditures, 1930 Average number of em ployees Average salary rate Total salaries Expended and obligated, 1929 Average number of em ployees Average salaiy rate Total salaries 8 2 84 9 7 3,760 3,688 3,700 3,740 3,728 3,671 $11,000 18,800 29,500 7,400 314,133. 33,650 25,700 2 4.9 8 2 83.5 9 7 $3,750 3,735 3,688 3,700 3,731 3,656 3,643 $7,500 18,300 29,500 7,400 311,578 32,900 25,500 1.9 5 7.1 3.5 77.7 8.2 6.4 $3,705 3,839 3,711 3,700 3,728 3,667 3,623 $7,040 19,193 26,345 12,950 289,684 30, u70 23,187 Total................................................................................. 275.5 3,693 1,017,426 263.2 3,696 972,733 234.4 3,685 863,762 Grade 9, $3,200 to $3,700; average, $3,450— Executive Office........ .......................................................... American Battle Monuments Commission......................... Board of Mediation.............................................................. Bureau of Efficiency............................................................. Civil Service Commission....................... ....... .................... Employees’ Compensation Commission........ .................... Federal Board of Vocational Education.............................. Federal Radio Commission.................................................. Federal Trade Commission....... .......................................... General Accounting Office........... .................... .................. Interstate Commerce Commission....................... ............... National Advisory Committee for Aeronautics................... Public Buildings and Public Parks of the National CapitalSmithsonian Institution....................... ............................... Tariff Commission.............................................................. U. S. Geographic Board.-* * ________ U. S. Shipping Board........ ................................ ................ U. S. Veterans' Bureau.......„ ................................... Department of Agriculture.................................... .............. Department of Commerce........................ ............... Department of the Interior..................................... ............ Department of Justice..................... .................................. Department of Labor........ _................................................. Navy Department........... ............... Post Office Department....................................... ............... State Department........................ .................... Treasury Department........................................................ War Department................................................................. District of Columbia............................................ 3 1 1 4 5 3 1 1 12 22 42 1 3 3 13 1 4 50 65.4 70 28 9 9 19 36 12 308 17 17 3,333 3,400 3,200 3,400 3,280 3,367 3,300 3,500 3,516 3,3*4 3,415 3,700 3,400 3,400 3,338 3,300 3,350 3,450 3,399 3,440 3,314 3,278 3,355 3,352 3,400 3,283 3,392 3,429 3,400 10,000 3,400 3,200 13,600 16,400 10,101 3,300 3,500 42,192 72,900 143,450 3,700 10,200 10,200 43.400 3,300 13.400 172,500 222,346 240,812 92,803 29,500 30,200 63,693 122,400 39,400 1,044,725 58,300 57,800 3 1 1 4 6.8 2.5 1 1 6 22 40 1 3 3 13 1 4 46 63.4 66.8 25.5 7 9 17.1 36 11 309 17 16 3,267 3,300 3,200 3,400 3,276 3,367 3,300 3,500 3,512 3,314 3,430 3,700 3,400 3,400 3,338 3,300 3,350 3,450 3,409 3,461 3,316 3,386 3,355 3,353 3,400 3,282 3,388 3,365 3,388 9,800 3,300 3,200 13,600 22,280 8,418 3,300 3,500 21,072 72,900 137,200 3,700 10,200 10,200 43,400 3,300 13,400 158,700 216,126 231,208 84,563 23,702 30,200 57,352 122,400 36,101 1,046,889 57,200 54,200 4 0.1 1 3.3 7.7 2 0.9 1 7.1 22.2 41.1 1 3 3 12.3 3,250 3,200 3,200 3,409 3,408 3,450 3,208 3,500 3,364 3,272 3,399 3,700 3,400 3,400 3,264 13,000 320 3,200 11,250 26,240 6,900 3,208 3,500 23,884 72,642 139,718 3,700 10,200 10,200 40,147 2.9 45.3 66.6 59.6 27.8 6.3 10.2 13.1 36.7 10.4 313.8 17.5 15,8 3,400 3,394 3,302 3,455 3,337 3,391 3,330 3,423 3,410 3,183 3,413 3,337 3,381 9,860 153,748 219,901 205,927 92,760 21,361 33,969 44,840 125,151 33,105 1,071,133 58,398 53,418 761.4 3,389 2,580,722 737.1 3,394 2,501,411 735.7 3,387 2,491,680 2 2 6 1 1 3 1.8 5 43 34 5 1 4 1 41 48.1 21 34.6 2 4.9 18.7 14 5 80 21 12.0 3,050 3,100 3,100 3,200 3,000 3,133 3,000 3,400 2,972 3,103 3,060 3,300 2,975 2,900 3,150 3,122 3,129 3,045 3,000 3,124 3,146 3,086 3,020 3,139 3,071 2,993 6,100 6,200 18,600 3,200 3,000 9.400 5.400 17,000 127,800 105,507 15,300 3,300 11,900 2,900 129,150 150,158 65,700 105,359 6,000 15,310 58,825 43,200 15,100 251,150 64,500 38,610 2 1.8 5.8 1 1 3 1 5.4 43.2 32 5 1 1.5 1.4 42.6 39.7 20.8 35.9 1.2 4.5 23 12.5 3.4 86 20.4 1L2 2,950 3,131 3,113 3,200 2,908 3,133 3,000 3,119 2,948 3,078 3,140 3,300 3,100 2,957 3,074 3,132 3,127 3,039 2,917 3,117 3,147 3,112 3,147 3,106 3,069 2,990 5,900 5,636 18,055 3,200 2,908 9,400 3,000 16,843 127,350 98,507 15,700 3,300 4,650 4,140 130,952 124*354 65.042 109,100 3,500 14,030 72,379 38,900 10,700 267,252 62,609 3,096 1,278,669 406.3 3,079 1,250,894 Total........................................................... A 5 $jf 666 Grade 8, $2,900 to $3,400; average, $3,150Executive Office..... ............................... Bureau of Efficiency.................................................. Civil Service Commission................................................ Commission of Fine Arts.................................... Employees’ Compensation Commission......................Federal Farm Board.................................................. Federal Power Commission........................... . . . Federal Trade Commission....................; ....................... General Accounting Office............................................ Interstate Commerce Commission..................... .... Public Buildings and Public Parks of the National Capital. Smithsonian Institution..... ................................................. Tariff Commission............................................................... U. S. Shipping Board.......................................... ............... U. S. Veterans’ Bureau.,.................................................. Department of Agriculture....... ................................. ......... Department of Commerce.................................................. Department of the Interior............. .................................... Department of Justice......................................................... Department of Labor........................................................... Navy Department...... ................................... ...... .............. Post Office Department....................................................... State Department................................................................. Treasury Department......................................................... War Department.................................................................. District of Columbia. .......................................................... 6 2 9 1 1 3,050 3,100 3,133 3,200 3,000 18,300 6,200 28,197 3,200 3,000 2 9 43 35 6 2 4 1 49 47.1 24 34 2 7 17 14 5 80.5 22 13 3,000 3,178 2,972 3,103 3,033 3,150 2,975 2,900 3,150 3,124 ■3,113 3,046 3,000 3,074 3,159 3,086 3,000 3,147 3,112 3,054 6,000 28,602 127,800 108,615 18,200 6,300 11,900 2,900 154,350 147,161 74,700 103,549 6,000 21,520 53,699 43,200 15,000 253,302 68,464 39,700 TotaL................................................................................. 435.6 3,099 1,349,859 413 33,487 a123 BUDGET STATEMENTS No. 30.—Statement summarizing and comparing 5y classification services and grades for the fiscal years 1931, 1980, and 1929, the average number of employees, the average salary rates, and the total salaries of the personnel of the executive departments and independent establishments in the District of Columbia, classified under the act of March 4, 1923, as amended—Continued Estimated expenditures, 1931 Classification service and grade by department or establishment Clerical, administrative, and fiscal service—Continued. Grade 7, $2,600 to $3,100; average, $2,850Executive Office................................................................... American Rattla Mnnnmprits CoTnmi^nn . . Board of Mediation................................. ........................... Board of Tax Appeals......................................................... Bureau of Efficiency............................................................ Civil Service Commission................................................... Employees’ Compensation Commission............................. Federal Board of Vocational Education.............................. Federal Trade Commission........................... ...................... General Accounting Office............................. ..................... Interstate Commerce Commission...................................... National Advisory Committee for Aeronautics................... Pflrsonnfil ClqstfficRtfon Ro^rd . ... , .......... Public Buildings and Public Parks of the National Capital. Smithsonian Institution...................................................... Tariff Commission............................................................. U. S. Shipping Board.......................................................... U. S. Vetcians' Bureau.............................. ....................... Department of Agriculture.................................................. Department of Commerce.................................................. Department of the Interior.................................................. Department of Justice................... .................................... Department of Labor.................................................... ...... Navy Department................................... .......................... Post Office Department....................................................... State Depaitment................................................................ Treasury Department...................................................... War Department................................................................. District of Columbia............................................................ Total................................................................................. Grade 6, $2,300 to $2,800; average, $2,550— Executive Office................................ .................................. American Battle Monuments Commission..................... . Board of Mediation.............................................................. Board of Tax Appeals.......................................................... Bureau of Efficiency............................................................ Civil Seivice Commission.................................. ................ Employees’ Compensation Commission............................. Federal Board for Vocational Education ....... * Federal Power Commission................................................. Federal Trade Commission.................................................. General Accounting Office_______ _____ _ . Interstate Commerce Commission...................................... National Advisory Committee for Aeronautics.................. Personnel Classification Board............................................ Public Buildings and Public Parks of the National Capital. Smithsonian Institution...................................................... Tariff Commission............................................. ......... U.S. Shipping Board........................................................... U. S. Veterans’ Bureau...................................................... Department of Agriculture.................................................. Department of Commerce.................................................. Department of the Interior.................................................. Department of Justice......................................................... Department of Labor.___ ____ ___________________ _ Navy Department.................. ............ ............ ... ....... Post Office Department...................................................... State Department..... .......................................................... Treasury Department......................................................... War Department................................................................. District of Columbia............ , ............ .......... ...................... Total.................................................................................. Average number of em ployees Average salary rate Total salaries Estimated expenditures, 1930 Average number of em ployees Average salary rate Total salaries 5 $2,788 $13,940 7 $2; 829 $19,803 5 2 10 7 3 1 19 146 81 2 2,800 2,800 2,790 2,657 2,667 2,700 2,732 2,677 2,829 2,750 14,000 5,600 27,900 18,600 8,000 2,700 51,908 390,800 229,174 5,500 5 2 10 7.1 3.1 1 14 144 80 1.7 2,800 2,800 2,790 2,656 2,665 2,900 2,750 2,678 2,829 2,735 14,000 5,600 27,900 18,860 8,062 2,900 38,500 385,600 226,292 4,720 1 3 8 4 165 105.5 129 132 17 24 41 51 25 329 71 20 2,600 2,800 2,813 3,025 2,850 2,828 2,821 2,739 2,812 2,758 2,838 2,816 2,70* 2,840 2,793 2,830 2,600 8,400 22,500 12,100 470,250 298,395 363,928 361,593 47,809 66,200 116,385 143,595 67,600 934,469 198,293 56,600 1 3 8 4 174 102.5 126.9 133 16 24 41.2 51 22 329 70 20 2,600 2,800 2,813 3,025 2,850 2,833 2,828 2,719 2,825 2,758 2,810 2,816 2,737 2,829 2,745 2,800 1,406.5 2,800 3,938,839 1,400.5 3 1 1 1 3 13 8 1 2 28 172 108 2 2,533 2,700 2,500 2,800 2,533 2,438 2,513 2,400 2,650 2,430 2,394 2,477 2,550 7,599 2,700 2,500 2,800 7,600 31,700 20,100 2,400 5,300 68,010 411,800 267,560 5,100 3 9 8 5 43 110.1 100 143.5 11 24 50 104 330 117 25 2,467 2,511 2,399 2,540 2,550 2,508 2,516 2,444 2,455 2,475 2,535 2,514 2,381 2,543 2,491 2,516 1,446.6 2,491 21 Expended and obligated, 1929 Average number of em ployees Average salary rate Total salaries 2,600 8,400 22,500 12,100 495,900 290,393 358,944 361,674 45,204 66,200 115,770 143,595 60,214 930,720 192,135 56,000 7 0.9 4.5 2 9.3 6.7 2.9 1 13.2 141.5 75.1 1 0.9 1 3 10.9 4.9 167 100.1 106.1 133.8 15.8 21.3 40.8 51.5 18.2 322.4 70.6 18.8 $2,771 3,100 2,778 2,800 2,822 2,660 2,613 2,800 2,785 2,640 2,828 2,800 2,600 2,600 2,800 2,699 2,956 2,720 2,818 2,794 2,727 2,862 2,759 2,802 2,812 2,750 2,840 2,742 2,786 $19,397 2,790 12,500 5,600 26,245 17,820 7,578 2,800 36,762 373,584 212,406 2,800 3,340 2,600 8,400 29,353 14,484 454,240 282,062 296,500 364,813 45,227 58,781 114,319 144,908 50,050 915,750 193,552 52,380 2,795 3,914,586 1,352.2 2,773 3,750,041 4 1 1 1 3 12l9 7.8 l 1.5 IS 169 107 2 2,475 2,500 2,400 2,800 2,533 2,439 2,513 2,300 2,650 2,557 2,396 2,475 2,550 9,900 2,500 2,400 2,800 7,600 31,450 19,600 2,300 3,975 46,026 404,900 264,888 5,100 3.3 0.7 0.8 1 3.8 11.8 7.6 2,425 2,400 2,400 2,700 2,535 2,452 2,419 8,002 1,680 2,200 2,700 9,633 28,930 18,384 7,400 22,600 19,192 12,700 109,650 276,161 251,563 350,728 27,000 59,400 126,747 261,483 50,000 839,078 291,461 62,898 3 9 8 5 43 107.9 97.5 145.8 9 24 49.3 101 19.5 330.9 117 24 2,467 2,522 2,399 2,540 2,550 2,518 2,515 2,413 % 489 2,475 2,504 2,603 2,389 2,530 2,456 2,504 7,400 22,700 19,192 12,700 109,650 271,723 245,183 351,768 22,398 59,400 123,468 252,873 46,592 837,139 287,334 60,098 2 17.1 171.8 98.8 2 0.5 3 8 6.2 4.3 43.8 103.8 97.8 150 7.8 24 50.4 99.4 16.5 322.7 116.4 25.8 2,650 2,465 2,372 2,465 2,550 2,300 2,467 2,537 2,439 2,579 2,478 5,300 42,152 407,550 243,506 5,100 1,150 7,400 20,300 15,112 11,090 108,636 261,505 243,498 360,104 3,603,260 1,423.1 2,483 3,533,057 1,401.1 2,470 2,490 2,401 2,525 2,467 2,504 19,692 59,213 126,224 248,818 2,503 2,451 40,446 2,522 2,445 813,839 284,546 64,113 2,485 3,460,723 1 . i.1.1i .......j 62331— 29------ i n ■m a124 THE BUDGET, 1931 , No. 30.—Statement summarizing and comparing by classification services and grades for the fiscal years 1981 1930, and 1929, the average number of employees, the average salary rates, and the total salaries of the personnel of the executive departments and independent establishments in the District of Columbia, classified under the act of March 4i 1928, as amended—Continued Estimated expenditures, 1931 Classification service and grade by department or establishment Average number of em ployees Average salary rate Total salaries Estimated expenditures, 1930 Average number of em ployees Average salary rate Total salaries Expended and obligated, 1929 Average number of em ployees Average salary rate Total salaries I Clerical, administrative, and fiscal service—Continued. Grade 5, $2,000 to $2,500; average, $2,260Executive Office.................................................................. .AmeriPHTi Bftttlft Mnniimftnts Commission Board of Mediation............................................................. Board of Tax Appeals.......................................................... Bureau of Efficiency............................................................ Civil Service Commission.................................................... Employees' Compensation Commission....................... ...... Federal Board for Vocational Education............................ Federal Farm Board............................................................ Federal Radio Commission.................................................. Federal Trade Commission.................................................. General Accounting Office................................................... Interstate Commerce Commission....................................... National Advisory Committee for Aeronautics__________ P«rsnnn^l Clfissifirfttinn Board .. __ _ Public Buildings and Public Parks of the National Capital, Smithsonian Institution.................................. ............. ...... Tariff Commission ............................................................. IT.S.Shipping Board..... ............ ...... ................................. U.S. Veterans’ Bureau........................................................ Department of Agriculture.................................................. Department of Commerce................................................... Department of the Interior................................................. Department of Justice.................................. ....................... Department of Labor.......................................................... Navy Department.................... ........................................... Post Office Department....................................................... State Department................................................................ Treasury Department......................................................... War Department................................................................. District of Columbia............................... .......... ................ Total-.............. ........................................ .................. . Grade 4, $1,800 to $2,100; average, $1,950— Executive Office.............................................................. Board of Mediation...... ...................................................... Board of Tax Appeals.................. .............. ........................ Bureau of Efficiency........................... ................................ Civil Service Commission................................................... Employees’ Compensation Commission--------------- -------Federal Board for Vocational Education............................. Federal Farm Board.................. ..................... .................. Federal Oil Conservation Board......................................... Federal Power Commission................................................. Federal Radio Commission................................. ............... Federal Trade Commission........... ...................................... General Accounting Office................................................... Interstate Commerce Commission.......... ........................... National Advisory Committee for Aeronautics................... Personnel Classification Board............................................ Public Buildings and Public Parks of the National Capital. Smithsonian Institution.. . .......................... .................... Tariff Commission............................... ............................... Department of Agriculture.................................................. Department of Commerce_________ ___________________ Department of the Interior................................................. Department of Justice--------------------------------------------- _ Department of Labor........ ................................................... Navy Department............................................ ................... Post Office Department....................................................... State Department........ ............................................ ........... Treasury Department.................... .......... ......................... W ar Department..................... ............................................ District of Columbia. ..... ................................................... Total................................................................................ $2,300 $2,300 1 0.3 2.5 21.7 1.9 31.4 U.1 6 2 9 21.5 316.9 94.9 $2,200 2,150 2,160 2,220 2,146 2,221 2,243 2,221 2,125 2,167 2,177 2,133 2,223 $2,200 645 5,400 48,178 4,077 69,724 24,897 13,327 4,250 19,503 46 806 676 050 210,997 3 23 2 29.1 11 6 2 6 20 315 92 .6 2,133 2,250 2,150 2,208 2,237 2,217 2,150 2,167 2 228 2,143 2,231 2,200 6,400 51,750 4,300 64 250 24,602 13,300 4,300 13 000 44,560 675 200 205,256 1,320 8,800 6,700 38,500 8,500 418,500 526,748 603,079 453,414 99,960 132,203 260,895 362,458 165,268 1,130,362 436,869 133,987 4 3 17 4 171 235.2 263 211.3 43 60.5 118.5 161 70 503 199.9 €0 2,200 2,200 2,265 2,125 2,250 2,237 2,238 2,136 2,198 2,204 2,198 2,198 2,104 2,227 2,147 2,163 8,800 6,600 38,£00 8,500 384,750 526,257 587,870 451,289 94,502 133,348 2€0,435 353,897 147,280 1,120,217 429,200 129,796 1.1 4 2.1 18.1 2.6 164.5 226.5 258.2 205 39.1 59.1 109 158 65.5 486.5 191.7 57.6 2,000 2,125 2,269 2,293 2,223 2,199 2,231 2,207 2,132 2,198 2,209 2,201 2,209 2,112 2,220 2,144 2,162 2,200 8,500 4,766 41,519 5,780 361,736 505,227 569,893 437 074 85,956 130,538 239,879 350,969 138,306 1,079,870 411,070 124,546 2,201 5,950,079 2,635.1 2,198 5,791,779 2,568.8 2,189 5,623,88a 1 1 26 2 49 15 6 10 1 6 2 28 260 104 8 1,920 1,920 1,950 2,100 1,897 1,948 1,920 1,950 1,920 1,930 1,920 1,959 1,887 1,929 1,920 1,920 1,920 50,700 4,200 92,953 29,220 11,520 19,500 1,920 11,580 3,840 54,852 490,620 200,661 15,360 2 1 25 2 44.3 15 7 7 1 5.7 2 28 258 99 7 1,890 1,920 1,950 2,100 1,909 1,948 1,911 1,868 1,920 1,930 1,920 1,959 1,888 1,935 1,937 3,780 1,920 48,750 4,200 84,582 29,220 13,380 13,080 1,920 11,001 3,840 54,852 487,020 191,671 13,560 17,361 41,426 56,040 23,040 834,600 803,070 770,195 579,229 131,316 124,444 449,124 394,774 201,328 1,726,343 814,613 226,017 9 17.9 29 12 425 409.1 388.3 296.4 66.4 64.3 226 201 100.5 881.3 423 115.1 1,929 1,901 1,932 1,920 1,950 1,933 1,932 1,888 1,880 1,885 1,905 1,928 1,851 1,930 1,898 1,919 17,361 34,044 56,040 23,040 828,750 790,923 750,012 559,696 124,802 121,180 430,427 387,456 185,985 1,700,555 802,621 220,870 3 0.6 25.2 2 52.3 14.8 4.9 6.9 1 5 4 26.9 258.6 98.7 5 0.4 9 18.3 25 9.9 418.5 385.7 389.8 296.3 68.3 66.7 200.7 201.5 82.5 872.1 412.3 112.7 1,900 1,920 1,903 2,100 1,910 1,937 1,965 1,852 1,920 1,956 1,860 1,901 1,884 1,902 1,920 1,800 1,888 1,899 1,938 1,919 1,921 1,926 1,915 1,890 1,885 1,873 1,904 1,936 1,864 1,931 1,895 1,906 5,700 1,099 47,965 4,200 99,900 28,668 9,627 12,780 1,920 9,780 7,440 51,137 487,165 187,683 9,600 720 16,992 34,766 48,450 18,998 803,939 742,713 746,598 559,968 128,745 124,935 382,231 390,009 153,765 1,684,347 781,148 214,822 9 21.9 29 12 428 415.5 39a 1 304.5 70 66 235 205 109 890 426 117.1 1,929 1,891 1,932 1,920 1,950 1,933 1,935 1,902 1,876 1,886 1,911 1,926 1,847 1,940 1,921 1,930 4,255.1 1,923 8,183,686 4,168.3 1,918 7,996,538 4,078.6 1,912 | 7,797,810 1 $2,000 $2,000 i 3 24 2 29 11 3 6 6 34 325 92 1 2,200 2,250 2,150 2,207 2,237 2,233 2,150 2,250 2,134 2,139 2,231 2,200 6,600 54,000 4,300 64,000 24,602 6,700 12,900 13 £00 72,556 695 200 205 248 2,200 4 3 17 4 186 235.4 271 210.5 46 eo 118 165 79 £05 201 61 2,200 2,233 2,265 2,125 2,250 2,238 2,225 2,154 2,174 2,203 2,211 2,197 2,092 2,238 2,173 2,197 2,702.9 ; A 125 BUDGET STATEMENTS No. 30.—Statement summarizing and comparing by classification services and grades for the fiscal years 1931, 1980, and 1929, the average number oj employees, the average salary rates, and the total salaries oj the personnel oj the executive departments aim independent establishments in the District oj Columbia, classified under the act oj March 4, 1928, as amended— Continued Estimated expenditures, 1931 Classification service and grade by department or establishment Clerical, administrative, and fiscal service—Continued. Grade 3, $1,620 to $1,920; average, $1,770Executive Office_____________ _______________________ Average number of em ployees 1 1 4 14 8 84.3 14 13 15 7 5 53 312 198 8 Board of Mediation............................................................. Board of Tax Appeals......................................................... Bureau of Efficiency.......................................... ........ ....... Civil Service Commission................................................... Employees' Compensation Commission............................. Federal Ttofird ____ ___ Federal Farm Board......... ................................................. Federal Power Commission.......................... ..................... Federal Radio Commission................................................. Federal Trade Commission................................................. General Accounting Office................................................... Interstate Commerce Commission...................................... National Advisory Committee for Aeronautics................... Personnel Classification Board............................................ Public Buildings and Public Parks of the National Capital. 27 Smithsonian Institution..................... ............................... 15.7 Tariff Commission..................................... ........................ 31 1 U. S. Geographic Board....................................... .............. U. S. Shipping Board......................................................... 4 U. S. Veterans' Bureau........... ........................................ — 1,096 Department of Agriculture............... ............................ ...... 720.1 Department of Commerce____________ _______________ 704.3 Department of the Interior.................................................. 374.7 Department of Justice......................................................... 157 Department of Labor.......................................................... 175 Navy Department............................ ............................... 503 Post Office Department-............................... ................ 226 State Department............................................................... 190 Treasury Department.......................................................... 1,614 War Department................................................................. 620 District of Columbia...................... ............................... 177 Total................................................................................. 7,373.1 Grade 2, $1,440 to $1,740; average, $1,590— American Battle Monuments Commission......... ............... 3 Board of Mediation.... ........................................................ 1 Board of Tax Appeals.......................................................... 19 Bureau of Efficiency........................................................._* 2 Civil Service Commission......................... ........................ 56 Commission of Fine Arts..................................................... 1 Employees' Compensation Commission....................... ...... 41 Federal Board of Vocational Education.............................. 2 Federal Farm Board.... ...................................................... 28 Federal Power Commission................................................. 1 Federal Radio Commission_________________ ________ * 2 Federal Trade Commission................................................ 29 General Accounting Office................................................ 320 Interstate Commerce Commission............. . ........................ 199 National Advisory Committee for Aeronautics.... .............. 6 Personnel Classification Board— -------- -------------- -----Public Buildings and Public Parks of the National Capital. 5 Smithsonian Institution*........................ ............................ 10 Tariff Commission............................................................... 17 U. S. Shipping Board................. .......................... ........ 24 U. S. Veterans' Bureau........................................................ 1,189 Department of Agriculture__________ _________________ 473 Department of Commerce..... .............................................. 668.5 Department of the Interior.................................................. 220.9 Department of Justice............. ........ .................................. 100 Department of Labor......................................................... 143 Navy Department............................................................... 397 Post Office Department...................................................... 209.7 State Department.......... ..................................................... 88 Treasury Department......................................................... 1,779 War Department......... ....................................................... 563 District of Columbia........................................................... 349 Total.................................................................................. 6,946* 1 Average salary rate Total salaries Estimated expenditures, 1930 Average number of em ployees Average salary rate Total salaries Expended and obligated, 1929 Average number of em ployees Average salary rate 1 1 4.2 13.1 6 92.9 12.9 10.4 7 3.8 22 57.1 318.1 155.8 4 0.6 26 16.8 27.7 $1,800 1,770 1,654 1,749 1,715 1,702 1,734 1,713 1,686 1,680 1,674 1,723 1,714 1,727 1,670 1,620 1,709 1,759 1,671 $1,800 1,770 6,997 22,848 10,288 158,100 22,369 17,820 11,802 6,384 36,828 98,383 545,065 269,082 6,680 972 44,427 29,555 46,296 Total salaries $1,800 1,920 1,760 1,770 1,718 1,702 1,757 1,724 1,770 1,723 1,680 1,766 1,723 1,729 1,658 $1,800 1,920 7,040 24,780 13,740 143,479 24,598 22,414 26,550 12,061 8,400 93,598 537,690 342,431 13,264 1 j 4 14 8 83.5 14 17 10 5.9 5 50 311 177 6 $1,800 1,860 1,680 1,770 1,718 1,703 1,757 1,706 1,692 1,740 1,680 1,767 1,724 1,744 1,670 $1,800 1,860 6,720 24,780 13,740 142,165 24,598 29,006 16,917 10,266 8,400 88,350 536,070 308,652 10,020 1,716 1,728 1,682 1,740 1,725 1,770 1,733 1,742 1,718 1,685 1,692 1,743 1,738 1,645 1,751 1,729 1,731 46,341 27,138 52,140 1,740 6,900 1,939,920 1,247,782 1,226,928 643,777 264,505 296,046 876,682 392,892 312,504 2,826,665 1,071,815 306,417 26 16.7 31 1 4 1,075 700.9 674.4 368.2 130.8 150 498.7 224 152 1,609.8 621.1 159 1,720 1,732 1,682 1,680 1,725 1,770 1,735 1,744 1,719 1,691 1,701 1,728 1,741 1,658 1,742 1,707 1,722 44,721 28,935 52,140 1,680 6,900 1,902,750 1,216,022 1,176,036 632,808 221,227 255,183 861,614 389,099 251,962 2,804,705 1,060,013 273,853 3.1 1,106.9 665.5 641 368.4 122.2 138.1 475.9 214.7 151.7 1,695.7 611.7 153.2 1,716 1,750 1,716 1,717 1,717 1,702 1,699 1,731 1,747 1,647 1,740 1,705 1,733 5,320 1,937,075 1,141,931 1,100,846 632,454 207,993 234,656 823,678 375,152 249,898 2,950,106 1,043,216 265,445 1,738 12,813,957 7,150. 1,735 12,402,992 7,128.5 1,726 12,305,236 1,560 1,620 1,590 1,530 1,461 1,440 1,545 1,620 1,590 1,440 1,560 1,526 1,534 1,530 1,507 4,680 1,620 30,210 3,060 81,816 1,440 63,345 3,240 44,520 1,440 3,120 44,254 490,740 304,426 9,042 4 1 19 2 51.5 1,545 1,560 1,590 1,530 1,463 6,180 1,560 30,210 3,060 75,360 3.7 2.2 18.6 2.9 53.2 1,491 1,548 1,570 1,514 1,463 5,517 3,406 29,208 4,389 77,808 38 3 26 1.1 6.5 29 315 178 4 1,550 1,620 1,459 1,440 1,560 1,526 1,535 1,540 1,540 58,900 4,860 38,942 1,584 10,140 44,254 483,540 274,101 6,160 1,512 1,583 1,545 1,530 1,590 1,558 1,543 1,546 1,487 1,503 1,549 1,545 1,471 1,585 1,549 1,540 7,560 15,838 26,260 36,720 1,890,510 737,090 1,035,943 341,527 148,712 214,920 615, 111 323,968 129,486 2,819,266 872,535 537,368 4 10.2 17 24 1,256 454.1 631.6 220.9 78.4 123 388.2 206.7 76 1,917.3 557 329 1,530 1,580 1,545 1,530 1,590 1,562 1,551 1,538 1,493 1,509 1,530 1,551 1,476 1,577 1,518 1,525 6,120 16,126 26,260 36,720 1,997,040 699,574 980,091 339,660 117,046 185,710 594,024 320,592 112,201 3,023,220 844,595 501*677 34.1 3 23.8 0.5 23 25.4 306.8 165.5 3 1.8 4 11 19 17.1 1,232.9 414.9 613.1 213.8 79.9 133.1 3502 208.1 97.5 2,040.9 548.1 327.5 1,518 1,620 1,521 1,470 1,560 1,514 1,537 1,519 1,540 1,440 1,500 1,586 1,532 1,576 1,556 1,530 1,534 1,542 1,523 1,511 1,533 1,556 1,410 1*5«8 1,510 1,516 51,764 4,860 36,211 735 35,880 38,456 471,525 251,471 4,620 2,592 6,000 17,450 29,099 26,950 1,918,392 634,918 940,738 329,587 121,663 201,105 536,902 323,790 137,499 3,199,173 827,863 496,357 1,561 101,839,767 6,97L 5 1,555 10,839,507 1,543 10,765,928 a126 the budget, 1931 No. 30.—Statement summarizing and comparing by classification services and grades for the fiscal years 1931, 1930, and 1929, the average number of employees, the average salary rates, and the total salaries of the personnel of the executive departments and independent establishments in the District of Columbia, classified under the act of March 4, 1923, as amended—Continued Estimated expenditures, 1031 Classification service and grade by department or establishment Average number of em ployees Average salary rate Total salaries Estimated expenditures, 1930 Average number of em ployees Average salary rate Total salaries Expended and obligated, 1929 Average number of em ployees Average salary rate Total salaries ! Clerical, administrative, and fiscal service—Continued. Grade 1, $1,260 to $1,560; average, $1,410— American Battle Monuments Commission. .... Board of Mediation.... ......................................................... Board of Tax Appeals.......................................................... Bureau of Efficiency............................................................. Civil Snrvinft CftmmLssion_ ___ ------- __ ----Employees' Compensation Commission............................ Federal Board of Vocational Education*.__ -____________ Federal Farm Board__ ______ _______ __ _ Federal Radio Commission.................................................. Federal Trade Commission.................................................. General Accounting Office................................................... Interstate Commerce Commission....................................... National Advisory Committee for Aeronautics................... Public Buildings and Public Parks of the National Capital.. Smithsonian Institution....................................................... Tariff Commission......... ..................................................... U. S. Shipping Board.............................................. ........... U. S. Veterans’ Bureau........................................................ Department of Agriculture................. ................................ Department of Commerce.................................................... Department of the Interior............ ..................................... Department of Justice......................................................... Department of Labor........................................................... Navy Department............................................................... Post Office Department................................. - .................... State Dapartment................................................................ Treasury Department.......................................................... War Department................................................................ District of Columbia............................ ............................... 1 7 1 0 9 $1,380 1,384 1,260 1,320 1,367 $1,380 9,690 1,260 11,880 12,303 2 3 154 21 5 1 6 1 6 446 156.1 264.1 56 70 86 101 61 27 668 101 79 1,260 1,420 1,361 1,334 1,380 1,380 1,610 1,380 1,390 1,410 1,382 1,359 1,390 1,319 1,302 1,386 1,379 1,320 1,403 1,363 1,361 Total.................................................................................. 2,34L2 2,520 4,260 209,640 28,022 6,900 1,380 9,660 1,380 8,340 628,860 216,763 359,183 77,814 92,332 111, 954 139,996 84,119 35,632 937,096 137,685 107,553 1 1 7 1 10 9 1 2 3 3 154 20 4 1 6 1 6 498 153.7 262.9 55 45 37 102.7 60 17.8 723.2 100 77 $1,320 1,380 1,384 1,260 1,314 1,367 1,380 1,440 1,260 1,420 1,361 1,338 1,410 1,380 1,370 1,380 1,390 1,410 1,384 1,375 1,371 1,354 1,353 1,379 1,381 1,355 1,392 1,316 1,338 $1,320 1,380 9,690 1,260 13,140 12,303 1,380 2,880 3,780 4,260 209,640 26,762 5,640 1,380 8,220 1,380 8,340 702,180 212,710 347,938 75,422 60,948 50,060 141,602 82,860 24, 111 1,006,611 131,595 103,049 0.7 1 9 0.9 9.6 10.2 1.1 3.3 4 3.5 144.4 21.4 3 1 6 1.5 6 488.4 150.5 243.4 60.5 50.1 40.9 100.5 62.8 23.3 776.8 101.4 76.7 $1,260 1,380 1,413 1,303 1,316 1,327 1,341 1,370 1,260 1,345 1,364 1,332 1,400 1,380 1,392 1,397 1,390 1,350 1,368 1,340 1,355 1,351 1,338 1,379 1,384 1,246 1,398 1,323 1,343 $882 1,380 12,724 1,172 12,636 13,535 1,475 4,521 5,040 4,708 197,015 28,513 4,200 1,380 6,960 2,096 8,340 669,340 205,885 330,236 81,968 67,672 54,754 138,566 86,912 29,040 1,086,118 134,192 103,038 1,382 3,236,600 2,362.3 1,382 3,261,841 2,400.9 1,368 3,284,298 3 2 1 1 2 2 7 2,766 2,800 2,860 2,800 2,700 2,860 2,900 8,298 5,600 2,860 2,800 5,400 6,700 20,300 2 2 1 1 2 2 7 2,850 2,800 2,850 2,800 2,700 2,850 2,886 5,700 5,600 2,850 2,800 5,400 5,700 20,200 2 2 1 1 2 1.6 6 2,800 2,800 2,900 2,700 2,700 2,871 2,866 6,600 5,600 2,900 2,700 5,400 4,693 17,200 Total................................................................................. 18 2,830 50,948 17 2,838 48,250 15.6 2,820 43,993 Grade 9, $2,300 to $2,800; average, $2,550— Public Buildings and Public Parks of the National Capital. Smithsonian Institution....................................................... Department of Agriculture.................................................. Department of Commerce.................................................... Department of the Interior.................................................. Post Office Department....................................................... Treasury Department.......................................................... District of Columbia........................................................... 7 1 6 3 4 1 3 13 2,457 2,400 2,617 2,633 2,600 2,600 2,600 2,453 17,200 2,400 15,100 7,900 9,999 2,600 7,800 31,890 7 1 6 3 4 1 3 13 2,457 2,400 2,617 2,633 2,476 2,600 2,600 2,438 17,200 2,400 15,100 7,900 9,899 2,600 7,800 31,690 7 1 6.9 3.4 3.3 1 3.2 10.3 2,457 2,300 2,515 2,577 2,612 2,600 2,628 2,464 17,200 2,300 14,840 8,764 8,289 2,600 8,088 26,380 Total.................................................................................. 38 2,497 94,889 38 2,489 94,689 35.1 2,492 87,461 Grade 8, $2,000 to $2,500; average, $2,260Public Buildings and Public Parks of the National Capital. Smithsonian Institution....................................................... U. S. Veterans’ Bureau........................................................ Department of Agriculture................................................. Department of Commerce.................................................... Department of the Interior.................................................. Navy Department..................................................... ......... Post Office Department................................................... Treasury Department............................... .......................... District of Columbia............................................................ 16 1 5 5 4 4 2 4 3 22 2,236 2,100 2,260 2,300 2,276 2,263 2,160 2,176 2,333 2,241 36,780 2,100 11,250 11,600 9,100 9,062 4,300 8,700 7,000 49,296 16 1 5 6 4 4 2 4 3 22 2,252 2,100 2,250 2,300 2,276 2,263 2,160 2,176 2,333 2,232 33,780 2,100 11,260 11,600 9,100 9,062 4,300 8,700 7,000 49,096 15 1 6 5 3 3.7 2 4 3 24.7 2,233 2,000 2,180 2,260 2,230 2,227 2,064 2,175 2,313 2,194 33,496 2,000 10,900 11,300 6,692 8,239 4*108 8,700 6,938 64,186 Total.................................................................................. 66 2,244 148,078 66 2,244 146,878 66*4 2,207 146,568 Custodial service: Grade 10, $2,600 to $3,100; average, $2,860— Public Buildings and Public Parks of the National Capital. Smithsonian Institution....................................................... TJ. S. Veterans’ Bureau........................................................ Department of Agriculture.................................................. Department of Commerce................................................... Treasury Department.......................................................... District of Columbia............................................................ A127 BUDGET STATEMENTS No. 30.—Statement summarizing and comparing by classification services and grades for the fiscal years 1931, 1930, and 1929, the average number oj employees, the average salary rates, and the total salaries oj the personnel oj the executive departments and independent establishments in the District oj Columbia, classified under the act oj March 4, 1923, as amended—Continued Estimated expenditures, 1931 Classification service and grade by department or establishment Custodial service—Continued. Grade 7, $1,860 to $2,200; average, $2,016.67— Civil Service Commission....... .......................... ................ Federal Board for Vocational Education__________ ______ General Accounting Office____________________________ Interstate Commerce Commission....................................... Public Buildings and Public Parks of the National Capital. Smithsonian In s titu tio n ........................ ____ U. S. Shipping Board_____ ______________......_______ TTtft. Vi>ter|»ns* Bnrfiftii. ............. Department of Agriculture.................................................. Department of Commerce____________________________ Department of the Interior.................................................. Navy Department............................................................... Post Office Department_________ ___ _________________ Treasury Department..... .................................................... War Department.............................................. .................. District of Columbia....... .................................................... Average number of em ployees Average salary rate Total salaries Estimated expenditures, 1930 Average number of em ployees Average salary rate Expended and obligated, 1929 Total • salaries Average number of em ployees Average salary rate Total salaries 5 39 17.1 24 2 4 13 2 69 $2,040 1,980 2,010 2,200 1,956 1,929 2,200 2.017 2,023 1,976 1,993 1,980 1,995 2,041 1,980 1,990 $2,040 1,980 4,020 2,200 133,018 25,080 2,200 10,085 78,900 33.713 47,822 3,960 7,980 26,538 3,960 137,300 1 1 2 1 52 12 1 5 39 17.7 24 2 4 13 2 69 $2,040 1.980 2,010 2,200 1,983 1,935 2,200 2,017 2,023 1,918 1,984 1,980 1,995 2,018 1,980 1.942 $2,040 1,980 4,020 2,200 103,139 23,220 2,200 10,085 78,900 34,970 47,624 3,960 7.980 26,237 3,960 134,025 1 1 2 1 52 10.8 1 5 39.9 17.3 22.9 2 4 12.6 1.8 64 $2,040 1,980 2,010 2.200 1,973 1,884 2,200 2.016 2,004 1,970 2.028 1,980 1,995 2.008 1,972 1,966 $2,040 1.980 4,020 2,200 102,678 20,347 2,200 10,080 79,958 34,082 46,449 3,960 7,980 25,303 3,630 125,813 Total................................................................................. 262.1 520,796 1,987 245.7 1,980 486,540 238.3 1,983 472,620 Executive Office............................................................................... Grade 6, $1,680 to $1,980; average, $1,830— Federal Trade Commission.................................................. General Accounting Office................................................ Interstate Commerce Commission....................................... Public Buildings and Public Parks of the National Capital. Smithsonian Institution.......... .......... .................... ............ U. S. Veterans’ Bureau........................................................ Department of Agriculture__________ __________ _______ Department of Commerce................................................... Department of the Interior.................................................. Department of Labor........ .................................................. Navy Department____ ___________ ___________________ Post Office Department....................................................... State Department................................................................ Treasury Department.......................................................... War Department........................... . .................................... District of Columbia............................................................ 1 1,800 1,800 2 4 1 149 12.8 28 33 21 61 1 2 30 1 43 4 223 1,830 1,785 1,860 1,783 1,785 1,830 1,802 1,814 1,798 1,800 1,830 1,831 1,680 1,821 1,845 1,802 3,660 7,140 1,860 265,676 22,857 51,240 59,481 38,098 109,674 1,800 3,660 54,932 1,680 78,310 7,380 401,794 Total..................................*.............................................. 616.8 1,801 2 Grade 5, $1,500 to $1,800; average, $1,650Executive Office................................................................... Federal Board of Vocational Education..... ............ ........... General Accounting Office................................................... Public Buildings and Public Parks of the National Capital, Smithsonian Institution....................................................... Tariff Commission.............................................................. U. S. Veterans' Bureau.................................................. . Department of Agriculture.................................................. Department of Commerce.................................................... Department of the Interior.................................................. Department of Justice.......................................................... Post Office Department....................................................... Treasury Department........................ - ............................ War Department...............................—............................ — District of Columbia............................................................ Total................................................................................. Grade 4, $1,320 to $1 620; average, $1,470— Executive Office................................................................... American Battle Monuments Commission......................... Board of Tax Appeals............ - ............................................ Civil Service Commission.................................................... Federal Board for Vocational Education..... ....... *................ Federal Trade Commission................................................. General Accounting Office............................. ..................... Interstate Commerce Commission...................................... Public Buildings and Public Parks of the National Capital.] 1 1 2 1 68 13 I 1 1,740 1,740 1 1,740 1,740 2 4 1 126 12.8 28 31.4 21.8 61 1 2 30 1 43 4 220 1,830 1,785 1,860 1,790 1,785 1,830 1,795 1,807 1,762 1,800 1,800 1,831 1,680 1,791 1,830 1,777 3,660 7,140 1,860 225,444 22,857 51,240 56,373 39,383 107,500 1,800 3,600 54,932 1,680 77,031 7,320 390,850 2 4 1 126 14.4 26 31.4 22 59.5 1 2 29.9 1 41.1 4 207.4 1,830 1,785 1,770 1,771 1,758 1,802 1,787 1,797 1,803 1,800 1,800 1,788 1,555 1,788 1,830 1,767 3,660 7,140 1,770 223,084 25,317 46,852 66,104 39,539 107,307 1,800 3,600 53,467 1,655 73,474 7,320 366,373 1,111,042 590 1,787 1,054,410 573.7 1,778 1,020^102 1,560 3,120 2 13 9 1 4 12 11 62 1 3 12 1 229 1,500 1,638 1,580 1,680 1,650 1,640 1,625 1,612 1,680 1,640 1,640 1,620 1,607 3,000 21,298 14,220 1,680 6,600 19,680 17,880 83,832 1,680 4,920 19,680 1,620 368,014 2 1 2 11 8 1 4 12 11 46 1 3 12 1 214 1,600 1,620 1,600 1,659 1,590 1,680 1,660 1,640 1,626 1,614 1,680 1,640 1,625 1,620 1,583 3.000 1,620 3.000 18,245 12,720 1,680 6,600 19,680 17,880 74,232 1,680 4,920 19,500 1,620 338,727 1.9 1 1.5 11 5.7 1 3.4 11.4 5.4 49.7 0.1 3 13.6 1 188 1.500 1,620 1.500 1,636 1,624 1,680 1,613 1,634 1,615 1,611 1,604 1,640 1,612 1,620 1,670 2,850 1,620 2,250 17,999 9,258 1,680 5,484 18,625 8,719 80,074 160 4,920 21,927 1,620 295,208 352 1,611 567,224 329 1,596 525,104 297.7 1,587 472,394 3 1 1 2 1,420 1,500 1,500 1,470 4,260 1,500 1,500 2,940 3 1 1 1 9 1 129 1,620 1,467 1,620 1,399 1,620 13,200 1,620 180,480 1,360 1,440 1,500 1,470 1,440 1,620 1,467 1,620 1,394 4,080 1,440 1,600 2,940 1,440 1,620 13,200 1,620 153,317 3 1 1 2 1 1 8.5 Z 110 1,360 1,380 1,500 1,470 1,440 1,661 1,459 1,660 1,380 4,080 1,380 1,500 2,940 1,440 1,661 12,40S 1,560 152,79ft 1 1 1 110 a THE BUDGET, 1931 128 No. 30.—Statement summarizing and comparing by classification services and grades jor the fiscal years 1931, 1930, and 1929, the average number of employees, the average salary rates, and the total salaries of the personnel of the executive departments and independent establishments in the District of Columbia, classified under the act of March 4, 1923, as amended—Continued Estimated expenditures, 1931 Classification service and grade by department or establishment Executive Office—Continued. Qrade 4, $1,320 to $1,620; average, $1,470—Continued. Smithsonian Institution........................................ U.S. Shipping Board............................................ II. S. Veterans' Bureau......................................... Department of Agriculture.................................... Department of Commerce..................................... Department of the Interior.................................... Department of Labor. ........................................... Navy Department................................................. Post Office Department................................. ....... State Department................................................... Treasury Department............................................. War Department................................................... . District of Columbia............................................... Total., Grade 3, $1,200 to $1,600; average, $1,350Executive Office....................................................... Board of Mediation.................................................. Board of Tax Appeals............................................... Bureau of Efficiency................................................. Civil Service Commission....................... ................ Employees' Compensation Commission.................. Federal Board of Vocational Education................... Federal Trade Commission------------ ------------------General Accounting Office........................................ Interstate Commerce Commission........................... Public Buildings and Public Parks of the National Capital, Smithsonian Institution.......................... .......... — Tariff Commission.................................................... U. S. Shipping Board.........-..................................... U. S. Veterans' Bureau............................................. Department of Agriculture..................... ................ Department of Commerce........................................ Department of the Interiop....................................... Department of Justice................ ............................. Department of Labor...................................... ....... . Nav y Department...... .............................................. Post Office Department............................................ State Department................................ .................... Treasury Department............................................... War Department...................................................... District of Columbia............................... ................. Total.. Grade 2, $1,080 to $1,380; average, $1,230Executive Office.......................-...........-............................ Civil Service Commission.................................................. Commission of Fine Arts.,_............................................... Employees' Compensation Commission....... .................... Federal Board for Vocational Education................ .......... Federal Farm Board......................... ................................. Federal Power Commission....... ............ .......................... Federal Radio Commission............................................... Federal Trade Commission........ ....................................... General Accounting office.................................................... Interstate Commerce Commission..................................... . National Advisory Committee for Aeronautics................. . Public Buildings and Public Parks of the National Capi tal...... ............................- ........- ....................................... Smithsonian Institution....................................................... Tariff Commission............................................................... U. S. Shipping Board............................... .......................... U. S. Veterans' Bureau..........—.......................................... Department of Agriculture.................................................. Department of Commerce.................................................... Department of the Interior.................................................. Department of Justice.......................................................... Average number of em ployees Average salary rate 15. 7 1 12 42 21 66 1 8 40 5 66 9 274.5 $1,484 1,380 1,470 1,469 1,465 1 431 1 620 1 485 1 459 1,452 1,466 1,467 1 427 $23,313 1,380 17,640 61,680 30,770 94,440 1,620 11,880 58,378 7,260 96,723 13,200 391,828 708.2 1,436 1 1 5 3 9 3 4 7 65 2 412 82.5 6 2 206 219.9 197.1 205 51 24 123 79 63 713.4 158 382.8 3,024.7 Total salaries Estimated expenditures, 1930 Average number of em ployees Average salary rate Total salaries Expended and obligated, 1929 Average number of em ployees Average salary rate Total salaries 16.7 1 12 41.8 23 70 1 8 40 5 66 9 273.5 $1,475 1,380 1,470 1,467 1 458 1 386 1 620 1,485 1,459 1 452 1,443 1,460 1 387 $24,635 1,380 17,640 61,326 33,540 97,020 1*620 11,880 58,378 7,260 95,223 13,140 379,406 15.8 1 12.6 41.4 18.8 67.1 1 8 40.7 4 eo.9 9 267.9 $1,464 1,380 1,441 1,473 1,455 1,418 1,620 1,470 1,419 1,477 1,441 1,460 1,373 $23,138 1,380 18,157 60,993 27,346 95,117 1,620 11 762 57,749 5,908 87,734 13,140 367,756 1,017,232 696 1,413 983,605 676.7 1,406 951,465 1,380 1,380 1,368 1,400 1,327 1,340 1,365 1,346 1,314 1,350 1,233 1,337 1,350 1,260 1,350 1,321 1,305 1,307 1,341 1,357 1,312 1,552 1,300 1,351 1,340 1,314 1,380 1,380 6,840 4,200 11,940 4,020 5,460 9,422 85,440 2,700 508,170 110,363 8,100 2,520 278,100 290,476 257,244 267,985 68,415 32,564 161,330 106,810 81,900 964,148 211,720 502,996 1 1 5 3 9 3 5 7 65 2 365 82.5 6 2 208 224.9 193.1 198 51.4 24 123 79 58 732.1 158 378.7 1,320 1,380 1,368 1,400 1,327 1,340 1,344 1,346 1,314 1,350 1,231 1,308 1,350 1,260 1,350 1,317 1,276 1,291 1,340 1,357 1,305 1,352 1,310 1,344 1,340 1,289 1,320 1,380 6,840 4,200 11,940 4,020 6,720 9,422 85,440 2,700 449,562 107,963 8,100 2,520 280,800 296,217 246,524 255,711 68,897 32,564 160,557 106,810 75,980 984,179 211,720 488,021 1 1.5 5 3 9 2.9 5 5.9 64.7 2 365 80.7 5.5 2 206.3 224.1 181.2 207.3 51.8 24.6 123.3 82.4 58.1 750 158.3 358.1 1,320 1,400 1,368 1,400 1,327 1,314 1,340 1,382 1,313 1,319 1,227 1,331 1,336 1,260 1,361 1,314 1,307 1,334 1,345 1,351 1,304 1,334 1,132 1,343 1,340 1,234 1,320 2,112 6,840 4,200 11,940 3,810 6,699 8,154 84,955 2,638 448,008 107,477 7,348 2,520 280,774 294,449 236,846 276,499 69,676 33,230 160,776 109,912 65,763 1,007,060 212,071 441,721 1,318 3,985,623 2,984.7 1,310 3,910,107 2,978.7 1,305 3,886,798 2 2 1 1,200 1,080 1,080 2,400 2,160 1,080 2 1.6 1 1,200 1,080 1,080 2,400 1,728 1,080 2 1,140 2,280 4 1,170 4,680 1 1 4 29 35 2 1,200 1,060 1,125 1,202 1,172 1,260 1,200 1,080 4,500 34,860 41,006 2,520 1 1 4 29 33 2 1,200 1,080 1,125 1,202 1,177 1,260 1,200 1,080 4,500 34,860 38,846 2,520 2 1.1 1 1.4 4 0.1 1 4 1.3 28.8 31.3 1 1,140 1,080 1,080 1,096 1,170 1,080 1,140 1,110 1,212 1,199 1,166 1,260 2,280 1,188 1,080 1,534 4,680 108 1,140 4,440 1,576 34,530 36,502 1,260 1,086 849 1,200 1,200 U30 1,182 1,157 1*146 1,080 1,092,866 105,787 1,200 3,600 120,540 246,867 145,810 239,546 2,160 797 123.5 1 3 97 209.1 123 206.4 2 1,086 853 1,200 1,200 1,230 1,182 1,158 1,126 1,060 865,672 105,384 1,200 3,600 119,310 247,254 142,471 234,007 2,160 795 123.2 1 3 98.3 206.5 110.7 213.6 L7 1,084 838 1,060 1,200 1,235 1,180 1,149 1,187 1,085 861,657 103,303 1,060 3,600 121,401 243,768 134,132 253,612 1,845 1,006 1215 1 3 98 208.9 126 209 2 a!29 BTJDGET STATEMENTS No. 30.—Statement summarizing and comparing by classification services and grades for the fiscal years 1931, 1930, and 1929, the average number of employees, the average salary rates, and the total salaries of the personnel of the executive departments and independent establishments in the District of Columbia, classified under the act oj March 4> 1928, as amended—Continued 1 Estimated expenditures, 1931 Classification service and grade by department or establishment Executive office—Continued. Grade 2, $1,080 to $lf380; average, $1,230—Continued. Department of Labor,...... . . . . . . ...................- ......... .......... Post Office Department.......................... ................... . . . . . Treausry Department_____ - __ __________ ____________ War Department........... ______ ________ District of riolunibift „ ...............- . „ - , Total ................................................................ Grade 2, 45 to 50 cents an hour— Department of Agriculture______ ___________ _____ ____ Grade 1, $600 to $840; average, $720— Civil Service Commission..... . . . . ______________ . . . . . . Federal Farm Board . . . . . . ______ Federal Power Commission—. ____ ________ ___________ Federal Trade Commission__________________ ______ General Accounting Office______________________ ____ .. Interstate Commerce Commission............ ...... .................. National Advisory Committee for Aeronautics..... . . . . . . Public Buildings and Public Parks of the National Capital. Smithsonian Institution___. _____. . . . . . . . . . ____ ___ . . . Department of Agriculture___________. . . . . . . . . _______ Department of Commerce___________ _____ ___________ Department of Labor___ . . . . __ . _____ ________________ Navy Department... ............................. ................ - ........... State Department . _______ ... Treasury Department___________________________ ____ War Department______ ______ _________ . __________ District of Columbia___________ . . . . _________________ Total.................................................................................. Average number of em ployees Average salary rate Total salaries Estimated expenditures, 1930 Average number of em ployees Average salary rate Total salaries 7.3 17 74 9 484 33 426 $1,112 1,155 1,240 1,146 942 1,190 1,175 $8,124 19,638 91,752 10,314 456,024 39,268 506,462 7.2 17.4 76 8.2 486.5 33 420 $1,113 1,121 1,237 1,153 920 1,190 1,152 $8,016 19,511 94,034 9,456 447,684 39,268 483,916 2,907.7 1,095 3,183,044 2,690.9 1,084 2,916,437 136 465 63,259 465 63,202 4 660 2,640 1 3 12 49 1 2 3 63.7 37.7 2 4 840 713 630 649 720 630 660 674 668 630 645 840 2,139 7,560 31,782 720 1,260 1,980 42,960 25,190 1,260 2,580 5.5 1 1 3 11 47 1 2 4 63.3 37.5 2 5 644 720 840 713 633 646 720 630 675 667 669 630 636 3,540 720 840 2,139 6,960 30,342 720 1,260 2,700 42,235 25,070 1,260 3,180 6 5 15 610 648 647 3,660 3,240 9,720 6 5 14 580 648 621 208.4 660 137,631 208.3 136 Expended and obligated, 1929 Average number vof em ployees 5.8 15.1 79.1 8.8 487.8 31.6 383.8 Average salary rate Total salaries $1,094 1,152 1,222 1,163 921 1,194 1,131 $6,342 17,390 96,839 10,234 449,221 37,732 434,082 1,083 2,866,556 129.2 458 59,206 4.1 2 1 6.5 15.5 47.2 3,480 3,240 8,700 2 2.5 59.2 36.3 2.4 5.9 1.7 6.5 5.7 13 659 353 780 716 637 644 660 600 678 649 662 623 636 423 568 638 623 2,700 705 780 4,654 9,875 30,390 660 1,200 1.695 38,42 24,042 1,494 3,754 720 3.695 3,637 8,100 655 136,386 212.5 642 136,523 2,648 I Clerical-mechanical servicer Grade 4, 85 to 95 cents an hour— Treasury Department__ . . . . . __ _______ ________. . . ____ 30 2,225 66,750 30 2,225 66,750 30 2,225 66,750 Grade 3f 70 to 75 cents an hour— Treasury Department_______________ ___________ *____ 163 1,847 301,061 163 1,847 301,061 163.3 1,832 299,166 Grad * 2, 60 to 65 cents an boui^* Treasury Department_______ ____ _____________ _______ 1,167 1,626 1,897,542 1,199.3 1,626 1,950,062 l,299.o 1,626 2,112,987 Grade 1, 50 to 55 centj an hour— Treasury Department____________________ ___________ 1,275 1,369 1,745,475 1,325.4 1,369 1,814,473 1,484.2 1,356 2.012,675 a130 THE BUDGET, 1931 B u d g e t S ta te m e n t N o . 31 Statement summarizing and comparing, by departments and independent establishments, jor the fiscal years 1931, 1930 and 1929, the average number of employees, the average salary rate, and the total salaries of the personnel in the Dis trict of Columbia classified under the act of March 1+, 1923, as amended Estimated expenditures, 1931 Department or establishment Average number of em ployees 37 Executive Office................ ......................................................... 7 American Battle Monuments Commission..................................... 33 Board of Mediation......................................................................... 154 Board of Tax Appeals.---- *............................................................. 63 Bureau of Efficiency............................................................. .......... Civil Service Commission............................................................... 341.3 Commission of Fine Arts................................................................. 3 121 Employees' Compensation Commission......................................... Federal Board for Vocational Education........................................ 71 97 Federal Farm Board...................................................................... Federal Oil Conservation Board...................................................... 2 Federal Power Commission............................................................ 40 33 Federal Radio Commission.............................. .............................. 361 Federal Trade Commission............................................................. General Accounting Office............................................................... 1,960 Interstate Commerce Commission................................................... 1,743 52 National Advisory Committee for Aeronautics............................... Personnel Classification Board........................................................ Public Buildings and Public Parks of the National Capital............ 1,875 460.1 Smithsonian Institution................................................................ Tariff Commission............................................ ........ ............. ...... 229 U. S. Geographic Board................................................................... 3 U. S. Shipping Board....................................................................... 95 U. S. Veterans' Bureau.................................................................... 4,438 Depaitment of Agricultuie.............................................................. 5,068.9 Department of Commerce................................................................ 4,839.3 Department of the Interior.........*.................................................... 3,567.3 Department of Justice...................................................................... 711.5 Department of Labor......................................... ............................. 754.8 Navy Department............................................................. ............. 2,134 Post Office Department................................................................. 1,384.7 State Department............................................................................ 803 Treasury Department.......................... ........................................... 11,656.9 War Department..................... .................................................... . 2,588 District of Columbia....................... ................................................ 3,463.2 Total....................................................................................... 49, lap Average salary rate Total salaries $3,409 2,029 4,632 3,463 3,457 2,120 1,907 2,267 3,513 2,807 3,960 3,327 4,231 3,040 2,015 2,766 2,199 $126,119 14,200 152,840 533,370 217,780 723,545 5,720 274,289 249,394 272,320 7,920 133,099 139,610 1,097,400 3,949,970 4,821,297 114,346 Average number of em ployees Average salary rate Total salaries 37 9 33 152 63 330.5 2 117.2 93 76 2 36.3 36.5 305 1,936 1,486 42.3 $3,338 1,844 4,584 3,477 3,457 2,119 2,140 2,278 3,269 2,524 3,960 3,339 3,464 3,041 2,017 2,806 2,297 $123,523 16,600 151,260 528,570 217,780 700,455 4,280 266,973 303,986 191,837 7,920 121,219 126,440 927,576 3,904,850 4,169,582 97,160 1,554 2,421,088 847,818 " 454.3 688,380 229 8,840 3 305,760 95 8,967,045 4,453 11,906,649 4,860.3 11,203,806 4,557.2 7,353,586 3,437.3 1,826,672 612.3 1,069,313 634.5 4,508,833 2,102.6 2,825,461 1,366.7 1,842,721 651.5 23,194,812 11,907.5 4,985,796 2,571 6,134,418 3,317.8 103,424,217 47,563.8 1,291 1,843 3,006 2,947 3,219 2,021 2,349 2,315 2,061 2,567 2,079 2,113 2,040 2,295 1,990 1,927 1,771 2,103 Estimated expenditures, 1930 w Expended and obligated, 1929 Average number of em ployees Average salary rate Total salaries 1,303 1,807 3,006 2,893 3,219 1,974 2,327 2,295 2,029 2,650 2,137 2,094 2,028 2,187 1,964 1,895 1,738 2,024,401 821,070 688,380 8,680 305,760 8,788,345 11,310,570 10,459,192 6,973,140 1,622,687 1,356,094 4,402,189 2,772,050 1,424,881 23,384,729 4,871,820 5,767,533 35.2 8.4 32.3 153.2 59.7 326.6 2 113.2 67.9 69.2 2 27.7 88.9 -299 1,924.9 1,369.4 32.5 5.7 1,550 439.7 219.9 1 77 4,403.8 4,534.8 4,365.9 3,403.6 599.5 636.1 1,971.7 1,362.5 632.8 12,332.4 2,525.6 3,156.7 $2,888 1,784 4,446 3,423 3,465 2,099 2,140 2,233 3,259 2,441 3,960 3,150 2,699 2,928 2,001 2,798 2,380 1,995 1,294 1,771 2,946 3,700 3,199 1,919 2,293 2,253 2,022 2,644 2,112 2,085 2,015 2,048 1,932 1,888 1,731 $101,669 14,981 143,594 524,383 206,888 685,621 4,280 252,817 221,285 168,932 7,920 87,248 239,980 875,562 3,851,859 3,831,858 77,360 11,374 2,005,517 778,801 647,781 3,700 246,343 8,449,265 10,398,637 9,836,324 6,881,433 1,585,174 1,343,543 4,110,293 2,745,378 1,295,792 23,820,305 4,768,593 5,464,897 2,078 98,841,532 46,830.8 2,043 95,689,390 R ecapitulation o f Estim ates o f Appropriations for 1931, and o f Appropriations for 1930, by Departm ents, etc. Organization units Estimates for 1931 Appropriations for 1930 C H A P T E R I — L E G IS L A T IV E E S T A B L IS H M E N T U N IT E D STATES SEN ATE Salaries and mileage of Senators_________ Salaries of officers and employees, SenateContingent expenses of the Senate_______ Miscellaneous____________________________ Total, Senate. $1, O il, 000. 00 $1, O il, 000. 00 1, 737, 944. 00 443, 820. 00 40, 000. 00 1, 456, 831. 60 443, 820. 00 40, 000. 00 3, 232, 764. 00 2, 951, 651. 60 4, 580, 000. 00 3, 213, 744. 00 350, 650. 00 9, 000. 00 4, 582, 500. 00 2, 640, 211. 00 352, 650. 00 5, 000. 00 8, 153, 394. 00 7, 580, 361. 00 HOUSE OF R E PR E SE N TA TIV E S Salaries and mileage of Members and Delegates Salaries of officers and employees, H ouse_______ Contingent expenses of the House______________ Miscellaneous items____________________________ Total, House of Representatives____________________________ LE G IS L A T IV E M ISCELLANEOUS Capitol police, salaries and contingent. Joint Committee on Printing_________ Office of legislative counsel___________ Statement of appropriations...... ..........Total, legislative miscellaneous. 91, 430. 11, 620. 75, 000. 4, 000. 00 00 00 00 77, 770. 00 10, 190. 00 75, 000. 00 4, 000. 00 182, 050. 00 166, 960. 00 A R C H IT E C T OF TH E CAPITO L Salaries_______________________________________ Capitol Building and Grounds_________________ Senate Office Building_________________________ House Office Building_________________________ Capitol power plant___________________________ Enlarging and improving the Capitol Grounds. New House Office Building____________________ Senate Office Building completion_____________ Senate and House ventilation_________________ Additional land, etc., Library Building________ Library Buildings and grounds________________ Botanic Garden, site and buildings____________ Building for Supreme Court___________________ Total under Architect of the Capitol________________ 45, 300. 00 371, 135. 58 199, 150. 40 154, 330. 00 710, 735. 00 614, 668. 00 500, 000. 00 730, 350. 00 107, 965. 60* 160, 352. 60 95, 628. 00 105, 403. 20 1, 034, 366. 00 10, 000. 00 3, 725. 00 600, 000. 00 89, 360. 00 300, 000. 00 30, 000. 00 147, 280. 00 581, 398. 00 000, 000. 00 11, 084, 346. 98 2, 506, 800. 40 101, 990. 00 71, 800. 00 101, 260. 00 71, 800. 00 173, 790. 00 173, 060.. 00 1, 303, 775. 00 155, 500. 00 379, 500. 00 22, 400. 00 154, 047. 00 232, 700. 00 800. 00 1, 222, 365. 00 110, 500. 00 356, 000. 00 20, 500. 00 153, 447. 00 205, 000. 00 800.00 2, 248, 722. 00 2, 068, 612. 00 2, 500, 000. 00 770, 000. 00 2, 700, 000. 00 Total under Public Printer______ 3, 270, 000. 00 3, 419, o o a 00 Total, Legislative Establishment. 28, 345, 066. 98 18, 866, 445. 00 B O TAN IC G A R D E N Salaries____________________________________________________ Improvements_______________ Total, Botanic Garden. L IB R A R Y OF CONGRESS SalariesIncrease of Library____________________________________ Printing and binding__________________________________ Contingent and miscellaneous expenses________________ Care and maintenance________________________________ Contributed funds_____________________________________ Trust fund, bequest of Gertrude M. Hubbard, interest. Total, Library of Congress___________________________________ G O V E R N M E N T P R IN T IN G OFFICE Public printing and binding__________________________________ Salaries and expenses, office of Superintendent of Documents. 719, o o a 00 ▲131 a132 the budget, 1931 Recapitulation oj estimates of appropriations for 1981, and of appropriations for 1980, by departments, etc.— Continued Estimates for 1931 Organization units Appropriations for 1930 C H A P T E R I I .— E X E C U T IV E O F F IC E A N D IN D E P E N D E N T E S T A B L IS H M E N T S E X E C U T IV E OFFICE Salary of the President________________________________________________________________ Salary of the Vice President___________________________________________________________ Salaries and expenses, Executive Office________________________________________________ Traveling expenses of the President___________________________________________________ Maintenance, Executive Mansion and grounds________________________________________ Portrait of President Coolidge_________________________________________________________ White House police (transferred to the Secret Service Division, Treasury Department) _ Total under Executive Office___________________________________________________ $75, 000. 00 15, 000. 00 172, 320. 00 25, 000. 00 135, 000. 00 $75, 000. 00 15, 000. 00 161, 220. 00 25, 000. 00 166, 000. 00 5, 000. 00 422, 320. 00 447, 220. 00 15, 000. 00 1, 000, 000. 00 1, 000, 000. 00 15, 000. 00 600, 000. 00 2, 000, 000. 00 328, 380. 00 690, 000. 00 224, 330. 00 1, 362, 952. 00 9, 080. 00 4, 210, 000. 00 8, 420, 400. 00 1, 900, 000. 00 302, 270. 00 663, 863. 00 224, 330. 00 1, 226, 862. 00 9, 080. 00 4, 073, 326. 00 8, 799, 520. 00 151, 790, 000. 00 IN D E P E N D E N T OFFICES Alaska relief funds___________________________________ _______ ____ American Battle Monuments Commission________________________ Arlington Memorial Bridge Commission__________________________ Board of -Mediation_______________________________________________ Board of Tax Appeals---------------------------- :_________________________ Bureau of Efficiency______________________________________________ Civil Service Commission_________________________________________ Commission of Fine Arts_____ ____________________________________ Employees' Compensation Commission___________________________ Federal Board for Vocational Education__________________________ Federal Farm Board______________________________________________ Federal Oil Conservation Board___________________________________ Federal Power Commission_______________________________________ Federal Radio Commission________________________________________ Federal Reserve Board____________________________________________ Federal Trade Commission________________________________________ General Accounting Office________ _______________________________ Housing Corporation______________________________________________ Interstate Commerce Commission_________________________________ Mount Rushmore National Memorial Commission________________ . National Advisory Committee for Aeronautics____________________ Porto Iflcan Hurricane Relief Commission________________________ Protecting interests of the United States in oil leases and oil lands. Public Buildings and Public Parks of the National Capital________ Public Buildings Commission_____________________________________ Smithsonian Institution and National Museum___________________ Tariff Commission________________________________________________ United States Geographic Board__________________________________ United States Shipping Board and Merchant Fleet Corporation___ United States Veterans’ Bureau: Salaries and expenses_________________________________________ Printing and binding__________________________________________ Military and naval compensation______________________________ Medical and hospital services__________________________________ Military and naval insurance__________________________________ Hospital facilities and services_________________________________ Adjusted service certificate fund_______________________________ Losses on converted insurance, Government life-insurance fund. Investment of Government life-insurance fund___________ ^_____ 22, 220. 00 187, 250. 00 168, 610. 00 2, 560, 336. 00 1, 437, 460. 00 4, 181, 000. 00 298, 950. 00 10, 329, 963. 00 60, 000. 00 1, 321, 000. 00 1, 000, 000. 00 179, 500. 00 164, 440. 00 2, 605, 741. 00 1, 277, 760. 00 4, 092, 000. 00 243, 450. 00 7, 548, 825. 00 ‘ I,- 292,-266:66 100, 000. 00 3, 591, 640. 00 2, 888, 061. 00 100, 000. 00 1, 189, 683. 825, 000. 14, 660. 6, 396, 000. 00 00 00 00 45, 500, 000. 125, 000. 196, 000, 000. 35, 600, 000. 00 00 00 00 120, 000, 000. 00 2, 000, 0 0 0 .0 0 112, 000, 000. 00 I 1, 106, 183. 00 789, 000. 00 9, 200. 00 11, 494, 000. 00 43, 500, 000. 125, 000. 191, 450, 000. 31, 650, 000. 115, 250, 000. 00 00 00 00 00 6, 000, 000. 00 112, 000, 000. 00 78, 530, 000. 00 97, 400, 000. 00 Total under United States Veterans7 Bureau. 589, 755, 000. 00 597, 375, 000. 00 Total, Executive Office and, independent establishments____________________ 643, 021, 234. 00 801, 316, 831. 00 737, 000. 00 727, 450. 00 102, 000. 00 101, 000. 00 198, 000. 00 100, 000. 00 148, 500. 00 203, 440. 00 1, 137, 000. 00 1, 180, 390. 00 410, 000. 00 942, 000. 00 400, 000. 00 842, 000. 00 1, 352, 000. 00 1, 242, 000. 00 105, 000. 00 102, 000. 00 C H A P T E R I I I .— D E P A R T M E N T O F A G R IC U L T U R E Office of the Secretary: Salaries, office of the Secretary___________ ____________________________________ Mechanical shops and power plant___________________________________________ Miscellaneous expenses_______________________________________________________ Rent of buildings_____________________________________________________________ Total, office of the Secretary_______________________________________________ Office of Information: Salaries and expenses____________ _____ ______________________________________ Printing and binding__________________________________________________________ Total, Office of Information________________________________________________ Library, Department of Agriculture, salaries and expenses_________________________ a133 RECAPITULATION Recapitulation of estimates of appropriations for 1981, and of appropriations for 1980, by departments, etc.— Continued Organization units Estimates for 1931 Appropriations for 1930 C H A P T E R I I I — D E P A R T M E N T O F A G R I C U L T U R E — Continued Office of Experiment Stations: Salaries and expenses_______________________________________________________________ State agricultural experiment stations____________ ___________________________________ $418, 000. 00 4, 340, 000. 00 $402, 000. 00 4, 335, 000. 00 4, 758, 000. 00 4, 737, 000. 00 Extension Service: Salaries and expenses_______________________ Cooperative agricultural extension work, etc. 1, 755, 000. 00 7, 672, 936. 00 1, 687, 000. 00 7, 662, 936. 00 Total, Extension Service__________________ 9, 427, 936. 00 9, 349, 936. 00 Grand total, office of the Secretary. 16, 779, 936. 00 16, 611, 326. 00 Weather Bureau, salaries and expenses___ 4, 106, 400. 00 3, 503, 400. 00 Bureau of Animal Industry: Salaries and expenses___________________________________________ Meat inspection (including $3,000,000 permanent appropriation) _ 9, 252, 400. 00 5, 640, 000. 00 9, 533, 070. 00 5, 600, 000. 00 14, 892, 400. 00 15, 133, 070. 00 669, 300. 00 5, 325, 860. 00 649, 800. 00 4, 965, 343. 00 11, 950, 730. 00 1, 700, 000. 00 9, 541, 280. 00 1, 400, 000. 00 2, 000, 000. 00 2, 000, 000. 00 93, 000. 00 500. 00 83, 000. 00 500. 00 Total, Office of Experiment Stations- Total, Bureau of Animal Industry____________________________ Bureau of Dairy Industry, salaries and expenses__________________________________ Bureau of Plant Industry, salaries and expenses__________________________________ Forest Service: Salaries and expenses________________________________________________________ Forest-fire cooperation_______________________________________________________ Acquisition of lands for protection of watersheds_____________________________ Cooperative distribution, forest-planting stock_______________________________ National Forest Reservation Commission______________________________ ______ Special funds— Refunds to depositors, excess of deposits_____________________ ____________ Payments to States and Territories, national-forest funds________________ Cooperative work, Forest Service_________________ ______________________ Payment to school funds, Arizona and New Mexico national-forest funds Roads and trails for States, national-forest funds________________________ Total, Forest Service. 75, 000. 1, 600, 000. 1, 700, 000. 40, 000. 600, 000. 00 00 00 00 00 75, 000. 1, 400, 000. 1, 400, 000. 40, 000. 530, 000. 00 00 00 00 00 19, 759, 230. 00 16, 469, 780. 00 Bureau of Chemistry and Soils, salaries and expenses. Bureau of Entomology, salaries and expenses________ 1, 824, 140. 00 2, 465, 620. 00 1, 655, 075. 00 1, 882, 670. 00 Bureau of Biological Survey: Salaries and expenses____________________________ Upper Mississippi River Wild Life Refuge_______ Bear River Bird Refuge_________________________ Migratory-bird conservation_____________________ 1, 283, 197, 94, 205, 1, 163, 190, 75, 80, 520. 000. 000. 000. 00 00 00 00 566. 600. 000. 000. 00 00 00 00 Total, Bureau of Biological Survey________________________________ 1, 779, 520. 00 1, 509, 166. 00 Bureau of Public Roads, salaries and expenses___ *_______________________ 600, 400. 00 495, 400. 00 Bureau of Agricultural Economics: Salaries and expenses_________________________________________________ Enforcement of cotton futures and cotton standards acts_____________ Enforcement of grain standards act___________________________________ Administration of warehouse act_____________________________________ Enforcement of standard container, hamper, and produce agency acts. Wool-marketing studies______________________________________________ Salaries and expenses, wool division__________________________________ Operation of Center Market__________________________________________ Total, Bureau of Agricultural Economics Bureau of Home Economics, salaries and expenses__________________ Plant Quarantine and Control Administration, salaries and expenses. Enforcement of grain futures act____________________________________ Food, Drug, and Insecticide Administration, salaries and expenses__ Experiments in dairying and livestock production___________________ Collection of seed-grain loans------------------------------------------------------------Special leaf-hopper research_________________________________________ Cooperation with South Carolina experiment station________________ Forest roads and trails----------------------------------------------------------------------Federal-aid highway system--------------------------------------------------------------Operation of national arboretum____________________________________ M ount Vernon Memorial Highway---------------------------------------------------Total, Department o f Agriculture, including Federal-aid highway system- 4, 804, 234, 840, 256, 45, 50, 800. 500. 000. 000. 000. 000. 00 00 00 00 00 00 8, 000. 00 4, 479, 219, 820, 256, 40, 50, 160. 500. 000. 000. 000. 000. 00 00 00 00 00 00 8 ,0 0 0 .0 0 150, 000. 00 6, 238, 300. 00 6, 022, 660. 00 207, 700. 00 698, 800. 00 155, 000. 00 596, 000. 00 114, 000.00 90, 000. 00 215, 900. 00 40, 000. 00 500,000.00 167, 500.00 2, 633, 500.00 8 ,0 0 0 , 0 0 0 .0 0 000, 000. 00 74,000, 0 0 0 .0 0 110, 0 0 0 .0 0 1, 537, 300.00 104, 0 0 0 .0 0 10, 0 0 0 .0 0 230, 0 0 0 .0 0 40, 0 0 0 .0 0 30, 000. 00 2, 0 0 0 ,0 0 0 .0 0 165,088, 506. 00 155, 729, 990. 00 a134 th e budget, 1931 Recapitulation of estimates of appropriations for 1931, and of appropriations for 1930, by departments, etc.— Continued Organization units Estimates for 1931 Appropriations for 1930 C H A P T E R I V .— D E P A R T M E N T O F C O M M E R C E Office of the Secretary: Salaries, office of the Secretary--------------------------------------------------------------------Contingent and miscellaneous expenses____________________________________ Printing and binding_______________________________________________________ $311, 260. 00 452, 500. 00 1, 745, 000. 00 $308, 200. 00 444, 000. 00 1, 715, 000. 00 Total, office of the Secretary. 2, 508, 760. 00 2, 467, 200. 00 Aeronautics Branch: Aircraft in commerce______% ___ Air-navigation fa cilities..,......... 1, 231, 830. 00 7, 694, 000. 00 958, 000. 00 5, 458, 620. 00 8, 925, 830. 00 6, 416, 620. 00 520, 000. 00 460, 000. 00 270, 220. 00 4, 541, 440. 00 270, 220. 00 4, 269, 703. 00 Total, Bureau of Foreign and Domestic Commerce. 4, 811, 660. 00 4, 539, 923. 00 Bureau of the Census: Fifteenth Decennial Census__________________________ 8, 497, 000. 00 19, 000, 000. 00 Steamboat Inspection Service: Salaries__________________ Clerk hire-----------------------Contingent expenses_____ 1, 010, 400. 00 185, 480. 00 177, 475. 00 874, 660. 00 159, 560. 00 153, 000. 00 Total, Steamboat Inspection Service. 1, 373, 355. 00 1, 187, 220. 00 Bureau of Navigation: Salaries________________________________ Contingent and miscellaneous expenses . 73, 840. 00 323, 460. 00 73, 840. 00 281, 200. 00 397, 300. 00 355, 040. 00 710, 000. 00 2, 040, 671. 00 686,146. 00 1, 820, 600. 00 2, 750, 671. 00 2, 506, 746. 00 110, 000. 00 110, 000. 00 5, 403, 700. 00 4, 500, 000. 00 1, 354, 000. 00 5, 301, 480. 00 4, 298, 500. 00 1, 830, 000. 00 11, 367, 700. 00 11, 539, 980. 00 Total, Aeronautics BranchRadio Division: Enforcement of wireless communication laws. Bureau of Foreign and Domestic Commerce: Salaries_____________________________________ Promoting commerce, etc___________________ Total, Bureau of Navigation. Bureau of Standards: Salaries________________________________ Contingent and miscellaneous expenses_ Total, Bureau of Standards_________ Bureau of Lighthouses: Salaries___________________ Lighthouse service— Salaries, etc__________ General expenses_____ Light stations, vessels, etc. Total, Bureau of Lighthouses . Coast and Geodetic Survey: Salaries___________________ Pay of personnel of vessels. Field expenses____________ Miscellaneous items_______ Total, Coast and Geodetic Survey. Bureau of Fisheries: Salaries____________________________ Miscellaneous expenses------------------Alaska, general service_____________ Upper Mississippi River fish refuge . Fish hatcheries, vessels, etc________ Total, Bureau of Fisheries. Patent Office: Salaries.............................. Miscellaneous expenses. Photolithography........... Total, Patent Office. 510, 000. 1, 344, 820. 898, 104. 158,180. 00 00 00 00 483, 000. 1, 208, 000. 624,180. 200, 680. 00 00 00 00 2, 911,104. 00 2, 515, 860. 00 852, 560. 00 882, 000. 00 376, 500. 00 25, 000. 00 89, 000. 00 823, 300. 00 855, 250. 00 370, 000. 00 25,000. 00 125, 000. 00 2, 225, 060. 00 2, 198, 550. 00 3, 245, 550. 00 68, 800. 00 230,000. 00 3, 035,000. 00 68, 800. 00 230,000. 00 3, 544,350. 00 3, 333,800. 00 a135 RECAPITULATION Recapitulation of estimates of appropriations for 1931, and of appropriations for 1930, by departments, etc.— Continued Organization units Estimates for 1031 Appropriations for 1930 C H A P T E R I V . — D E P A R T M E N T O F C O M M E R C E — Continued Bureau of Mines: Salaries and general expenses_____________________________________________________ Investigating mine accidents______________________________________________________ Operating mine rescue cars_______________________________________________________ Helium investigations, production, and conservation______________________________ Miscellaneous items_______________________________________________________________ $91, 438, 330, 381, 1, 307, 500. 640. 530. 190. 620. 00 00 00 00 00 $91, 422, 326, 170, 1, 264, 500. 000. 130. 800. 240. 00 00 00 00 00 Total, Bureau of Mines_____________________________________________ 2, 549, 480. 00 2, 274, 670. 00 Total, Department of Commerce____________________________________ 52, 382, 270. 00 58, 795, 609. 00 C H A P T E R V .— I N T E R I O R D E P A R T M E N T Salaries, office of the Secretary______________________________________ ______ Contingent and miscellaneous expenses____________________________________ Printing and binding_______________________________________________________ Expenses of Indian commissioners__________ _______________________________ Total, office of the Secretary. General Land Office: Salaries and expenses________________ Surveying public lands______________ Salaries and commissions of registers _ Contingent expenses, land offices____ Protecting public lands, timber, e t c . . Indefinite appropriations— Repayment for lands erroneously sold______________________ Miscellaneous______________________________________________ Special funds— Deposits for surveying public lands________________________ Payments to States under mineral leasing a ct______________ 5, 3, and 2 per cent funds to States________________________ Coos Bay Wagon Road grant fund_________________________ Oregon and California land-grant fund_____________________ Payments to Oklahoma, royalties, oil and gas___________________ Trust funds, outstanding liabilities, and unearned moneys, lands. Total, General Land Office. Bureau of Indian Affairs: Salaries__________________ ____________________________________________ Indian Service— Current and contingent expenses of the Indian Service___________ Fulfilling treaty stipulations and treaty supports of Indian tribes _ Miscellaneous support of Indian tribes___________________________ General and miscellaneous expenses of the Indian Service________ Support of schools_______________________________________________ Indefinite appropriations— Interest on Indian trust funds__________________________ _____ ___ Civilization of the Sioux.Indians_________________________________ Trust funds— Indian tribal funds, principal____________________________________ Indian moneys, proceeds of labor________________________________ Total, Bureau of Indian AffairsBureau of Pensions: Army and Navy pensions_______________________________ Salaries and expenses_________________ _______ __________ Investigation of pension cases___________________________ Fees of examining surgeons, pensions____________________ Civil-service retirement and disability fund (investment) _ Total, Bureau of Pensions. Bureau of Reclamation: Reclamation fund, construction and operation of reclamation projects. Colorado River levee system__________________________________________ Total, Bureau of Reclamation. 520, 114, 310, 14, 500. 000. 000. 000. 00 00 00 00 512, 000. 00 958, 500. 00 929, 000. 00 723, 350. 00 700, 000. 00 755, 762, 70, 161, 410, 88, 000. 00 193, 000. 00 430, 000. 00 110, 000. 00 295, 000. 00 12, 000. 00 900. 500. 000. 000. 000. 00 00 00 00 00 2, 134, 350. 00 2, 159, 400. 00 18, 000. 00 25, 000. 00 13, 000. 00 27, 1, 500, 15, 35, 585, 38, 000. 000. 000. 000. 000. 000. 700. 00 00 00 00 00 00 00 25, 1, 640, 15, 23, 650, 50, 000. 000. 000. 000. 000. 000. 00 00 00 00 00 00 1, 000. 00 4, 353, 050. 00 4, 601, 400. 00 443, 000. 00 400, 000. 00 1,162, 1, 038, 1, 070, 7, 051, 9, 032, 700. 580. 000. 749. 000. 00 00 00 74 00 700, 000. 00 100, 000. 00 1, 042, 938, 925, 5, 372, 7, 994, 200. 580. 000. 935. 500. 00 00 00 78 00 700, 000. 00 150, 000. 00 3, 000. 000. 00 17, 000, 000. 00 2, 500, 000. 00 35, 598, 029. 74 37,023, 215. 78 12, 000. 000. 00 214, 000, 000. 1, 301, 400. 150, 000. 298, 000. 20, 850, 000. 00 00 00 00 00 221, 000, 000. 00 236, 599, 400. 00 243, 211, 000. 00 8, 246, 000. 00 7, 978, 000. 00 100, 000. 00 100, 000. 00 8, 346, 000. 00 8, 078,000. 00 1, 306, 105, 300, 20, 500, 000. 000. 000. 000. 00 00 00 00 a136 the budget, 1931 Recapitulation of estimates of appropriations for 1931, and of appropriations for 1930, by departments, etc.— Continued Organization units Estimates for 1931 Appropriations for 1930 C H A P T E R V .— I N T E R I O R D E P A R T M E N T — Continued Geological Survey: Salaries__________ General expenses. Total, Geological Survey. National Park Service: Salaries___ ______ __________-____ National parks, monuments, etc. Construction of roads and trails. Total, National Park Service. Bureau of Education: Salaries________________________________________________________ General expenses______________________________________________ Investigation of land-grant colleges____________________________ Education of the natives of Alaska____________________________ Medical relief in Alaska_______________________________________ Investigation of teacher-training_______________________________ Investigation of secondary education______________________ ____ Colleges for agriculture and mechanic arts (permanent specific) _ Miscellaneous_________________________________________________ Total, Bureau of EducationTerritorial governments: Alaska— Salaries, governor and secretary_______ Contingent and legislative expenses-----Care and custody of insane in Alaska— Suppressing liquor traffic in Alaska------Public schools, Alaska fund— Indefinite. Reindeer for Alaska____________________ Hawaii— Salaries, governor and secretary_______ Contingent and legislative expenses-----Alaska Railroad____________________________ Total, Territorial governments. Beneficiaries: St. Elizabeths Hospital______________ Columbia Institution for the D eaf__ Howard University__________________ Freedmen’s Hospital________________ Trust funds, St. Elizabeths HospitalTotal, beneficiaries____________________________________________________ Total, Interior Department____________________________________________ $140, 000. 00 2, 281, 800. 00 $134, 800. 00 1, 951, 000. 00 2, 421, 800. 00 2, 085, 800. 00 101, 190. 00 2, 751, 325. 00 5, 000, 000. 00 80, 830. 00 2, 600, 110. 00 5, 000, 000. 00 7, 852, 515. 00 7, 680, 940. 00 253, 880. 00 20 000 00 , . 230, 960. 00 652, 725. 00 193, 400. 00 50, 000. 00 580, 400. 00 171, 780. 00 100, 000. 00 11, 000. 00 8, 000. 00 sor666f66 2, 550, 000. 00 96, 000. 00 2, 550, 000. 00 15, 000. 00 3, 916, 005. 00 3, 617, 140. 00 10, 700. 00 68, 000. 00 147, 000. 00 16, 200. 00 55, 000. 00 22, 000. 00 10, 700. 14, 800. 157, 000. 16, 200. 55, 000. 19, 800. 00 00 00 00 00 00 15, 800. 00 35, 100. 00 1, 000, 000. 00 15, 800. 00 5, 100. 00 1, 200, 000. 00 1, 369, 800. 00 1, 494, 400. 00 1, 513, 248. 00 125, 000. 00 610, 000. 00 424, 000. 00 215, 000. 00 1, 430, 000. 00 2, 887, 248. 00 2, 625, 180. 00 304, 302, 347. 74 311, 346, 075, 7$ 1, 225, 060. 00 99, 000. 00 118, 000. 00 260, 000. 00 1, 228, 300. 00 86, 800. 00 118, 000. 00 260, 000. 00 1, 702, 060. 00 1, 693, 100. 00 120, 210. 00 70, 000. 00 2, 781, 419. 00 203, 600. 00 170, 000. 00 192, 878. 00 113, 170. 00 80, 000. 00 2, 307, 720. 00 203, 600. 00 170, 000. 00 25, 000. 00 75, 000. 00 33, 000. 00 5, 265, 167. 00 4, 675, 590. 00 120, 000. 00 600, 000. 00 260, 180. 00 215, 000. 00 C H A P T E R V I .— D E P A R T M E N T O F J U S T I C E Departmental salaries________________________________________________________ Contingent and miscellaneous expenses_________________________ _____________ Rent of buildings_______________________________ „____________________________ Printing and binding_________________________________________________________ Miscellaneous objects: Protecting interests of the United States in customs matters________________ Defending suits and claims against the United States_______________________ Detection and prosecution of crimes________________________________________ Enforcement of antitrust laws______________________________________________ Examination of judicial officers_____________________________________________ Salaries and expenses, office of Superintendent of Prisons________________ i_» Protecting interests of the United States under settlement of war claims a ct. Miscellaneous items_________________________________________________________ Total, Department of Justice proper^ RECAPITULATION A Y Recapitulation of estimates of appropriations for 1931, and of appropriations for 1930, by departments, etc.-— Continued Organization units Estimates for 1931 Appropriations for 1930 C H A P T E R V I . — D E P A R T M E N T O F J U S T I C E — Continued judicial: Salaries and expenses, Supreme C o u rt-______ _________________________________ Salaries of circuit, district, and retired judges____ ____________________________ National park commissioners_________________________________________________ Court of Customs and Patent Appeals________________________________________ Court of Claims______________________________________________________________ Territorial courts_____________________________________________________________ $343, 420. 00 2, 099, 000. 00 18, 000. 00 111, 320. 00 218, 882. 00 182, 100. 00 $343, 420. 00 1, 930, 000. 00 16, 000. 00 110, 260. 00 253, 609. 00 182, 100. 00 Total, judicial, salaries, etc____________________ _____ ______________________ 2, 972, 722. 00 2, 835, 389. 00 Expenses, etc., United States courts: Salaries, fees, and expenses of marshals_______________________________________ Salaries and expenses of attorneys____________________________________________ Salaries and expenses of clerks of circuit and district courts___________________ Fees of commissioners_________________________________________________________ Fees of jurors and witnesses_______________________________ _____ ______________ Pay of bailiffs_________________________________________________________________ Miscellaneous expenses of United States courts________________________________ Rent, supplies, and purchase of books_________________________________________ 3, 880, 000. 00 3, 608, 250. 00 2, 105, 056. 00 600, 000. 00 3, 700, 000. 00 485, 000. 00 950, 000. 00 276, 000. 00 3, 780, 000. 00 3, 109, 000. 00 1, 943, 400. 00 550, 000. 00 3, 550, 000. 00 455, 000. 00 890, 360. 00 228, 000. 00 Total expenses, United States courts________________________________________ 15, 604, 306. 00 14, 505, 760. 00 Penal and correctional institutions: United States penitentiary, Leavenworth, Kans_______________________________ United States penitentiary, Atlanta, G a___________ _____ ______________________ United States penitentiary, McNeil Island, Wash______________________________ Federal Industrial Institution for Women, Alderson, W. V a___________________ United States Industrial Reformatory, Chillicothe, Ohio______________________ National Training School for Boys, Washington, D. C ________________________ Probation system, etc_________________________________________________________ Support of prisoners__________________________________________________________ 1, 645, 657. 00 1, 124, 837. 00 577, 708. 00 393, 125. 00 1, 018, 690. 00 215, 080. 00 200, 000. 00 3, 000, 000. 00 1, 086, 910. 00 923, 319. 00 446, 872. 00 286, 210. 00 481, 320. 00 208, 000. 00 38, 000. 00 2, 450, 000. 00 Total, penal and correctional institutions, including buildings, etc___________ 8, 175, 097. 00 5, 920, 631. 00 Total, judicial______________________________________________________________ 26, 752, 125. 00 23, 261, 780. 00 Total under Department of Justice_________________________________________ 32, 017, 292. 00 27, 937, 370. 00 C H A P T E R V I I .— D E P A R T M E N T O F L A B O R Salaries, office of the Secretary____________________________________________________ Commissioners of conciliation______________________________________________________ Contingent and miscellaneous expenses____________________________________________ Printing and binding______________________________________________________________ R en t______________________________________________________________________________ 211, 860. 205, 000. 55, 500. 230, 000. 68, 000. 00 00 00 00 00 209, 760. 00 205, 000. 00 42, 000. 00 205, 000. 00 68, 000. 00 Bureau of Labor Statistics: Salaries_______________________________________________________________________ Miscellaneous expenses________________________________________________________ 272, 980. 00 86, 000. 00 272, 980. 00 86, 000. 00 Total, Bureau of Labor Statistics___________________________________________ 358, 980. 00 358, 980. 00 Bureau of Immigration: Salaries______________________________________________________________■_________ Expenses of regulating immigration___________________________________________ Immigrant stations____________________________________________________________ 113, 960. 00 8, 850, 000. 00 49, 000. 00 113, 960. 00 7, 965, 000. 00 49, 000. 00 9, 012, 960. 00 8, 127, 960. 00 Bureau of Naturalization: Salaries____________ - ___________________________________ _____ ________________ Miscellaneous expenses________________________________________________________ Publishing citizenship textbooks (indefinite)_______________ ______ _____________ 113, 000. 00 1, 043, 970. 00 9, 000. 00 113, 000. 00 790, 030. 00 9, 000. 00 Total, Bureau of Naturalization____ _____ ___________________ ______ ________ 1, 165, 970. 00 912, 030. 00 Children's Bureau: Salaries_______________________________________________________________________ Investigation of child welfare__________________________________________________ General expenses______________________________________________________________ 118, 000.00 185, 000. 00 65, 000. 00 118, 000. 00 143, 000. 00 59, 200. 00 Total, Children's Bureau____________________________________________________ 368, 000. 00 320, 200. 00 Women’s Bureau: Salaries and expenses___________________________________________ Employment Service: Salaries and expenses_______________________________________ 158, 500. 00 385, 000. 00 108, 500. 00 217, 000. 00 Total, Department of Labor___________________________________________ 12, 219, 770. 00 10, 774, 430. 00 Total, Bureau of Immigration______________________________________________ a138 THE BUDGET, 1931 Recapitulation of estimates of appropriations for 1931, and of appropriations for 1930, by departments, etc.— Continued Organization units Estimates for 1931 Appropriations for 1930 CHAPTER V III— N AVY DEPARTM ENT •Office of the Secretary: Pay, miscellaneous__________________________________________________ Contingent, N avy___________________________________________________ Temporary government for West Indian Islands_____________________ State marine schools________________________________________________ Care of lepers, island of Guam______________________________________ Operation and conservation of the naval fuel reserves_______________ Naval research laboratory------------------------------------------------------------------ $1, 525, 000. 00 30, 000. 00 275, 000. 00 75, 000. 00 35, 000. 00 175, 000. 00 230, 000. 00 $1, 500, 000. 40, 000. 314, 000. 75, 000. 35, 000. 00 00 00 00 00 222, 350. 00 2, 345, 000. 00 2, 186, 350. 00 400, 000. 00 10, 000. 00 51, 700. 00 592, 000. 00 85, 800. 00 915, 000. 00 4, 600, 000. 00 130, 000. 00 115, 000. 00 2, 800. 00 400, 000. 00 10, 000. 00 46, 950. 00 692, 000. 00 85, 800. 00 924, 000. 00 4, 740, 000. 00 105, 000. 00 114, 000. 00 189, 000. 00 140, 000. 00 187, 000. 00 140, 000. 00 Total, Bureau of Navigation__________________________________ 7, 231, 300. 00 7, 344, 750. 00 Bureau of Engineering: Engineering_________________________________________________________ Engineering experimental station, Annapolis, M d ____________________ 20, 215, 000. 00 175, 000. 00 19, 686, 300. 00 175, 000. 00 Total, Bureau of Engineering___________________________________ __ 20, 390, 000. 00 19, 861, 300. 00 Bureau of Construction and Repair: Construction and repair of vessels ___ 17, 941, 300. 00 17, 927, 500. 00 Bureau of Ordnance: Ordnance and ordnance stores------- ---------- -----------------------------------------Torpedoes and appliances------------------------------------------------- ----------------- 12, 669, 400. 00 450, 000. 00 12, 669, 400. 00 450, 000. 00 Total, Bureau of Ordnance________________________________________ 13,119, 400. 00 13, 119, 400. 00 157, 056, 963. 00 10, 150, 000. 00 9, 965, 000. 00 300, 000. 00 153, 934, 282. 00 9, 940, 000. 00 9, 856, 118. 00 450, 000. 00 300, 000. 00 22, 500. 00 50.00 300, 000. 00 22, 500. 00 50. 00 Total, Bureau of Supplies and Accounts______________________ 177, 794, 513. 00 174, 502, 950. 00 Bureau of Medicine and Surgery: Medical department_________________________________________________ Care of the dead____________________________________________________ Naval hospital fund, special fund____________________________________ 2, 080, 000. 00 75, 000. 00 1, 000, 000. 00 2, 066, 500. 00 75, 000. 00 1, 000, 000. 00 Total, office of the Secretary_________________________________ Bureau of Navigation: Recreation for enlisted men_________________________________________ Contingent, Bureau of Navigation___________________________________ Gunnery and engineering exercises----------------------------------------------------Instruments and supplies____________________________________________ Ocean and lake surveys______________- ______________________________ Naval training stations______________________________________________ Organizing the Naval Reserve_______________________________________ Naval Reserve Officers' Training Corps______________________________ Naval War College__________________________________________________ Merchant Marine Naval Reserve____________________________________ Indefinite appropriations— Naval Home, Philadelphia, Pa__________________________________ Navy fines and forfeitures_______________________________________ Bureau of Supplies and Accounts: Pay, subsistence, and transportation_________________________________ Maintenance________________________________________________________ Fuel and transportation_________- ___________________________________ Purchase and transportation of reserve fuel oiL _____________________ Indefinite appropriations— Ships’ stores profits_____________________________________________ Pay of the Navy, deposit fund, trust fund---------------------------------Miscellaneous indefinite appropriations_________________________ Total, Bureau of Medicine and Surgery___________________________ 3, 155, 000. 00 3, 141, 500. 00 Bureau of Yards and Docks, exclusive of public works: Maintenance________________________________________________________ Contingent__________________________________________________________ 8, 000, 000. 00 125, 000. 00 7, 639, 300. 00 125, 000. 00 Total, Bureau of Yards and Docks, exclusive of public works_____ 8, 125, ,000. 00 7, 764, 300. 00 Bureau of Aeronautics: Aviation, N a v y __________________________________ 32, 230, 000. 00 31, 430, 000. 00 Naval Academy: Pay----------------------------------------------------------------------------------------------------Current and miscellaneous expenses_________________________________ Maintenance and repairs------------------------------------------------------------------ 915, 000. 00 90, 000. 00 1, 000, 000. 00 896, 930. 00 90,000.00 1, 000, 000. 00 Total, Naval Academy_______________________________________ 2, 005, 000. 00 1, 986, 930. 00 a139 RECAPITULATION Recapitulation of estimates of appropriations for 1981, and of appropriations for 1980, by departments, etc.— Continued Organization units Estimates for 1031 Appropriations for 1930 C H A P T E R V I I I . — N A V Y D E P A R T M E N T — Continued Marine Corps: Pay-------------------------------------------------------------------------------------------------------------Pay of civil force, Marine Corps________________________ - __________________ General expenses_______________________________________ ___________________ Pay of Marine Corps, deposit fund, trust fund_____________________________ $16, 330, 000. 00 314, 520. 00 8, 897, 173. 00 Total, Marine Corps_____________________________________________________ 25, 741, 693. 00 25, 156, 877. 00 Alterations to naval vessels_____________________________________________________ Increase of the N avv___________________________________________________________ 7, 400, 000. 00 50, 365, 000. 00 450, 000. 00 47, 120, 000. 00 2, 661, 000. 00 65, 000. 00 375, 000. 00 1, 705, 850. 00 210, 000. 00 555, 000. 00 Public works: Navy yards and stations________________________________ Depots for coal__________________________________________ Naval operating bases___ _____ _________________________ Marine barracks_________________________________________ Naval training stations, buildings_______________________ Naval ammunition depots, proving grounds, and storage. Naval air stations_________________________________ *_____ Buildings and grounds, Naval Academ y_________________ Appropriations for 1930 not asked for 1931______________ Total, public works. Total, Naval Establishment. Salaries, Navy Department: Office of the Secretary___________________________ General Board___________________________________ Naval examining and retiring boards____________ Compensation board_____________________________ Office of naval records and library_______________ Office of Judge Advocate General________________ Office of Chief of Naval Operations______________ Board of inspection and survey__________________ Office of Director of Naval Communications_____ Office of Naval Intelligence______________________ Bureau of Navigation___________________________ Hydrographic Office_____________________________ Naval Observatory ai^d Nautical Almanac Office. Bureau of Engineering___________________________ Bureau of Construction and Repair______________ Bureau of Ordnance_____________________________ Bureau of Supplies and Accounts________________ Bureau of Medicine and Surgery_________________ Bureau of Yards and D ocks_____________________ Bureau of Aeronautics___________ ________________ Total salaries, Navy Department. Contingent expenses, etc.: Contingent expenses of the department______________ -_______ Printing and binding________________________________________ Contingent and miscellaneous expenses, Hydrographic Office. Contingent and miscellaneous expenses, Naval O bservatory.. Observations, eclipse of the sun_____________________________ 200, 000. 00 72, 2, 388, 1, 449, 280, 000. 000. 000. 000. 00 00 00 00 $16, 083, 292, 8, 605, 175, 1, 604, 718, 75, 539, 758. 787. 332. 000. 000. 000. 000. 500. 00 00 00 00 00 00 00 00 7, 500, 000. 00 5, 197, 350. 00 375, 343, 206. 00 357, 189, 207. 00 195, 480. 12, 960. 10, 260. 8, 700. 39, 060. 134, 320. 72, 960. 00 00 00 00 00 00 00 21, 020. 00 000. 00 133, 41, 496, 415, 187, 315, 391, 160, 856, 95, 312, 287, 160. 00 700. 00 120. 00 760. 160. 580. 420. 00 00 00 00 000. 00 500.00 100. 00 2 2 0 .0 0 4, 186, 480. 00 104, 575, 150, 33, 100. 000. 040. 700. 00 00 00 00 189, 280. 12, 760. 10,160. 8, 640. 38, 640. 132,140. 72, 160. 20, 860. 132, 000. 40, 780. 490, 700. 391, 140. 178, 560. 310,160. 388, 580. 157, 620. 855, 000. 79, 740. 311, 100. 285, 420. 00 00 00 00 00 00 00 00 00 00 00 00 00 00 00 00 00 00 00 00 4,105, 440. 00 83, 525, 129, 25, 3, 100. 000. 200. 700. 600. 00 00 00 00 00 Total, contingent expenses, e tc_________________________________________ 862, 840. 00 766, 600. 00 Total, salaries and contingent expenses_________________________________ 5, 049, 320. 00 4, 872, 040. 00 Total, Navy Departm ent_______________________________________________ 380, 392, 526. 00 362, 061, 247. 00 Salaries_________________________________________________________ Contingent expenses____________________________________________ Postal Service, including deficiencies payable from the Treasury. 2, 850, 915. 00 1, 355, 000. 00 834, 764, 662. 00 2, 803, 325. 00 1, 353, 000. 00 814, 079, 400. 00 Total under Post Office Departm ent-------- ------------------------ 838, 970, 577. 00 818, 235, 725. 00 C H A P T E R I X .— P O S T O F F IC E D E P A R T M E N T a 140 THE BTTDGET, 1931 Recapitulation of estimates of appropriations for 1931, and of appropriations for 1930, by departments, etc.— Continued Organization units C H A P T E R X .— S T A T E D E P A R T M E N T Department proper: Salaries_____________________________________________________________ Contingent expenses________________________________________________ Printing and binding________________________________________________ Passport agencies___________________________________________________ Collecting and editing official papers of the Territories______________ Total, department proper. Foreign Service: Salaries of ambassadors and ministers, clerks, etc., at embassies and legations_ Contingent expenses, foreign missions________________________________________ Foreign Service buildings fund_______________________________________________ Allowance for clerk hire at consulates________________________________________ Contingent expenses of consulates____________________________________________ Immigration of aliens. ______ ________________________________________________ Salaries, Foreign Service officers______________________________________________ Transportation of Foreign Service officers____________________________________ Emergencies arising in the Diplomatic and Consular Service__________________ Foreign Service retirement and disability fund________________________________ Representation allowances____________________________________________________ Post allowances______________________________________________________________ Miscellaneous items___ ______ _______________________________________________ Total, Foreign Service. International commissions and bureaus. Nonadministrative expenses: Relief and protection of American seamen. Rescuing shipwrecked American seamen. Payment to Republic of Panama_________ United States Court for China____________ Prisons for American convicts_____________ Miscellaneous items_______________________ Total, nonadministrative expenses_ Permanent and indefinite appropriations: Pay of consular officers for services to American vessels and seamen. Pan American Union quotas________________________________________ Foreign government moieties, expenses Mixed Claims Commission __ Miscellaneous items________________________________________________ Trust funds________________________________________________________ Estimates for 1931 Appropriations for 1930 $1, 854, 765. 00 117, 818. 00 301, 665. 00 79, 025. 00 $1, 340, 000. 00 70, 705. 00 210, 000. 00 72, 130. 00 15, 000. 00 2, 368, 273. 00 1, 692, 835. 00 118, 350. 00 411, 325. 00 700, 000. 00 884, 266. 00 782, 140. 00 614, 797. 00 298, 500. 00 518, 000. 00 400, 000. 00 216, 000. 00 92, 000. 00 100, 000. 00 50, 918. 50 1, 053, 900. 00 919, 100. 00 2, 000, 000. 00 1, 645, 000. 00 1, 063, 000. 00 505, 640. 3, 001, 000. 410, 000. 400, 000. 216, 000. 00 00 00 00 00 100, 000. 00 47, 918. 50 13, 186, 296. 50 11, 361, 558. 50 1, 163, 606. 64 1, 220, 069. 18 70, 000. 00 250, 000. 00 41, 650. 00 9, 600. 00 70, 000. 00 2, 000. 00 250, 000. 00 41, 650. 00 9, 600. 00 6, 000. 00 6, 000. 00 379, 250. 00 379, 250. 00 10, 000. 00 95, 233. 00 15, 0<*). 00 95, 233. 00 15, 000. 00 2, 000. 00 , . 10 000 00 1, 000. 00 1, 000. 00 20, 000. 00 20, 000. 00 Total, permanent and indefinite appropriations_______________________ 141, 233. 00 141, 233. 00 Total, State Department_____________________________________________ 17, 238, 659. 14 14, 794, 945. 68 Office of the Secretary: Salaries, office of the Secretary_____________________________ ____________ 174, 375. 00 171, 275. 00 Office of chief clerk and superintendent: Salaries________________________________ Contingent and miscellaneous expenses. 550, 033. 00 212, 500. 00 542, 000. 00 187, 500. 00 762, 533. 00 729, 500. 00 190, 580. 00 715, 000. 00 187, 520. 00 715, 000. 00 425, 000. 00 135, 080. 00 425, 000. 00 133, 260. 00 1, 465, 660. 00 1, 461, 780. 00 Office of commissioner of accounts and deposits. 90, 980. 00 90, 980. 00 Division of Bookkeeping and Warrants: Salaries____________________________________ Contingent expenses, public m oneys_______ Recoinage of coins_________________________ 155, 000. 00 200, 000. 00 324, 500. 00 153, 215. 00 218, 000. 00 268, 000. 00 C H A P T E R X I .— T R E A S U R Y D E P A R T M E N T Total, office of chief clerk and superintendent_ Division of Supply: Salaries_________________________________________ Printing and binding____________________________ Postage_____ _____ _____________________________ Stationery______________________________________ General Supply Committee_____________________ Total, Division of Supply_______________ Total, Division of Bookkeeping and Warrants- 1, 000. 00 639, 215. 00 679, 500. 00 T a141 RECAPITULATION Recapitulation of estimates of appropriations for 1931, and of appropriations for 1930, by departments, etc.— Continued Organization units Estimates for 1931 Appropriations for 1930 C H A P T E R X I . —- T R E A S U R Y D E P A R T M E N T — Continued Public debt service: Public debt service_____________________________________________ ______ _______ Distinctive paper for United States securities_________________________________ Expenses of loans_____________________________________________ _____ _________ Preparation, etc., of Federal reserve notes, farm-loan bonds, etc_______________ $2, 400, 000. 00 $2, 619, 500. 00 1, 000, 000. 00 1, 000, 000. 00 256, 150. 00 154, 285. 00 291, 285. 00 102, 896. 80 Total, public debt service, exclusive of interest and principal of the public debt. 3, 810, 435. 00 4, 013, 681. 80 Salaries, division of appointments_____________________________________________________ Salaries, office of disbursing clerk_____________________________________________________ 66, 365. 00 55, 000. 00 62, 185. 00 55, 000. 00 22, 602, 160. 00 22, 122, 860. 00 100, 000. 00 100, 000. 00 150, 000. 00 150, 000. 00 22, 852, 160. 00 22, 372, 860. 00 7, 500, 000. 00 13, 500, 000. 00 7, 500, 000. 00 14, 000, 000. 00 10, 000. 00 10, 000. 00 5, 500. 00 5, 500. 00 Total refunds of customs receipts. 21, 015, 500. 00 21, 515, 500. 00 Total, Bureau of Customs_______ 43, 867, 660. 00 43, 888, 360. 00 208, 000. 00 Bureau of Customs: Collecting the revenue from customs. Scales for customs service___________ Compensation in lieu of moieties____ Total, Bureau of Customs proper. Refunds o f customs receipts— Indefinite appropriations— Refund of excessive duties_____________ Debentures or drawbacks______________ Miscellaneous indefinite appropriations , Philippine special fund________________ Bureau of the Budget, salaries and expenses______________ Farm Loan Bureau, salaries and expenses, special funds__ 1, 020, 000. 00 198, 000. 00 940, 000. 00 Office of the Treasurer of the United States: Salaries______________________________________________ Contingent expenses, national currency, reimbursable. 1, 542, 240, 00 150, 000. 00 1, 493, 580. 00 158, 000. 00 Total, office of the Treasurer of the United States-. 1, 692, 240. 00 1, 651, 580. 00 Office of the Comptroller of the Currency: Salaries___________________________________________________ Special examinations of national banks________________ _ Salaries and expenses national-bank examiners (indefinite). 311, 063. 00 298, 743. 00 1, 500. 00 1, 500. 00 2, 600, 000. 00 2, 400, 000. 00 Total, office of the Comptroller of the Currency________ 2, 912, 563. 00 2, 700, 243. 00 Internal Revenue Service: Collecting internal revenue________________________________ 34, 400, 000. 00 34, 703, 870. 00 140, 000, 000. 00 130, 000, 000. 00 750, 000. 00 140, 000. 00 5, 500. 00 750, 000. 00 140, 000. 00 10, 500. 00 400, 000. 00 500. 00 15, 000. 00 400, 000. 00 500. 00 15, 000. 00 Total refunds of internal revenue receipts. 141, 311,000.00 131, 316, 000. 00 Total, Internal Revenue Service_________ 175, 711, 000. 00 166, 019, 870. 00 15, 000, 000. 00 200, 000. 00 13, 700, 000. 00 225, 000. 00 15, 200, 000. 00 13, 925, 000. 00 342, 100. 00 31, 780, 940. 00 8, 000. 00 297,555.00 29, 372, 616. 00 6,500.00 Total, Coast Guard. 32,131, 040. 00 29, 676, 671. 00 Bureau of Engraving and Printing: Salaries and expenses------------ 6,125, 000. 00 6, 376, 260. 00 Refunding taxes illegally collected____ ___________ Indefinite appropriations— Redemption of stamps_______________________ Allowance or drawback______________________ Other indefinite appropriations______________ Special funds— Philippine special fund______________________ Porto Rico special fund______________________ Additional income tax on railroads in Alaska. Bureau of Prohibition: Enforcement of narcotic and national prohibition acts. Allowance or drawback_______________________________ Total, Bureau of Prohibition. Coast Guard: Salaries, office of Coast Guard. Expenses of the Coast Guard-Coast Guard special funds____ a142 the budget, 1931 Recapitulation oj estimates of appropriations for 1981, and of appropriations for 1930, by departments, etc.— Continued Organization units Estimates for 1931 Appropriations for 1930 C H A P T E R X I . — T R E A S U R Y D E P A R T M E N T — Continued Secret Service Division: Salaries________________________________________________________________________ Suppressing counterfeiting and other crimes____________________________________ Total, Secret Service Division. Public Health Service: Salaries, office of Surgeon General________________________________________________ Pay, etc., of commissioned officers, acting assistant surgeons, and other employees. General expenses, Public Health Service----------------------------------------------------------------Pay of personnel and maintenance of hospitals____________________________________ Quarantine service________________________________ _____ __________________________ Narcotic farms___________________________________________________________________ Field investigations of public health______________________________________________ Preventing the spread of epidemic diseases________________________________________ Studies of rural sanitation, etc____________________________________________________ Expenses Division of Venereal Diseases____ ______________________________________ $30, 760. 00 656, 440. 00 $30, 560. 00 628, 040. 00 687, 200. 00 658, 600. 00 329, 2, 818, 190, 5, 831, 660, 615. 518. 140. 426. 000. 10, 900. 316, 000. 400, 000. 338, 000. 00 00 00 00 00 00 00 00 00 318, 2, 721, 187, 5, 516, 460, 955. 190. 640. 600. 000. 00 00 00 00 00 "~"3i5~946.’ 6o 73, 780. 00 400, 000. 00 346, 000. 00 73, 780. 00 10, 968, 379. 00 10, 340, 105. 00 38, 180. 00 16, 500. 00 1, 640, 000. 00 37, 100. 00 26, 500. 00 1, 646, 440. 00 1, 694, 680. 00 1, 710, 040. 00 390, 670. 00 12, 259, 050. 00 4, 084, 670. 00 31, 700, 000. 00 275, 000. 00 377, 320. 00 11, 675. 550. 00 4, 015, 000. 00 40, 725, 500. 00 455, 000. 00 Total under Supervising Architect________________________________________________ 48, 709, 390. 00 57, 248, 370. 00 Promoting education of the blind (including $10,000 permanent appropriation)__________ 75, 000. 00 75, 000. 00 Total, Treasury Department, exclusive of interest and principal of the public debt. 348, 107, 000. 00 342, 631, 715. 80 Interest on public debt_______________________ ______ _____________________ •______________ 619, 000, 000. 00 656, 000, 000. 00 Public-debt retirements chargeable against ordinary receipts: Sinking fu nd___________________________________________ Other redemptions of the debt__________________________ 395, 624, 000. 00 239, 700, 000. 00 382, 720, 000. 00 241, 174, 100. 00 635, 324, 000. 00 623, 894,100. 00 1, 602, 431, 000. 00 1, 622, 525, 815. 80 Total, Public Health Service. Mint establishment: Salaries, office of the Director of the M int_____________ Contingent expenses, office of the Director of the M int. Salaries and expenses, mints and assay offices__________ Total, mint establishment. Supervising Architect: Salaries____________ ____________________________________________________________________ Operating expenses, public buildings____________________________________________________ Repairs, equipment, and general expenses, public buildings_____________________________ Construction, sites, rent, etc., public buildings, marine hospitals, and quarantine stations. Outside professional services, public buildings___________________________________________ Total _ Total, Treasury Department___________________-_____________________ C H A P T E R X I I .— W A R D E P A R T M E N T M IL IT A R Y A C T IV IT IE S A N D D E P A R T M E N T A L Salaries, War Department: Office of Secretary of W ar_____________________________________________ Office of Chief of Staff_________________________________________________ Adjutant General’s office____ __________________________________________ Office of the Inspector General_________________________________________ Office of the Judge Advocate General__________________________________ Office of the Chief of Finance__________________________________________ Office of the Quartermaster General____________________________________ Office of the Chief Signal Officer_______________________________________ Office of the Chief of Air Corps________________________________________ Office of the Surgeon General__________________________________________ Office of the Chief of Bureau of Insular Affairs_________________________ Office of Chief of Engineers____________________________________________ Office of Chief of Ordnance_____________ y _____________________________ Office of-Chief of Chemical Warfare Service____________________________ Office of Chief of Coast Artillery_______________________________________ Militia Bureau, War Department______________________________________ Total salaries, War Department. 295, 228, 1, 437, 27, 113, 373, 825, 106, 233, 273, 83, 123, 441, 52, 25, 149, 247. 00 154.00 460. 00 845.00 509. 00 087. 00 795. 00 129. 00 585. 00 494. 00 593. 00 366.00 798.00 169. 00 300.00 164.00 4, 789, 695. 00 287, 231, 1, 421, 27, 492.00 000. 00 732.00 2 0 0 .0 0 112, 300.00 372, 180. 00 797, 0 0 0 .0 0 100, 0 0 0 .0 0 219, 274.00 269, 820.00 81, 885.00 121, 85a 00 434, 44, 24, 145, 1 0 0 .0 0 0 0 0 .0 0 800.00 0 0 0 .0 0 4, 689,641. 00 Al43 RECAPITULATION Recapitulation of estimates of appropriations for 1981, and of appropriations for 1980, by departments, etc.— Continued Estimates for 1931 Organization units Appropriations for 1930 C H A P T E R X I I . — W A R D E P A R T M E N T — Continued M IL IT A R Y A C T IV IT IE S AN D D E P A R T M E N T A L —Continued Office of Secretary of War: Contingent expenses, War Department, including stationery and postage_________________ Printing and binding______________________________________ >_____________________________ Contingencies of the Army__ $160, 000. 00 525, 000. 00 12, 000. 00 $145, 250. 00 475, 000. 00 12, 000. 00 Total, office of Secretary of W ar_______________________________________________________ 697, 000. 00 632, 250. 00 General Staff Corps: Contingencies, Military Intelligence Division, General Staff C o r p s _____ Army War College_______ - _____________________________________ ________ ________________ 62, 480. 00 82, 020. 00 57, 480. 00 78, 000. 00 Adjutant General’s Department: Contingencies, headquarters of military departments, ete . _ ^ „ . Command and General Staff School, Fort Leavenworth, Kans_________________________ _ Welfare of enlisted m e n ________ _______________________________________________________ 4, 500. 00 42, 879. 00 72, 000. 00 4, 500. 00 41, 439. 00 72, 000. 00 119, 379. 00 117, 939. 00 Total, Adjutant, General's Department Judge Advocate General's Department: Expenses of administration of settlement of war Haims , . , . ^ . 100, 000. 00 Finance Department: Pay of the Army ________ _______________________ ______________________________ Mileage of the Army , , _____________________________________ ________________________ Expenses of courts-martial- - __________________________________________________________ Apprehension of deserters, etc__ ________________________________________________________ Finance service__________________________________________________________________ ________ Claims and miscellaneous items____________ _________________________________ ____________ Pay of the Army, deposit fund___________________________________________________________ Total under Finance Department______________________________________________________ Quartermaster Corps: Subsistence of the Army ________ ______________________________________________________ Regular supplies__ __ __ ______ ______________________________________ ____________ ___ Clothing and equipage____ ___________________ ________________________________________ Incidental expenses_____________ _______________________________________________________ Army transportation ____ ______________________________________ ______________ Horses for Cavalry, Artillery, Engineers, etc_____________________________ ______________ Construction of buildings, etc., at military posts_________________________________________ Barracks and quarters and other buildings and utilities__________________________________ Shooting galleries and ranges ______ _____________________ ___________________________ *__ Rent of buildings, Quartermaster Corps_____ ______________________ _ - - _______________ Acquisition of land____________ ___ __________ __________________________________________ Sewerage system, Fort Monroe, V a ______________________________________________ -_______ Construction and repair of h o sp ita ls__________________________________ ________________ Total, Quartermaster C o r p s _______________________________ ____ ___ ________________ Seacoast defenses: United States— Signal Corps ________________________________________________________________________________________________________ Corps of Engineers__________________________________________________________________________________________ ___ Ordnance D epartm en t ___ __________ __________ ____________ ___________________________ Coast Artillery Corps ___________________________________________________ ______________________________________ Total, seacoast defenses, United States _______________________________________________ - _____________ Insular possessions— Signal Corps_____________ _ ______ __________ _____________________________ Corps of Engineers__________________________________________________________________ Ordnance Department____________________________ ________________________________ Coast Artillery Corps___________________________________ ______ _____________________ Total, seacoast defenses, insular possessions________________________________________________________ Panama Canal— Signal Corps. _________________ _______ ______________ ________________________________ Corps of Engineers_______________________ Ordnance Departm ent. _ _ _ * ____________ « ______________________________________ Coast Artillery Corps _____________ _______ ________________________ _________________________ 133, 643, 686, 80, 150, 1, 110, 12, 1, 300, 379. 152. 000. 000. 000. 600. 000. 00 00 00 00 00 00 00 136, 982, 131. 00 24, 11, 8, 3, 15, 675, 258. 393, 570. 486, 571. 928, 738. 083, 692. 397, 500. 16, 062, 860. 11,152, 060. 40, 000. 15, 300. 681, 000. 16, 866. 578, 880. 00 00 00 00 00 00 00 00 00 00 00 00 00 92, 512, 295. 00 115, 421, 301, 186, 660. 550. 670. 495. 00 00 00 00 1 , 025, 375. 00 103, 220, 302, 226, 031. 000. 919. 575. 00 00 00 00 133, 615, 740, 80, 170, 1, 110, 21, 1, 300, 568. 000. 000. 000. 000. 900. 000. 00 00 00 00 00 00 00 137, 037, 468. 00 24, 10, 5, 3, 16, 374, 069, 832, 898, 843, 480, 14, 441, 11, 650, 40, 15, 552. 129. 067. 496. 882. 000. 950. 784. 000. 300. 00 00 00 00 00 00 00 00 00 00 16, 866. 00 578, 880. 00 88, 241, 906. 00 115, 390, 977, 145, 000. 000. 690. 060. 00 00 00 00 1, 627, 750. 00 93, 359, 279, 215, 142. 000. 050. 005. 00 00 00 00 852, 525. 00 946,197. 00 43, 359, 154, 252, 30, 479, 124, 200, 012. 000. 488. 819. 00 00 00 00 220. 210. 625. 000. 00 00 00 00 Total, seacoast defenses, Panama Canal__ ________________________________________ 809, 319. 00 834, 055. 00 Total, seacoast defenses___________________________________________________________ 2, 687, 219. 00 3, 408, 002. 00 a144 the budget, 1931 Recapitulation oj estimates oj appropriations jor 1981, and oj appropriations jor 1980, by departments, etc.— Continued Organization units Estimates for 1931 Appropriations for 1930 C H A P T E R X I I . — W A R D E P A R T M E N T — Continued M IL IT A R Y A C T IV IT IE S A N D D E P A R T M E N T A L — Continued Signal Corps* Signal Servi™» of the* Army Air Corps: Air Corps, Arm y_________________________________________________________________ • Medical Department: Medical and hospital department_______________ ________________________________________ Hospital care, Canal Zone garrisons_________________________________ ____________________ Army Medical Museum and Library_____________________________________________________ Total, Medical Department___________________________________________________________ $3, 093, 378. 00 35, 823, 473. 00 $2, 871, 226. 00 34, 690, 785. 00 1, 301, 358. 00 40, 000. 00 28, 000. 00 1, 250, 800. 00 40, 000. 00 28, 000. 00 1, 369, 358. 00 1, 318, 800. 00 400. 00 Bureau of Insular Affairs: Care of insane Filipino and Porto Rican soldiers___________________ Corps of Engineers: Engineer depots__ . _____ _______ _________ _______________________________________ Engineer School_ _______ ____ __________ _____ ____________________________ __________ __ Engineer equipment of troops___________________________________________________________ Engineer operations in the field______ - __________________________________________ _____ Military surveys and yn^pp ~ Total Corps of Engineers.._ _ _________________________________________ _______ __ Ordnance Department : Ordnance service and supplies_______________________ ___ ______________________________ Ammunition storage facilities___________________________________________ - ______ Repairs of arsenals __________________________________________________ Miscellaneous items. ________________________________________________ ___________________ Ordnance material, proceeds of sales_____________________________________________________ 95, 23, 263, 96, 80, 556. 710. 970. 740. 000. 00 00 00 00 00 559, 976. 00 9, 479, 351, 981, 110, 75, 306. 941. 081. 000. 000. 93, 23, 295, 88, 71, 060. 210. 660. 067. 940. 00 00 00 00 00 571, 937. 00 00 00 00 00 00 8, 322, 640. 00 769, 573. 00 110, 000. 00 65, 000. 00 10, 997, 328. 00 9, 267, 213. 00 Chemical Warfare Service: Chemical Warfare Service, A r m y __________________________ 1, 295, 215. 00 1, 246, 776. 00 Chief of Infantry: Infantry School, Fort Benning, G a_______________ ___________ - ____________________ Tank Service ______ ______________________ ______________________________ 38, 433. 00 27, 190. 00 38, 342. 00 27, 613. 00 65, 623. 00 65, 955. 00 20, 610. 00 26, 685. 00 29, 205. 00 20, 610. 00 26, 000. 00 29, 205. 00 1, 257, 673. 00 1, 205, 600. 00 1, 237, 286. 00 1, 124, 048. 00 897, 540. 00 2, 463, 273. 00 3, 258, 874. 00 15, 516, 076. 00 11, 541, 168. 00 5, 894, 598. 00 15, 595, 303. 00 11, 541, 168. 00 5, 338, 327. 00 _ _- 32, 951, 842. 00 32, 474, 798. 00 _______ ____________ _______ ._____ ._____ _ 6, 542, 362. 00 6, 110, 602. 00 Citizens' military training: Reserve Officers’ Training Corps _____ ____ _______________________________________ Supplies for schools and colleges_________________________________________________________ Citizens’ military training camps________ ______________________________________________ 4, 000, 000. 00 8, 900. 00 2, 912,168. 00 2, 667, 917. 00 8, 900. 00 2, 742, 158. 00 Total, citizens’ military training____________________ - __________________________________ 6, 921, 068. 00 5, 418, 975. 00 Total, Ordnance Department _________________________________ ____________ _____ Total, Chief of Infantry_____ ______________________ _____________________________ _____ Chief of Cavalry: Cavalry School, Fort Riley, Kans______________ - ______ _____ _______ _____ Chief of Field Artillery: Field Artillery School and instruction_________________/ _ ________ Chief of Coast Artillery: Coast Artillery School, Fort Monroe, V a________________________ _ Military Academy: Maintenance Buildings - ______ _____________________ ______ ________________________ ______ ______ _________________________________- - - __________ Total, Military Academy ________________ ___________________________________________ Militia Bureau: Arming, equipping, and training the National Guard________________________________ Armory drill pay __ __ ____ _____ _____________________ ________ _ Arms, uniforir^, equipment, etc., for field service, National Guard_______________ ____ Total, Militia BureauOrganized Reserves ____ _____ _____ __ ________ ____________________________ National Board for Promotion of Rifle Practice________________________________ ______________ 710, 750. 00 669, 500. 00 Total military activities and departmental_____ _______- _____________________________ 340, 802, 365. 00 332, 404, 342. 00 Al45 RECAPITULATION Recapitulation oj estimates oj appropriations for 1931, and oj appropriations jor 1930, by departments, etc.— Continued Organization units Estimates for 1031 Appropriations for 1930 C H A P T E R X I I . — W A R D E P A R T M E N T — Continued N O N M IL IT A R Y A C TIV ITIE S Finance Department: Annuities_________________ Extra pay, war with Spain. $28, 500. 00 875. 00 $5, 400. 00 875. 00 29, 375. 00 6, 275. 00 1, 129, 038. 00 387, 834. 00 9, 000. 00 859, 552. 00 425, 878. 00 2, 040. 00 Total, Quartermaster Corps______________________________________ 1, 525, 872. 00 1, 287, 470. 00 Signal Corps: Washington-Alaska Military Cable and Telegraph System. 300, 000. 00 171, 930. 00 Medical Department: Artificial lim bs---------------------------------------------------------------------------------Trusses and appliances for disabled soldiers_________________________ 42, 000. 00 900. 00 75, 000. 00 900. 00 42, 900. 00 75, 900. 00 2, 500. 00 18, 000. 00 2, 500. 00 15, 340. 00 3, 000. 00 20, 500. 00 20, 840. 00 800, 000. 00 125, 000. 00 800, 000. 00 125, 000. 00 200, 000. 00 200, 000. 00 1, 125, 000. 00 1, 125, 000. 00 Total under Finance Department. Quartermaster Corps: National cemeteries______________________________ National military parks and national monuments. Preservation, birthplace of Lincoln_______________ Total, Medical DepartmentCorps of Engineers: Miscellaneous objects— Improvements, birthplace of George Washington, Wakefield, Va. Expenses, California Debris Commission________________________ Examination and survey of Conduit Road, M d_________________ Total, miscellaneous objects under Corps of Engineers. Roads in Alaska— Construction and maintenance of roads, bridges, and trails, Alaska_____ Wagon roads, bridges, and trails, Alaska fund__________________________ Funds contributed for improvement of road, bridges, and trails, AlaskaTotal, roads in Alaska under Corps of Engineers_____________________ Rivers and harbors— Maintenance and improvement of existing river and harbor works--------Muscle Shoals__________________________________________________________ Flood control___________________________________________________________ Return of funds contributed for flood control__________ j. ______________________ Permanent specific and indefinite appropriations_______________________ Funds contributed for river and harbor improvements and flood control. 55, 000, 000. 00 260, 000. 00 36, 500, 000. 00 6, 262, 600. 00 950, 000. 00 50, 000, 000. 270, 000. 31, 970, 000. 4, 370, 000. 6, 157, 600. 1, 050, 000. 00 00 00 00 00 0Q Total, rivers and harbors under Corps of Engineers__________________ 98, 972, 600. 00 93, 817, 600. 00 Total, Corps of Engineers____________________________________________ 100, 118, 100. 00 94, 963, 440. 00 Inland Waterways Corporation_____________________________________________ 10, 000, 000. 00 3, 654, 000. 00 50, 000. 00 Restoration of roads and bridges in certain States . Payment to John W. Stockett____________________ Soldiers’ homes: National Home for Disabled Volunteer Soldiers, support___ State and Territorial homes for disabled soldiers and sailors. Soldiers’ Home permanent fund------------------------------------------Soldiers’ Hom e interest account------------------------------------------Total, soldiers’ homes_______________________________ 10, 675, 220. 00 560, 000. 00 597, 000. 00 114, 000. 00 9, 506, 420. 00 560, 000. 00 664, 000. 00 98, 000. 00 11, 946, 220. 00 10, 828, 420. 00 Total, nonmilitary activities-------------------------------------- 113, 962, 467. 00 121, 037, 435. 00 Total, War Department, exclusive of Panama Canal. 454, 764, 832. 00 453, 441, 777. 00 Panama Canal: , Maintenance and operation------------------------------------------Sanitation, Canal Zone_________________________________ Civil government, Panama Canal and Canal Zone-------- 10, 015, 225. 00 745, 000. 00 1, 101, 275. 00 8, 000, 000. 00 Total, Panama Canal_____________________________ 11, 861, 500. 00 10, 011, 000. 00 Total, War Department, including Panama Canal. 466, 626, 332. 00 463, 452, 777. 00 820, 000. 00 1,191, 000. 00 a146 THE BUDGET, 1931 Recapitulation oj estimates oj appropriations jor 1931, and oj appropriations j or 1930, by departments, etc.— Continued Organization units Estimates for 1931 Appropriations for 1930 C H A P T E R X I I I .— D IS T R IC T O F C O L U M B IA General fund: General government---------------------- ---------------------- --------------- ------------- -----Protection of life and property-----------------------------------------------------------------Health and sanitation_____________________________ _____ — ........................ Highways_______________________________________________________________ Public welfare------------------------------------------------------------------------------------------Education_______________________________________________________________ Recreation______________________________________________________________ Miscellaneous___________________________________________________________ $5, 499, 5, 873, 4, 355, 5, 579, 5, 231, 13, 562, 3, 058, 288, Total, general fu nd. Public service enterprises.. Trust and special funds___ 43, 449, 868. 00 1, 947, 860. 00 2, 482, 500. 00 39, 988, 385. 00 1, 499, 230. 00 3, 052, 500.00 47, 880, 228. 00 44, 540, 115. 00 Total, District of Columbia----------------------------------------------------- 652. 965. 910. 470. 920. 00 00 00 00 00 $4, 5, 3, 5, 4, 12, 2, 000. 00 885. 00 066. 00 889, 718, 680, 176, 932, 382, 940, 268, 599. 350. 290. 670. 260. 690. 460. 066. 00 00 00 00 00 00 00 00 SU M M ARY BY DEPARTM ENTS Legislative establishment________________________ Executive Office and independent establishments. Department of Agriculture______________________ Department of Commerce____________________ . . . Interior Department_________________________ 1_. Department of Justice___________________________ Department of Labor____________________________ Navy Department______________________________ Post Office Department and Postal Service---------State Department_______________________________ Treasury Department___________________________ War Department, including Panama Canal______ District of Columbia____________________________ 28, 345, 066. 643, 021, 234. 165, 088, 506. 52, 382, 270. 304, 302, 347. 32, 017, 292. 12, 219, 770. 380, 392, 526. 838, 970, 577. 17, 238, 659. 1, 602, 431, 000. 466, 626, 332. 47, 880, 228. Total estimates and appropriations_________ Deduct Post Office Department and Postal Service. 4, 590, 915, 808. 86 i 838, 970, 577. 00 98 00 00 00 74 00 00 00 00 14 00 00 00 Total payable from the Treasury, exclusive of postal deficiencies_______________________ 3, 751, 945, 231. * Includes deficiencies in postal revenues. 1 Includes all appropriations made for the fiscal year 1^30 to date, including revised permanent and indefinite appropriations for the public debt. 18, 866, 445. 00 801, 155, 58, 311, 27, 3 362, 818, 14, 1, 622, 463, 44, 316, 729. 795, 346, 937, 774, 061, 235, 794, 525, 452, 540, 831. 990. 609. 075. 370. 430. 247. 725. 945. 815. 777. 115. 00 00 00 78 00 00 00 00 68 80 00 00 4, 710, 377, 376. 26 i 818, 235, 725. 00 2 3, 892, 141, 651. 26 A 147 RECAPITULATION Recapitulation of estimates of appropriations for 1981, and of appropriations for 1980, by departments, etc.— Continued Organization units Appropriations for 1930 Estimates for 1931 PERMANENT APPROPRIATIONS INCLUDED IN THE FOREGOING SUMMARY LEGISLATIVE Library of Congress: Bequest o f Gertrude M. Hubbard, interest account---------------------------------------------------------Contributed funds_____ - ------ ---------- - _-------- -------------------- -------- --------------------------------------Total, Library of Congress. $800. 00 232, 700. 00 $800. 00 205, 000. 00 233, 500. 00 205, 800. 00 60, 000. 00 15, 000. 00 60, 000. 00 15, 000. 00 200 000 00 INDEPENDENT OFFICES Smithsonian Institution, interest account-------------------------------------Relief of the indigent: Alaska fund----------------------------------------------Federal Board for Vocational Education: Salaries and expenses________________________________________ Cooperative vocational education in agriculture____ _________ Cooperative vocational education in trades and industries___ Cooperative vocational education, teachers, etc________ Federal Power Commission-----------------------------------------------------------Federal Reserve Board___________________________________________ United States Veterans' Bureau— Government life-insurance fund. 3, 027, 000. 00 3, 050, 000. 00 1, 090, 000. 00 11, 250. 00 2, 560, 336. 00 78, 530, 000. 00 200, 000. 00 3, 027, 000. 00 3, 050, 000. 00 1, 090, 000. 00 9, 250. 00 2, 605, 741. 00 97, 400, 000. 00 Total permanent appropriations under independent offices-- 88, 543, 586. 00 107, 456, 991. 00 , . DEPARTMENT OF AGRICULTURE M eat inspection, Bureau of Animal Industry____________ ____________ ____ Cooperative work Forest Service----------------------------------------------------------------Refund to depositors, excess of deposits, national-forests fund-------------------Payments to States and Territories from the national-f orests fund------------Roads and trails for States, national-forests fund---------------------------------------Payments to school funds, Arizona and New Mexico, national-forests fund. National Forest Reservation Commission-------------------------------- ------------------Cooperative agricultural extension w ork___________________________________ Total permanent appropriations under Department of Agriculture - 3, 000, 000. 1, 700, 000. 75, 000. 1, 600, 000. 600, 000. 40, 000. 500. 4, 602, 936. 00 00 00 00 00 00 00 00 3, 000, 1, 400, 75, 1, 400, 530, 40, 000. 000. 000. 000. 000. 000. 500. 4, 602, 936. 00 00 00 00 00 00 00 00 11, 618, 436. 00 11, 048, 436. 00 3, 000. 00 3, 000. 00 DEPARTMENT OF COMMERCE Miscellaneous INTERIOR DEPARTMENT Deposits by individuals for surveying public lands-------------Repayment for lands erroneously sold---------------------------------5, 3, and 2 per cent funds to States (lands)------------------------Payments to States from receipts under mineral leasing act_ Colleges for agriculture and the mechanic arts--------------------Coos Bay Wagon Road grant fund_________________________ Oregon and California land grant fund_____________________ Annette Islands Reserve, Alaska, fund from leases_________ Donations to National Park Service________________________ Public schools, Alaska fund________________________________ Miscellaneous trust funds__________________________________ Miscellaneous---------------------------------------------------------------------Indian moneys, proceeds of labor__________________________ Payments to Oklahoma, royalties on oil and gas___________ Miscellaneous trust funds of Indian tribes_____ ____________ Interest on Indian trust funds______________________________ Civilization of the Sioux Indians___________________________ Total permanent appropriations under Interior Department. 27, 18, 15, 1, 500, 2, 550, 35, 585, 25, 100, 000. 00 000. 00 000 00 . 000. 00 000. 00 000 00 000 00 .. 0 0 0 .0 0 000. 00 . 55, 000 00 215, 700. 00 3, 000, 000. 00 38, 000. 00 12, 000, 000. 00 700, 000. 00 100, 000. 00 25, 25, 15, 1, 640, 2, 550, 23, 650, 15, 85, 55, 216, 13, 2, 500, 50, 17, 000, 700, 150, . . 000 00 000 00 000. 00 . 000 00 000.00 000 00 000. 00 . 0 0 0 .0 0 000. 00 000. 00 000. 00 000.00 000.00 000 00 000. 00 000.00 000.00 . 20, 963, 700. 00 25, 712, 000. 00 9, 000. 00 9,000.00 DEPARTMENT OF LABOR Miscellaneous. NAVY DEPARTMENT Pay of the Navy and Marine Corps, deposit fund. N avy fines and forfeitures------------------------------------Ships' stores profits, N a vy------------------------------------Naval Home, Philadelphia-----------------------------------Naval hospital fund______________________________ Miscellaneous-------------------------- ----------------------------Total permanent appropriations under Navy Department. 62331—29--------x i h 222, 140, 300, 189, 500. 000. 000. 000. 00 00 00 00 197, 500. 140, 000. 300, 000. 187, 000. 00 00 00 00 1, 000, 000. 00 1, 000. 000. 00 50.00 5a oo 1,851, 550. 00 1, 824, 55a 00 a148 th e budget, 1931 Recapitulation of estimates of appropriations for 1931, and of appropriations for 1930, by departments, etc.— Continued Organization units Estimates for 1931 Appropriations for 1930 PERMANENT APPROPRIATIONS INCLUDED IN THE FOREGOING SUMMARY— Continued POST OFFICE DEPARTMENT Unpaid money orders more than 1 year old--------- -------------------------------------------------------------Adjusted losses and contingencies_______________________________________________________ Total permanent appropriations under Post Office Department______________________ $150, 000. 00 70, 000. 00 $150, 000. 00 70, 000. 00 220, 000. 00 220, 000. 00 STATE DEPARTMENT Pay of consular officers for services to American vessels and seamen________________________ Trust funds------------------------------------------------------------------------------------------------------------------Pan American Union quotas_____________________________________________________________ Foreign government moieties____________________________________________________________ Miscellaneous___________________________________________________________________________ Total permanent appropriations under State Department___________________________ TREASURY DEPARTMENT Recoinage of silver coins_________________________________________________________________ Expenses of loans, act Sept. 24, 1917, as amended and extended____________________________ Preparation, custody, and delivery of farm-loan bonds, reimbursable_______________________ Preparation, custody, and delivery of Federal intermediate credit bank securities, reimbursable. Vessels and stations for Coast Guard (proceeds of sales)___________________________________ Refund of excessive duties_______________________________________________________________ Debentures or drawbacks, bounties or allowances_________________________________________ Refunding moneys erroneously received and covered (customs)_____________________________ Refunding penalties or charges erroneously exacted (customs)______________________________ Proceeds of goods seized and sold (customs)______________________________________________ Refunding proceeds of unclaimed merchandise (customs)___________________________________ Philippine special fund (customs)________________________________________________________ Contingent expenses, national currency, reimbursable______________________________________ Salaries and expenses, national-bank examiners____________________________________________ Allowance or drawback (internal revenue)________________________________________________ Redemption of stamps (internal revenue)_________________________________________________ Refunding legacy taxes, act of Mar. 30, 1928______________________________________________ Allowance or drawback (prohibition)_____________________________________________________ Philippine special fund (internal revenue)_________________________________________________ Porto Rico special fund (internal revenue)________________________________________________ Additional income tax on railroads in Alaska______________________________________________ To promote the education of the blind (interest)__________________________________________ Miscellaneous items_____________________________________________________________________ 10, 000. 20, 000. 95, 233. 15, 000. 1, 000. 00 00 00 00 00 141, 233. 00 300, 256, 151, 2, 8, 7, 500, 13, 500, 00Q. 150. 660. 625. 000. 000. 000. 00 00 00 00 00 00 00 10, 000. 00 5, 150, 2, 600, 140, 750, 5, 200, 400, 500. 00 000. 00 000. 00 000. 00 000. 00 000. 00 000. 00 000. 00 500. 00 15, 000. 00 10, 000. 00 500.00 10, 000. 20, 000. 95, 233. 15, 000. 1, 000. 00 00 00 00 00 141, 233. 00 250, 291, 98, 3, 6, 7, 500, 14, 000, 000. 285. 956. 940. 500. 000. 000. 00 00 80 00 00 00 00 10, 000. 00 5, 158, 2, 400, 140, 750, 10, 225, 400, 500. 00 000. 00 000. 00 000. 00 000. 00 000. 00 000. 00 000. 00 500. 00 15, 000. 00 10, 000. 00 500.00 Total permanent appropriations under Treasury Department, exclusive of public debt-. 26, 004, 935. 00 26, 275,181. 80 Interest on the public debt__________________________________________________ ____________ 619, 000, 000. 00 656, 000, 000. 00 395, 624, 000. 00 1, 800, 000. 00 382, 720, 000. 00 20, 050, 000. 00 231, 500, 000. 6, 000, 000. 200, 000. 200, 000. 214, 700, 000. 6, 000, 000. 210, 000. 214,100. Public-debt retirements from ordinary receipts: Sinking fund________________________________________________________________________ Redemption of bonds, etc., from cash repayments of principal by foreign governments___ Redemption of bonds, etc., received as interest and principal payments under foreign debt settlements_______________________________________________________________________ Obligations retired from Federal reserve bank franchise tax receipts____________________ Obligations retired from net earnings of Federal intermediate credit banks______________ Miscellaneous, estates tax, forfeitures, gifts, etc_______________________________________ Total public-debt retirements from ordinary receipts________________________________ Total permanent appropriations under Treasury Department, including public debt___ WAR DEPARTMENT Pay of the Army, deposit fund___________________________________________________________ Soldiers* Home, permanent fund_________________________________________________________ Soldiers' Home, interest account__________________________________________________________ Preservation, birthplace of Lincoln_______________________________________________________ Permanent International Commission of Congresses of Navigation_________________________ Claims of officers and men of the Army for destruction of private property__________________ Ordnance material, proceeds of sales______________________________________________________ Extra pay, war with Spain_______________________________________________________________ Operating and care of canals and other works of navigation________________________________ Removing sunken vessels or craft obstructing or endangering navigation____________________ Removing obstructions in Mississippi, Atchafalaya, and Old Rivers_________________________ Operating snag and dredge boats on upper Mississippi, Illinois, and Minnesota Rivers_______ Operating snag boats on the Ohio River__________________________________________________ Maintenance and operation of dams, etc., in navigable waters______________________________ Funds contributed and advanced for improvement of rivers and harbors____________________ Wagon roads, bridges, and trails, Alaska fund_____________________________________________ 00 00 00 00 00 00 00 00 635, 324, 000. 00 623, 8 9 4 , 100. 00 1, 280, 328, 935. 00 1, 306,169, 281. 80 1, 300, 000. 00 697, 000. 00 114, 000. 00 2 ,040.00 3 ,0 00.00 900.00 75, 000. 00 875. 00 6, 500, 000. 00 225, 000. 00 100, 000. 00 2 5 . 000. 00 1, 300, 000. 00 664.000.00 9 8 . 000. 00 6 0 .0 0 0 .0 9 2 4 0 ,0 0 0 .0 0 950, o o a 00 126, o o a 00 2 ,0 4 0 .0 0 3,0 00.00 900.00 66, o o a 60 875.00 6, 500,000. 00 200.000.00 100,000. 00 26.000. 00 5 0 , 000. 00 1 6 0 ,0 0 0 . 00 1 ,0 5 0 ,0 0 0 . 0 0 126, o o a 00 a149 RECAPITULATION Recapitulation oj estimates oj appropriations jor 1931, and oj appropriations jor 1930, by departments, etc.— Continued Organization units Estimates for 1031 Appropriations for 1930 PERMANENT APPROPRIATIONS INCLUDED IN THE FOREGOING SUMMARY— Continued war department — continued Funds contributed for improvement of roads, etc., in Alaska_____________ _______ ________ Maintenance of channel, South Pass, Mississippi River_____ _________________________ Gauging the waters of the Mississippi and its tributaries__ _______ _______ ______________ Examination and surveys at South Pass, Mississippi River________ - _________ _ ________ Total permanent appropriations under War Department____ __________________________ $200, 000. 100, 000. 9, 600. 10, 000. 00 00 00 00 9, 627, 415. 00 $200, 100, 9, 10, 000. 000. 600. 000. 00 00 00 00 9, 663, 415. 00 DISTRICT OF COLUMBIA Refunding taxes___ ________________________________ _________ ______ __________________ Extension of streets and avenues_____________________ _________________ _______________ Teachers’ retirement fund_________________________ _________ ______ __________ __________ Miscellaneous trust-fund deposits________ _______ ____________________________________________ Escheated estates relief fund____________ ______ __________ _________________________________ Washington redemption fund_________________________________________________________________ Police and firemen s relief fu nd_________ _____________________ - __________ _____________ Permit fund________________ _________ _____________________ _________________ __________ Total permanent appropriations under District of Columbia____________ Total permanent appropriations_______________ _____________ __________________________________ _ 60, 250, 360, 500, 2, 600, 675, 35, 000. 000. 000. 000. 500. 000. 000. 000. 00 00 00 00 00 00 00 00 55, 000. 500, 000. 390, 000. 825, 000. 2, 500. 550, 000. 675, 000. 55, 000. 00 00 00 00 00 00 00 00 2, 482, 500. 00 3, 052, 500. 00 1, 416, 022, 855. 00 1, 465, 506, 206. 80 \ ESTIMATES OF APPROPRIATIONS REQUIRED FOR THE SERVICE OF THE FISCAL YEAR ENDING JUNE 30, 1931 amount to be ap Amount appropriated for General object (title of appropriation), date of acts, references to TJnited States Code or Statutes at Large, and estimated Total propriated under each the fiscal year ending amount required for each detaUed object head of appropriation June 30,1030 C H A P T E R I .—L E G IS L A T IV E E S T A B L IS H M E N T U N IT E D STATES SE N ATE Salaries and Mileage of Senators— Salaries of Senators (U. S . C., title 2, secs. 81, 48; act Feb. 28, 1929, vol. 45, p. 1887)________________________________________________________________ Mileage of Senators (same acts)____________________________________________ $960,000.00 51, 000. 00 $1, O il, 000. 00 Salaries, Officers and Employees, Senate— Office of the Vice President: Secretary to the Vice President (acts Feb. 28, 1929, vol. 45, p . 1387; June 20, 1929, vol. 46, pp. 8 2 -8 8 )__________________________________ Clerk (same acts)_____________________________________________________ Assistant clerk (same acts)____________________________________________ Assistant clerk (same acts)________________________________ ________ ___ Total_________________ __________ ______ _______ _ $11,460.00 Chaplain of the Senate (same acts)_____________________________ _____ _____ Total____ ___________ ____________________________ $1,680.00 Office of the Secretary: Secretary of the Senate, including compensation as disbursing officer of salaries of Senators, and of contingent fund of the Senate (same acts)________________________________________________________________ Assistant Secretary, Henry M . Rose (same acts)_______________________ Chief Clerk, who shall perform the duties of reading clerk (same acts) _ _ Financial clerk (same acts)____________________________________________ Principal clerk (same acts)____________________________________________ Assistant financial clerk (same acts)___________________________________ Minute and Journal clerk (same a c ts),-______ _________________________ Legislative clerk (same acts)__________________________________________ Librarian (same acts)__________________________________________________ Enrolling clerk (same acts)__________________ _____ ____ _______________ Printing clerk (same acts)_____________________________________________ Executive clerk (same acts)____________________________________________ Chief bookkeeper (same acts)__________________________________________ File clerk and assistant Journal clerk, at $3,180 each (same acts)______ First assistant librarian and keeper of stationery, at $3,120 each (same acts)_______________________________________________________________ Assistant librarian (same a d s)________________________________________ Skilled laborer (same acts)____________________________________________ Three clerks, at $3,180 each (same acts)----------------------------------------------One clerk (same acts)__________________________________________________ One clerk (same acts)__________________________________________________ Two clerks, at $2,400 each (same acts)________________________________ Two clerks, at $2,040 each (same acts)________________________________ Two assistant keepers of stationery, at $2,040 each (same acts)________ Assistant in stationery room (same acts)______________________________ Messenger in library (same acts)______________________________________ Special officer (same acts)_____________________ 1______________________ Assistant in library (same acts)________________________________________ Laborers: 3 at $1,380 each; 2 at $1,620 each; 1 in stationery room, at $1,680 (same acts)________________________________________ ____ _____ Total_____________ _____ ____________ ______ $121,700.00 Document R oom : Superintendent (same acts)____________________________________ _____ __ First assistant (same acts)_____________________________________________ Second assistant, in lieu of employee heretofore paid under Senate Reso lution Numbered 90 (same acts)_____________________________________ Assistant in lieu of position authorized by Senate resolution 342 of the Seventieth Congress (same acts)___________________ r ____________ ___ Tw o clerks, at $2,040 each (same acts)_______________ 1............................. Skilled laborer (same acts)_______________________________________ _____ T otal____ _____________________ ____ - ___________ $17, 880. 00 62331—2l 4, 620. 2, 400. 2, 280. 2, 160. 00 00 00 00 1, 680. 00 8, 000. 4, 500. 6, 500. 6, 000. 3, 840* 4, 800. 5, 500. 3, 540. 3, 360. 3, 540. 3, 540. 3,180. 3, 600. 6, 360. 00 00 00 00 00 00 00 00 00 00 00 00 00 00 6,240.00 2, 460. 00 1, 740. 00 9, 540. 00 2, 880. 00 2, 760. 00 4, 800. 00 4, 080. 00 4, 080. 00 1, 740. 00 1, 560. 00 2, 460. 00 2, 040. 00 9, 060. 00 3, 960. 00 3, 360. 00 2, 700. 00 2, 040. 00 4, 080. 00 1, 740. 00 $1, O il, 000. 00 2 THE BUDGET, 1931 Estimates of appropriations required for the service of the fiscal year ending June SO, 19S1-— Continued amount to be ap Amount appropriated for General object (title of appropriation), date of acts, references to United States Code or Statutes at Large, and estimated Total propriated under each the fiscal year ending amount required for each detailed object head of appropriation June 30,1030 Salaries, Officers and Employees, Senate— Continued. Clerks and messengers to the following committees: Agriculture and Forestry— clerk, $3,900; assistant clerk, $2,880; assistant clerk, $2,580; assistant clerk, $2,400; assistant clerk, $2,220; additional clerk, $1,800. Appropriations— clerk, $7,000 and $1,000 additional so long as the position is held by the present incumbent; two assistant clerks at $4,200 each; three assistant clerks at $3,000 each; two assistant clerks at $2,220 each; mes senger, $1,800. To Audit and Control the Contingent Expenses of the Senate— clerk, $3,900; assistant clerk, $2,580; assistant clerk, $2,400; assistant clerk, $2,220; additional clerk, $1,800. Banking and Currency— clerk, $3,900; assistant clerk, $2,880; assistant clerk, $2,400; assistant clerk, $2,220. Civil Service— clerk, $3,900; assistant clerk, $2,400; assist ant clerk, $2,220; additional clerk, $1,800. Claims— clerk, $3,900; assist ant clerk, $2,880; assistant clerk, $2,580; two assistant clerks at $2,220 each. Commerce— clerk, $3,900; assistant clerk, $2,880; assistant clerk, $2,580; assistant clerk, $2,400; assistant clerk, $2,220. Conference Majority of the Senate (in lieu of positions authorized by Senate Resolu tion Numbered 50 of the Seventy-first Congress)— clerk, $3,900; assistant clerk, $2,880; two assistant clerks at $2,580 each; assistant clerk, $2,220. Conference Minority of the Senate— clerk, $3,900; assistant clerk, $2,880; two assistant clerks at $2,580 each; assistant clerk, $2,220. District of Columbia— clerk, $3,900; tw o assistant clerks at $2,880 each; assistant clerk, $2,220; additional clerk, $1,800. Education and Labor—clerk, $3,900; assistant clerk, $2,580; assistant clerk, $2,220; additional clerk, $1,800. Enrolled Bills— clerk, $3,900; assistant clerk, $2,400; assistant clerk, $2,220; additional clerk, $1,800. Expenditures in the Executive Departments— clerk, $3,900; assistant clerk, $2,580; assistant clerk, $2,220; additional clerk, $1,800. Finance— clerk, $4,200; special assistant to the committee, $3,600; assistant clerk, $2,880; assistant clerk, $2,700; assistant clerk, $2,400; two assistant clerks at $2,220 each; two experts (one for the majority and one for the minority) at $3,600 each; messenger, $1,800. Foreign Relations— clerk, $3,900; assistant clerk, $2,880; assist ant clerk, $2,580; assistant clerk, $2,220; additional clerk, $1,800; mes senger, $1,800. Immigration— clerk, $3,900; assistant clerk, $2,580; * assistant clerk, $2,220; additional clerk, $1,800. Indian Affairs— clerk, $3,900; assistant clerk, $2,880; assistant clerk, $2,400; assistant clerk, $2,220; additional clerk, $1,800. Interoceanic Canals— clerk, $3,900; assistant clerk, $2,580; assistant clerk, $2,220; additional clerk, $1,800. Interstate Commerce— clerk, $3,900; assistant clerk, $2,880; two assistant clerks at $2,580 each; assistant clerk, $2,220. Irrigation and Reclama tion— clerk, $3,900; assistant clerk, $2,580; assistant clerk, $2,220; addi tional clerk, $1,800. Judiciary— clerk, $3,900; assistant clerk, $2,880; two assistant clerks at $2,580 each; assistant clerk, $2,220. Library— clerk, $3,900; assistant clerk, $2,400; assistant clerk, $2,220; additional clerk, $1,800. Manufactures— clerk, $3,900; assistant clerk, $2,400; assistant clerk, $2,220; additional clerk, $1,800. Military Affairs— clerk, $3,900; assistant clerk, $2,880; assistant clerk, $2,580; assistant clerk, $2,400; two assistant clerks at $2,220 each. Mines and Mining— clerk, $3,900; assist ant clerk, $2,400; assistant clerk, $2,220; additional clerk, $1,800. Naval Affairs— clerk, $3,900; assistant clerk, $2,880; assistant clerk, $2,400; two assistant clerks at $2,220 each. Patents— clerk, $3,900; assistant clerk, $2,400; assistant clerk, $2,220; additional clerk, $1,800. Pensions— clerk, $3,900; assistant clerk, $2,580; four assistant clerks at $2,220 each. Post Offices and Post Roads— clerk, $3,900; assistant clerk, $2,880; three assistant clerks at $2,220 each; additional clerk, $1,800. Printing— clerk, $3,900; assistant clerk, $2,580; assistant clerk, $2,220; additional clerk, $1,800. Privileges and Elections— clerk, $3,900; assistant clerk, $2,400; assistant clerk, $2,220; additional clerk, $1,800. Public Buildings and Grounds— clerk, $3,900; assistant clerk, $2,400; assistant clerk, $2,220; additional clerk, $1,800. Public Lands and Surveys— clerk, $3,900; assistant clerk, $2,880; assistant clerk, $2,580; two assistant clerks, at $2,220 each. Revision of Laws— clerk, $3,900; assistant clerk, $2,400; assistant clerk, $2,220; additional clerk, $1,800. Rules— clerk, $3,900, to include full compensation for the preparation biennially of the Senate Manual under the direction o f the Committee on Rules; assistant clerk, $2,880; assistant clerk, $2,580; assistant clerk, $2,220; additional clerk, $1,800. Territories and Insular Possessions— clerk, $3,900; assistant clerk, $2,580; assistant clerk, $2,220; additional clerk, $1,800 (acts Feb. 28, 1929, vol. 45, pp. 1887-1889; June 20, 1929, vol. 46, pp. 88^84)__________ $481, 400. 00 Clerical assistance to Senators: For clerical assistance to Senators who are not chairmen of the committees specifically provided for herein: Seventy clerks, at $3,900 each, seventy assistant clerks, at $2,400 each, seventy assistant clerks, at $2,220 each, $596,400: Provided, That such clerks and assistant clerks shall be ex officio clerks and assistant clerks o f any com mittee o f which their Senator is chairman; seventy additional clerks, at $1,800 each, one for each Senator having no more than one clerk and two assistant clerks for himself or for the committee o f which he is chairman, and messenger, $1,800; $127,800; in all (same acts)--------------- ----------------724, 200. 00 3 LEG ISLATIV E ESTABLISH M EN T Estimates oj appropriations required jor the service oj the jiscal year ending June 30, 1931— Continued amount to be ap Amount appropriated for General object (title of appropriation), date of acts, references to United States Code or Statutes at Large, and estimated Total propriated under each the fiscal year ending amount required for each detailed object June 30,1030 head of appropriation Salaries, Officers and Employees} Senate— Continued* Office of Sergeant at Arms and Doorkeeper: Sergeant at Arms and Doorkeeper (acts Feb. 28,1929, vol 4f>t VV• 13871389; June 20, 1929, vol. 46, pp. 33 -34 )-------------------------------- ---------Two secretaries, at $5,400 each (same acts)___________________________ Two assistant secretaries, at $4,320 each (same acts)__________________ Messengers, five (acting as assistant doorkeepers), including one for minority, at $2,400 each (same acts)________________________________ Thirty-seven messengers, including one for minority, at $2,040 each (same acts) _________________________________________________________ Messenger (same acts)________________________________________________ Messenger at card door (same acts)____ ______________________________ Clerk on Journal work for Congressional Record, to be selected by the official reporters (acts Feb. 28, 1929, vol. 45, pp. 1389-1390; June 20, 1929, vol. 46, pp. 3 4 -35 )__________________________________ _______ Deputy Sergeant at Arms and storekeeper (same acts)__ ______________ Clerk_____________________________________________________ ___________ Stenographer in charge of furniture accounts and records (same acts) - ~ Upholsterer and locksmith (same acts)________________________________ Cabinetmaker (same acts)____________________________________________ Three carpenters, at $2,040 each (same acts)__________________________ Janitor (same acts) ___________________________________________________ Four skilled laborers, at $1,680 each (same acts)______________________ One skilled laborer___________________________________________________ Laborer in charge of private passage (same acts)______________________ Three female attendants in charge of ladies' retiring rooms, at $1,500 each (same acts)____________________________________________________ Three attendants to women's toilet rooms, Senate Office Building, at $1,500 each (same acts)_____________________________________________ Chief telephone operator (same acts)__________________________________ Seven telephone operators, at $1,560 each (same acts) _________________ Night telephone operators (same acts)____ _____ ______________________ Telephone page (same acts) ___________________________________________ Laborer in charge of Senate toilet rooms in old library space (same acts). Superintendent of press gallery (same acts)___________________________ Assistant superintendent of press gallery (same acts)__________________ Messenger for service to press correspondents (same acts)________ ____ Three laborers, at $1,320 each (same acts)____________________________ Thirty-four laborers, at $1,260 each (same acts)_______________________ Twenty-one pages for the Senate Chamber, at the rate of $4 per day each during the session, 121 days (some acts)_______________________ T ota l____________________________________________ $245, 024. 00 For police force for Senate Office Building, under the Sergeant at Arms: Special officer (same acts)_____________________________________________ Sixteen privates, at $1,620 each (same acts)___________________________ Total_____________________________________________ $27, 660. 00 Post office: Postmaster (same acts)_______________________________________________ Chief clerk (same acts)________________________________________________ Wagon master (same acts)____________________________________________ Seven mail carriers, at $1,740 each (same acts)________________________ Two riding pages, at $1,440 each (same acts)__________________________ T otal____ ______________________________ _____ ____ $22,620.00 Folding room: Foreman (same acts)___________________________________________ ______ Assistant (same acts)_________________________________________________ Clerk (same acts)_________________ _____ ______________________________ Chief folder (same acts)_______________________________________________ Seven folders, at $1,560 each (same acts)______ _____ __________________ Seven folders, at $1,380 each (same acts)______________________________ T otal____ _________________________________________$28,980.00 $8, 000. 00 10, 800. 00 8, 640. 00 12, 000. 00 75, 480. 00 1, 560. 00 2, 880. 00 3, 360. 00 4, 440. 00 2,460.00 1, 740. 00 2, 400. 00 2, 040. 00 6,120. 00 2, 040. 00 6, 720. 00 1, 560. 00 1, 680. 00 4, 500. 00 4, 500. 2, 460. 10, 920. 1, 380. 1, 260. 1, 200. 3, 660. 2, 520. 1, 740. 3, 960. 42, 840l 00 00 00 00 00 00 00 00 00 00 00 10, 164. 00 1, 740. 00 25, 920. 00 3, 060. 2, 460. 2, 040. 12,180. 2, 880. 00 00 00 00 00 2, 460. 2,160. 1, 740. 2, 040. 10, 920. 9, 660. 00 00 00 00 00 00 Reporting Debates and Proceedings, Senate— For reporting the debates and proceedings of the Senate, payable in equal monthly installments (act Feb. 28, 1929, vol. 45, p. 1387)________________________________ Contingent Expenses, Senate— For stationery for Senators and the President of the Senate, including $7,500 for stationery for committees and officers of the Senate (same act)______________________ Postage stamps: For the office of the Secretary, $250; office of Sergeant at Arms, $100; in all (same act)____________________________________________ ___ ____________ For maintaining, exchanging, and equipping motor vehicles for carrying the mails and for official use of the offices of the Secretary and Sergeant at Arms (same act)--------------------------------------------------------------------------------------------------------------For driving, maintenance, and operation of automobile for the Vice Presi dent (same act)_____________________________________________ ____________________________ For materials for folding (same act)________________________________________________________ For folding speeches and pamphlets, at a rate not exceeding $1 per thou sand (same act)_____________ $___________________________________________________________ $1, 682, 604. 00 $1, 401, 491. 60 55, 340. 00 55, 340. 00 25, 000. 00 25, 000. 00 350.00 350.00 13, 000. 00 13, 000. 00 4,000.00 1, 500. 00 4,000.00 1, 500. 00 io, ooa oo 10. 000. 00 4 THE BUDGET, 1931 Estimates of appropriations required for the service of the fiscal year ending June SO, 1931— Continued General object (title of appropriation), date of acts, references to United States Code or Statutes at Large, and estimated amount required for each detailed object Contingent Expenses, Senate— Continued. For fuel, oil, cotton waste, and advertising, exclusive of labor (act Feb. 28, 1989, vol. 45, p. 1387)____ _______ ______ ___________________ _____________ For purchase of furniture (same act)________________________________________ For materials for furniture and repairs of same, exclusive of labor (same act). For services in cleaning, repairing, and varnishing furniture (same act)______ For packing boxes {same act)_______________________________________________ For rent of warehouse for storage of public documents (same act)___________ For miscellaneous items, exclusive of labor (same act)_______________________ For expenses of inquiries and investigations ordered by the Senate, includ ing compensation to stenographers of committees, at such rate as may be fixed by the Committee to Audit and Control the Contingent Expenses of the Senate, but not exceeding 25 cents per 100 words (same act)________ For Senate kitchens and restaurants (same act)________________________ _____ Total amount to be ap- Amount appropriated for ropriated under each the fiscal year ending ead of appropriation June 30,1930 E $2, 000. 00 5, 000. 00 3, 000. 00 2, 000. 00 970. 00 2, 000. 00 Total, Senate. $ 2, 5. 3. 2. 000.00 000.00 000.00 000.00 970. 00 2, o o a 00 125, ooa 00 125, 000. 00 250, ooa 00 40, 000. 00 250, 000. 00 3, 232, 764. 00 2, 951 ,6 5 1 . 60 4, 580, 000. 00 4 ,5 8 2 , 500. 00 40, ooa 00 HOUSE OF RE PR E SE N TA TIV E S Salaries and Mileage, Members and Delegates, House of Representatives— For compensation of Members of the House of Representatives, Delegates from Territories, the Resident Commissioner from Porto Rico, ana the Resident Commissioners from the Philippine Islands (17. S. C., title 2, secs. 81, 48-46; tiUe 48* secs, 184, 651, 898, 1093; act Feb. 28, 1929, vol. Jfi, p. 1890)---------------------------------------------------------- ----------------- -------- ------------- ..$ 4 , 405,000. 00 For mileage of Representatives and Delegates and expenses of Resident Commissioners (same a d s)______________________________________________ 175, 000. 00 Salaries, Officers and Employees, House of Representatives— Office of the Speaker: Secretary to Speaker (U. S. C., title 2, sec. 89; acts Feb. 28,1929, vol. 4&> p . 1890; June 20, 1929, vol 46, pp. 8 5 -87 )__________________________ Parliamentarian (same a d s)________________________ ___ ______________ For preparing Digest of Rules (same ad s)_____________________________ Assistant parliamentarian (same a d s)________________________ _____ — Clerk to Speaker (same a d s)__________________________________________ Messenger to Speaker's table (same a d s)______________________________ Messenger to Speaker (same a d s)_____________________________________ Clerk to Speaker (same a d s)__________________________________________ T ota l_____________________________________________ $20,140.00 Chaplain: For Chaplain (same a d s)_____________________________________________ T otal_________________________ _____ ________________$1,680.00 Office of the Clerk: Clerk of the House of Representatives, including compensation as disbursing officer of the contingent fund (same a d s)____ ___ _________ Journal clerk, two reading clerks, and tally clerk, at $5,000 each (same a d s)___________ __________ _____________ _____________ ______ _______ Disbursing clerk (same a d s)__________________________________________ File clerk (same ad s)_______________________ __________________________ Enrolling clerk, $4,000 and $1,000 additional so long as the position is held by the present incumbent (same ad s)__________________________ Property custodian and superintendent of furniture and repair shop, who shall be a skilled cabinetmaker or upholsterer and experienced in the construction and purchase o f furniture (same a d s)___________ Two assistant custodians, one at $3,600 and one at $3,360 (same ads) . . . Chief bill clerk (same a d s)____________________________________________ Assistant enrolling clerk (same ad s)___________________________________ Assistant to disbursing clerk (same ad s)______________________________ Stationery clerk (same ad s)___________________________________________ Librarian (same ad s)_________________________________________________ Assistant librarian (same ads) ________________________________________ Assistant file clerk (same a d s)________________________________________ Assistant librarian, and assistant Journal clerk, at $2,460 each (same a d s)________________________________________________ ______ _________ Clerks, one $2,460, three at $2,340 each (same ad s)__________________ Bookkeeper, and assistant in disbursing office, at $2,160 each (same a d s)--------------.-----------------------------------------------------------------------------------Four assistants to chief bill clerk, at $2,100 each (same a d s)___________ Stenographer to the Clerk (same a d s)_________________________________ Locksmith and typewriter repairer (same ad s)________________________ Messenger and clock repairer (same ad s)______________________________ Assistant in stationery room (same ad s)______________________________ Three messengers, at $1,680 each (same a d s)_________________________ Stenographer to Journal clerk (same ad s)------------------------- ------------------[F ifte e n j Seventeen telephone operators, at $1,560 each (same ads)____ Substitute telephone operator when required, at $4 per day (same ad s)............................... ............ - .............. - .......................- .......................- 4, 620. 4, 500. 1, 000. 2, 760. 2, 400. 1, 740. 1,680. 1, 440. 00 00 00 00 00 00 00 00 1, 680. 00 8, 000. 00 20,000.00 4, 800. 00 3, 780. 00 5, 000. 00 3, 960. 6, 960. 5, 000. 3,180. 3,300. 3, 300. 2, 760. 2, 520. 2, 520. 00 00 00 00 00 00 00 00 00 4,920.00 9, 480. 00 4,3 2 0 .0 0 8, 400. 00 1, 980. 00 1,860. 00 1, 740. 00 X, 740. 00 5 ,040. 00 1, 560. 00 26, 520. 00 1,460.00 5 LEGISLATIVE ESTABLISHMENT Estimates of appropriations required for the service of the fiscal year ending June SO, 1931— Continued amount to be ap Amount appropriated for General object (title of appropriation), date of acts, references to United States Code or Statutes at Large, and estimated Total propriated under each the fiscal year ending amount required foi each detailed object head of appropriation June 30, 1930 Salaries, Officers and Employees, House of Representatives— Continued. Laborers: Three, at $1,440 each (U. S. C., title 2, sec. 89; acts Feb. 28, 1929, vol. 45, p. 1390; June 20, 1929, vol. 46, pp. S6-S7)_____________________ Nine, at $1,260 each (same ad s)_______ ______________________________ For the purchase, exchange, operation, maintenance, and repair of motor vehicle (same ad s)_______________ ______________________________________ Executive assistant to Clerk of the House (submitted)_____________________ T otal____________________________________________ $164, 960. 00 Committee employees: Clerks, messengers, and janitors to the following committees: Accounts: Clerk (same acts)____________________________________________ Assistant clerk (same acts)___________________________________ Janitor (same acts)__________________________________________ Agriculture: Clerk (same ad s)____________________________________________ Assistant clerk (same a d s)___________________________________ Janitor (same acts)__________________________________________ Appropriations: Clerk, $7,000, and $1,000 additional so long as the position is held by the present incumbent (U. S. C.t title 2, sec. 89; acts Feb. 28, 1929, vol. 45, p. 1891; June 20, 1929, vol. ^8, p . 87)------------------ -------- -----------------------------------------------Assistant clerk, $5,000, and $1,000 additional so long as the position is held by the present incumbent (same ads)______ Three assistant clerks, at $3,900 each (same ads)____________ Assistant clerk (same acts)___________________________________ Two assistant clerks, at $3,300 each (same acts)_____________ Messenger (same acts)_______________________________________ Banking and Currency: Clerk (same ad s)~_______________ ■.__________________________ Assistant clerk (same acts)___________________________________ Janitor (same ad s)__________________________________________ Census: Clerk (same ad s)__________________________ - ________________ Janitor (same acts)___________________________________________ Civil Service: Clerk (same ad s)____________________________________________ Janitor (same acts)_____________________________ _____________ Claims: Clerk (same acts)____________________________________________ Assistant clerk (same acts)-----------------------------------------------------Janitor (same ads)___________________________________________ Coinage, Weights, and Measures: Clerk (same ad s)__________________ , _________________________ Janitor (same ads)___________________________________________ Disposition of Useless Executive Papers: Clerk (same ad s)____________________________________________ District of Columbia: Clerk (same ads)____________________________________________ Assistant clerk (same a d s)___________________________________ Janitor (same acts)________________________ __________________ Education: Clerk (same acts)____________________________________________ Election of President, Vice President, and Representatives in Congress: Clerk (same ad s)____________________________________________ Elections No. 1: Clerk (same acts)____ _________ ___ ___________________________ Janitor (same ads)___________________________________________ Elections No. 2: Clerk {same ad s)____________________________________________ Janitor (same ad s)___________________________________________ Elections No. 3: Clerk (same ad s)____________________________________________ Janitor (same ads)___________________________________________ Enrolled Bills: Clerk (same ad s)____________________________________________ Janitor (same ads)___________________________________________ Expenditures in the Executive Departments: Clerk (same ad s)_________________________________________ ___ Janitor (same ads)___________________________________________ Flood Control: Clerk (same ad s)___________________________ ______ __________ Janitor (same acts)_______________________ ___________________ $4, 320. 00 11, 340. 00 1, 200. 00 4, 000. 00 3, 300. 00 2, 460. 00 1, 560. 00 3, 300. 00 2, 460. 00 1, 560. 00 8, 000. 00 6, 000. 00 11, 3, 6, 1, 700. 600. 600. 680. 00 00 00 00 2, 760. 00 1, 740. 00 1, 260. 00 2, 760. 00 1, 260. 00 2, 760. 00 1, 260. 00 3, 300. 00 1, 740. 00 1, 260. 00 2,760. 00 1, 260. 00 2, 760. 00 3, 300. 00 2, 460. 00 1, 260. 00 2, 760. 00 2, 760. 00 2, 760. 00 1, 260. 00 2, 760. 00 1, 260. 00 2, 760. 00 1, 260. 00 2, 760. 00 1, 260. 00 3, 300. 00 1, 260.00 2 ,760. 00 I, 260. 00 6 THE BUDGET, 1931 E8timate8 oj appropriations required jor the service oj the fiscal year ending June SO, 19S1— Continued General object (title of appropriation), date of acts, references to United States Code or Statutes at Large, and estimated amount required for each detailed object Salaries, Officers and Employees, House of Representatives— Continued. Committee employees— Continued. Clerks, messengers, and janitors to the following committees— Con. Foreign Affairs: Clerk (U. S. C.r title 2, sec. 89; acts Feb. 281 1989, vol. 4$> P* 1391; June 20, 1929, vol. 48, p. 37)________________________ $3, 300. 00 Assistant clerk (same acts)___________________________________ 2, 460. 00 Janitor (same acts)__________________________________________ 1, 260. 00 Immigration and Naturalization: Clerk (same ad s)__________________________________________3, 300. 00 Janitor (same acts)__________________________________________ 1, 260. 00 Indian Affairs: Clerk (same acts)____________________________________________ 3, 300. 00 Assistant clerk (same acts)___________________________________ 2, 460. 00 Janitor (same acts)__________________________________________ 1, 260. 00 Insular Affairs: Clerk (same acts)______________________________ _____________ 2, 760. 00 Janitor (same acts)__________________________________________ 1, 260. 00 Interstate and Foreign Commerce: Clerk (U. S. C.t title 2, sec. 89; acts Feb. 28, 1929, vol. 45, pp. 1391-1392; June 20, 1929, vol. 46, p. 37)__________________ 3, 900. 00 Additional clerk (same acts)_________________________________ 2, 640. 00 Assistant clerk (same acts)___________________________________ 2, 100. 00 Janitor (same acts)__________________________________________ 1, 560. 00 Irrigation and Reclamation: Clerk (same acts)____________________________________________ 2, 760. 00 Janitor (same acts)_________________________ _____ ___________ 1, 260. 00 Invalid Pensions: Clerk (some acts)____________________________________________ 3, 300. 00 Stenographer (same acts)____________________________________ 2, 640. 00 Expert examiner (same acts) _________________________________ 2, 700. 00 Assistant clerk (same acts)___________________________________ • 2, 880. 00 Janitor (same acts)__________________________________________ 1, 500. 00 Judiciary: Clerk (same acts)____________________________________________ 3, 900. 00 Assistant clerk (same acts)___________________________________ 2, 160. 00 Assistant clerk (same acts)___________________________________ 1, 980. 00 Janitor (same acts)__________________________________________ 1, 500. 00 Labor: Clerk (same acts)____________________ _____ __________________ 2, 760. 00 Janitor (same acts)__________________________________________ 1, 260. 00 Library: Clerk (same acts)____________________________________ _______ 2, 760. 00 Janitor (same acts)__________________________________________ 1, 260. 00 Merchant Marine and Fisheries: Clerk ( same a c t s ) _____ ____________________________________ 2, 760. 00 Janitor (same acts)___________________________________________ 1, 260. 00 Military Affairs: Clerk (same acts)_____________________ ______________________ 3, 300. 00 Assistant clerk (same acts)_____________ j ____________________ 2, 100. 00 Janitor (same acts)----------------------------------------------------------------1, 560. 00 Mines and Mining: Clerk (same acts)____________________________________________ 2, 760. 00 Janitor (same acts)__________________________________________ 1, 260. 00 Naval Affairs: Clerk (same acts)____________________________________________ 3, 300. 00 Assistant clerk (same acts)__________________________________ 2, 100. 00 Janitor (same acts)----------------------------------------------------------------1, 560. 00 Patents: Clerk (same acts)____________________________________________ 2, 760. 00 Janitor (same acts) ----------------------------------------------------------------1, 260. 00 Pensions: Clerk (same acts)____________ ! ______________________________ 3, 300. 00 Assistant clerk (same acts)___________________________________ 2, 160. 00 Janitor (same acts)___________________________________________ 1, 260. 00 Post Office and Post Roads: Clerk (same acts)____________________________________________ 3, 300. 00 Assistant clerk (same acts)___________________________________ 2, 100. 00 Janitor (same acts)___________________________________________ 1, 560. 00 Printing: Clerk (same acts)________ ____________________ __________ ____ 2, 760. 00 Janitor (same acts)__________________________________________ 1, 560. 00 Public Buildings and Grounds: Clerk (same acts)____________________________________________ 3, 300. 00 Assistant clerk (same acts)___________________________________ 1, 740. 00 Janitor (same acts).............................................................................. 1, 260. 00 Total amount to be ap propriated under each head of appropriation Amount appropriated for the fiscal year ending June 30,1930 7 LEGISLATIVE ESTABLISHMENT Estimates oj appropriations required jo r the service oj the fiscal year ending June SO, 19S1— Continued General object (title of appropriation), date of acts, references to United States Code or Statutes at Large, and estimated amount required for each detailed object Salaries, Officers and Employees, House of Representatives— Continued. Committee employees— Continued. Clerks, messengers, and janitors to the following committees— Con. Public Lands: Clerk (U. S. C., title 2, sec. 89; acts Feb. 28, 19^9, vol. 45, pp. 1391-1392; June 20, 1929, vol. 46, p. 37)__________________ Assistant clerk (same acts) __________________________________ Janitor (same acts) __________________________________________ Revision of the Laws: Clerk (same acts)____________________________________________ Janitor (same acts)__________________________________________ Rivers and Harbors: Clerk (same acts)_____ ______________ ___________ _____ ______ Assistant clerk (same acts) ________ ___________ ____________ Janitor (same acts) __________________________________________ R oads: Clerk (same acts)____________________________________________ Assistant clerk (same acts)___________________________________ Janitor (same acts)_________________________ _____ ___________ Rules: Clerk ( U. S. C., title 2, sec. 89; acts Feb. 28, 1929, vol. 4$, V* 1392; June 20, 1929, vol. 46, p* 87) — _____ _ _ — - — -------Assistant clerk (same acts)___________________________________ Janitor (same acts)__________________________________________ Territories: Clerk (same acts)______________ __________ ___________________ Janitor (same acts)-------------------------------------------- -------------------War Claims: Clerk (same acts)____________________________________________ Assistant clerk (same acts)___________________________________ Janitor (same acts)__________________________________________ Ways and Means: Clerk (same acts)_______________ ____________________________ Assistant clerk and stenographer (same acts)_________________ Assistant clerk (same acts)----------------------------------------------------Clerk for the minority (same ads) _____________________ _____ Janitors— one $1,560, one $1,260 (same acts)_________________ World War Veterans’ Legislation: Clerk (same acts)----------------- -------------------------------------------------Assistant clerk (same acts)___________________________________ Total______________________________________$296, 000. 00 Office of Sergeant at Arms: Sergeant at Arms (U. S. C., title 2, sec. 89; acts Feb. 28, 1929, vol. 45, p. 1392; June 20, 19291 vol. 46, pp. 85-36)^_______ ____________________ Deputy Sergeant at Arms (same acts)_________________________________ Cashier (same acts)___________________________________________________ Two bookkeepers, at $3,360 each (same acts)_______________________ Deputy Sergeant at Arms in charge of pairs (same acts)_______________ Pair clerk and messenger (same acts)---------------------------------------------------Assistant cashier (same acts)____________________________________ _____ Stenographer and typewriter (same acts)---___________________________ Skilled laborer (same acts)____________________________________________ Hire of automobile (same acts)________________________________________ T ota l_____ ____________ ___________________________ $33,860.00 For police force, House Office Building, under the Sergeant at Arms: Lieutenant (same acts)________________________________________________ Nineteen privates, at $1,620 each (same acts)_________________________ T otal_____________________ _______________________ $32,520.00 Office of Doorkeeper: Doorkeeper (same acts)_______________________________________________ Special employee (same acts)__________________________________________ Superintendent of House press gallery (same acts)________ J___________ Assistant to the superintendent of House press gallery (same acts)____ Janitor (same acts)____________________________________________________ Messengers— seventeen, at $1,740 each (same acts)____________________ Fourteen on soldiers’ roll, at $1,740 each (same acts)__________ _____ Laborers— seventeen, at $1,260 each (same a d s)______________________ Two known as cloakroom men, at $1,380 each (same acts)____________ Eight known as cloakroom men, one at $1,260, and seven at $1,140 each (same acts)_________________________________________________________ Three female attendants in ladies’ retiring rooms, at $1,680 each (same acts)________________________________________________________________ Attendant in ladies’ reception room (same acts)_______________________ Superintendent of folding room (same acts)___________________________ Foreman of folding room (same acts)__________________________________ Chief clerk to superintendent of folding room (same acts)_____________ Three clerks, at $2,160 each (same a d s)_______________________________ Janitor (same ad s)-------------------------------------------------------------------------------Laborer (same ad s)___________________________________________________ $2, 760. 00 1, 740. 00 1, 260. 00 3, 300. 00 1, 260. 00 3, 300. 00 2, 460. 00 1, 560. 00 2, 760. 00 1, 740. 00 1, 260. 00 3, 300. 00 2, 100. 00 1, 260. 00 2, 760. 1, 260. 3, 300. 00 1, 740. 00 1, 260. 00 4, 2, 2, 3, 2, 620. 640. 580. 180. 820. 00 00 00 00 00 3, 300. 00 2, 460. 00 8, 000. 00 3, 4, 6, 2, 2, 2, 180. 920. 720. 820. 820. 820. 600. 1, 380. 600. 00 00 00 00 00 00 00 00 00 1, 740. 00 30, 780. 00 6, 000. 00 2, 3, 2, 2, 29, 24, 21, 2, 820. 660. 520. 700. 580. 360. 420. 760. 00 00 00 00 00 00 00 00 9, 240. 00 5, 040. 1, 440. 3, 180. 2, 640. 2, 460. 6, 480. 1, 260. 1, 260. 00 00 00 00 00 00 00 0O Total amount to be ap Amount appropriated for propriated under each the fiscal year ending head of appropriation June 30,1830 8 THE BUDGET, 1931 Estimates of appropriations required for the service of the fiscal year ending June SO, 1931— Continued General object (title of appropriation), date of acts, references to United States Code or Statutes at Large, and estimated amount required for each detailed object Salaries j Officers and Employees, House of Representatives— Continued. Office of Doorkeeper— Continued. Thirty-one folders, at $1,440 each (iU. S. C., title 2, sec. 89; acts Feb. 28, 1929, vol. 45, p. 1392; June 20, 1929, vol. 46, pp. 35 -36 )___________ Shipping clerk {same acts)___________________________________ « -----------Two drivers, at $1,380 each (same acts)_______________________________ Two chief pages, at $1,980 each (same acts)___________________________ Two telephone pages, at $1,680 each (same acts)______________________ Two floor managers of telephones (one for the minority), at $3,180 each (same acts) . _________________________________________________ _____ Two assistant floor managers in charge of telephones (one for the minority), at $2,100 each (same acts)_______________________________ Forty-one pages during the session, including ten pages for duty at the entrances to the Hall of the House, at $4 per day each (same acts)____ Press gallery page (same ad s)________________________________________ Superintendent of document room (same acts)________________________ Assistant superintendent of document room (same acts)....................... .. Clerk (same acts)--------------------------------------------------------------------------------Assistant clerk (same acts)------------- ---------- ------------------------------------------Eight assistants, at $1,860 each (same ad s)___________________________ Janitor (U. S. C., title 2, sec. 89; acts Feb. 28, 1929, vol. 45, pp. 18921894; June 20, 1929, vol. 46, p. 86)_________________________________ Messenger to press room (same acts)__________________________________ Maintenance and repair of folding room motor truck (same acts)........... T otal____________ _______ ________________________$247,604.00 Special and minority employees: For six minority employees, five at $2,820 each, authorized and named in the resolution of April 15, 1929— one at $3,180 (J. J. Sinnott), (same acts)_________________________________________________________ To continue employment of the assistant foreman of the folding room authorized in the resolution of September 30, 1913 (same acts)______ To continue employment of the person named in the resolution of April 28, 1914, as a laborer (same acts)_____________________________ To continue employment of the laborer authorized and named in the resolution of December 19, 1901 (same a d s)------------------------------------Clerk, under the direction of the Clerk of the House, named in the resolution of February 13, 1923 (same ad s)_________________________ Successors to any of the employees provided for in the five pre ceding paragraphs may be named by the House of Representatives at any time. T otal____________________________________________ $25, 080. 00 Office of majority floor leader: Legislative clerk (same a d s)__________________________________________ Clerk (same acts)_____________________________________________________ Assistant clerk (same a d s)____________________________________________ Janitor (same ad s)------------------------------------------------------------------------------T otal____________ _____ __________________________ $10,800.00 Conference minority: Clerk (same acts)---------------------------------------------------------------------------------Legislative clerk (H. Res. 315, Feb. 25,1929; H. Res. 56, June 19,1929j Assistant clerk ( U. S. title 2, sec. 89; acts Feb. 28, 1929, vol. 45, pp. 1898-1894; Juris 20, 1929, vol. 46, pp. 8 6 -87 )_______________________ Janitor (same ads)------------------------------------------------------------------------------The foregoing employees to be appointed by the minority leader* Total__________________________ ______ ___________ $9,900.00 T o continue the employment of messengers in the majority and minority caucus rooms, to be appointed by the majority and minority whips, re spectively, at $1,740 each (same ad s)___________________________________ Post office: Postmaster (same a d s)_____________________________________ _____ ____ Assistant postmaster (same ad s)______________________________________ Registry and money-order clerk (same a d s)___________________________ Thirty-four messengers (including one to superintend transportation of mails), at $1,740 each (same a d s)___________________________________ For the employment of substitute messengers and extra services of regular employees at the rate o f not to exceed $145 per month each (same a d s)---------------------------------------------------------------------------------------Laborer (same a d s)___________________ ______ __ T ota l-------------------------------------------------------------------- $71, 640. 00 For the purchase, exchange, maintenance, and repair of motor vehicles for carrying the mails (same acts)___________________________________ Official reporters of debates: Six official reporters of the proceedings and debates of the House, at $7,500 each (same a d s)_________________ ___________________________ Assistant (same a d s)__________________________________________________ Clerk (same ad s)___________________________ __________________________ Six expert transcribers, at $1,740 each (same acts)_____________________ Janitor (same ad s)____________________________________________ ___ T o t a l..-------------------------------------------- -------- ------------ $63,240. 00 $44, 1, 2, 3, 3, 6, 640. 740. 760. 960. 360. 00 00 00 00 00 360. 00 4, 200. 00 19, 844. 1 , 920. 3, 960. 3, 180. 2, 320. 2 , 160. 14, 880. 00 00 00 00 00 00 00 1, 440. 00 1, 560. 00 500. 00 17, 280. 1, 00 980. 00 1, 380. 00 1, 380. 00 3, 060. 00 3, 960. 3,180. 2, 100. 1 , 560. 00 00 00 00 3, 180. 00 3, 060. 00 % 1 0 0 . 00 1 , 560. 00 3, 480. 00 5, 000. 0 0 2 , 880. 00 ^ 2, 100. 0 0 59, 160. 00 \} 240. 0 0 i 260 00 3, 400. 45( 00 000. 00 00 3 ’ 360. 00 10, 440. 00 1 4 4 0 . 00 3f 000. Total amount to be ap- Amount appropriated for propriated under each the fiscal year ending June 30, 1930 head of appropriation 9 LEGISLATIVE ESTABLISHMENT Estimates of appropriations required for the service of the fiscal year ending June SO, 1931— Continued amount to be ap Amount appropriated for General object (title of appropriation), date of acts, references to United States Code or Statutes at Large, and estimated Total propriated under each the fiscal year ending amount required for each detailed object head of appropriation June 30,1930 Salaries, Officers and Employees, House of Representatives— Continued. Committee stenographers: Four stenographers to committees, at $7,000 each (U. S. C., title 2, sec. 89; acts Feb. 28,1929,vol. 45, pp. 1898-1394; June 20,1929, vol. 46, pp. 36-37Janitor (same ads)____________________________________________________ Total____________________________________________ $29, 440. 00 Total salaries of officers and employees_________________________ Wherever the words during the session” occur in the foregoing para graphs they shall be construed to mean the 121 days from December 1, 1930, to March 31, 1931, inclusive. Clerk Hire, Members and Delegates, House of Representatives— For clerk hire necessarily employed by each Member, Delegate, and Resi dent Commissioner in the discharge of his official and representative duties ( U. S. C., title 2, sec. 92; acts Feb. 28, 1929, vol. 45, p. 1393; June 20, 1929, vol. 46, p. 38 )__________________________________________________ Contingent Expenses, House of Representatives— For miscellaneous items, exclusive of salaries and labor, unless specifically ordered by the House of Representatives, and including reimbursement to the official stenographers to fcommittees for the amounts actually and necessarily paid out by them for transcribing hearings (U. S. C., title 2, secs. 95, 96; act Feb. 28, 1929, vol. 45, p. 1394)__________________________ For stenographic reports of hearings of committees other than special and select committees {same acts)___________________________________________ For expenses of special and select committees authorized by the House (same acts)____________________________________________________________________ For telegraph and telephone service, exclusive of personal services (same acts)_ For materials for folding (same acts)_______________________________________ For furniture and materials for repairs o f the same, including not to exceed $20,000 for labor, tools, and machinery for furniture repair shops (same acts)____________________________________________________________________ For stationery for Representatives, Delegates, and Resident Commissioners, including $5,000 for stationery for the use of the committees and officers of the House (same acts)________________________________________________ For postage stamps: Postmaster (same acts)________________________________________________ Clerk (same acts)_____________________________________________________ Sergeant at Arms (same a d s)_________________________________________ Doorkeeper (same acts)_______________________________________________ Total_______________________________________________ $1,150. 00 For driving, maintenance, repair, and operation of an automobile for the Speaker (same acts)_____________________________________________________ For packing boxes (same acts)_____________________________________________ For folding speeches and pamphlets, at a rate not exceeding $1 per thousand (same acts)________________________________________ _____ ________________ Total____ __________________________________________ ______ _____ Clerical Assistance— For assistance rendered during the calendar years 1929 and 1930, in com piling lists of reports to be made to Congress by public officials; compiling copy and revising proofs for the House portion of the Official Register; preparing and indexing the statistical reports of the Clerk of the House; compiling the telephone and Members* directories; preparing and index ing the daily Calendars of Business; preparing the official statement of Members1 voting records; preparing fist of congressional nominees and statistical summary o f elections; preparing and indexing questions of order printed in the appendix to the Journal pursuant to House Rule III; and for recording and filing statements of political committees and can didates for election to the House o f Representatives pursuant to the Fed eral corrupt practices act, 1925 (U. S. C.t title 2, secs. 241-256; ad Feb. 28. 1929, vol. 45, p. 1394)__________________________ ______ ___________________ To pay William Tyler Page, Clerk of the House of Representatives, for services in compiling, arranging for the printer, reading proof, indexing testimony, stenography and typewriting, supervision of the work, and expenses incurred in the contested-election cases of the Seventy-first Congress, as authorized by the act entitled “ An act relating to contested elections,” approved March 2, 1887, $2,483.68, and an additional sum to such persons as were actually engaged in the work, designated by him, and in such proportions as he may deem just for the assistance rendered in the work, $1,516.32; in all (submitted)________________________ Total, House of Representatives62331—29------ 2 $28, 000. 00 1, 440. 00 $1, 013, 744. 00 , 211. 00 2, 200, 000. 00 1, 760, 000. 00 350, 650. 00 352, 650. 00 5, 000. 00 5, ooa 00 75, 000. 00 25, 000. 00 40, 000. 00 90, 000. 00 3, 000. 00 40, 000. 00 60, 000. 00 250. 450. 300. 150. 00 00 00 00 4, 000. 00 4, 500. 00 8, 000. 00 4, 000. 00 I 8,153, 394. 00 7, 580,361. 00 10 THE BUDGET, 1931 Estimates oj appropriations required jor the service ojthejiscal year ending June SO, 19S1— Continued General object (title of appropriation), date of acts, references to United States Code or Statutes at Large, andjestimated amount required for each detailed object Total amount to be ap Amount appropriated for the fiscal year ending propriated under each head of appropriation June 30, 1930 LEG ISLATIVE MISCELLANEOUS Salariesj Capitol Police— Captain, $2,460; three lieutenants, at $1,740 each; two special officers, at $1,740 each; three sergeants, at $1,680 each; forty-four privates, at $1,620 each, one-half of said privates to be selected by the Sergeant at Arms of the Senate and one-half by the Sergeant at Arms of the House; in all (U. S. C., title 40, secs. 206-215; acts Feb. 28, 1929, vol. 45, p. 1394; June 20, 1929, vol. 46, p. 8 4 )________ ___________________________________________________ Contingent Fund, Capitol Police— For contingent expenses (act Feb. 28, 1929, vol. 45, p. 1394)________ _______________ ______ Uniforms for Capitol Police— For purchasing and supplying uniforms and motor cycles to Capitol police ( U. S. C., title 40, secs. 210-212; act Feb. 28, 1929, vol. 45, p. 1394)______________________ One-half of the foregoing amounts under “ Capitol police” shall be dis bursed by the Secretary of the Senate and one-half by the Clerk of the House. Salaries and Expenses, Joint Committee on Printing— For clerk, $4,000, and $800 additional so long as the position is held by the present incumbent; inspector, under section 20 of the act approved Janu ary 12, 1895 ( V . S. C., title 44, sec. 4&)i $2, 820; assistant clerk and stenog rapher, $2,400; for expenses of compiling, preparing, and indexing the Congressional Directory, $1,600; in all, $11,620, one half to be disbursed by the Secretary of the Senate and the other half to be disbursed by the Clerk of the House (U. S. C., title 44, sec. 1; acts Feb. 28, 1929, vol. 45, pp. 1394-1395; June 20, 1929, vol. 46, p. 34)__________ _____ ____________________________ Office of Legislative Counsel— For salaries and expenses of maintenance of the office of Legislative Counsel, as authorized by section 1303 of the revenue act of 1918 as amended by section 1101 of the revenue act of 1924, $75,000, of which $37,500 shall be disbursed by the Secretary of the Senate and $37,500 by the Clerk of the House of Representatives ( U. S. C., title 2, secs. 271-277; act Feb. 28, 1929, vol. 45, p. 1395)______________________________________________________ Statement of Appropriations— For preparation, under the direction of the Committee on Appropriations of the Senate and House of Representatives of the statements for the first and second sessions of the Seventy-first Congress, showing appropria tions made, indefinite appropriations, and contracts authorized, together with a chronological history of the regular appropriation bills, as required by law, $4,000, to be paid to the persons designated by the chairmen of said committees to do the work ( XJ. S. C., title 2, sec. 105; act Feb. 28, 1929, vol. 45, p. 1395)------- ----------------- --------------------------------------------------------------------------------------Total, Legislative Miscellaneous_______________________________________________ $87, 480. 00 $73, 820. 00 200. 00 200. 00 3, 750. 00 3, 750. 00 11, 620. 00 10, 190. 00 75, 000. 00 75, 000. 00 4, 000. 00 4, 000. 00 182, 050. 00 166, 960. 00 OFFICE OF TH E A R C H IT E C T OF TH E CAPITO L Salaries, Office of Architect of the Capitol— [Salaries: Architect of the Capitol, $7,500; chief clerk, $3,150; civil engineer, $2,770; clerk, $2,040; two clerks, at $1,840 each; compensation to dis bursing clerk, $1,000; laborers— one at $1,104, two at $1,010 each, two at $950 each; forewoman of charwomen, $760; twenty-two charwomen, at $412.80 each; in a ll] ( U. S. C., title 40, sec. 163; act Feb. 28, 1929, vol. 45. v. 1395)_____________________________ _____ ______ ______________________________________ Salaries: For the Architect and other personal services in his office, under the classification act o f 1923 as amended by the act of M ay 28, 1928 (U. S. C., Supp. I l l , title 5, sec. 673), and the “ Legislative pay act of 1929” (act June 20, 1929, vol. 46, p. 38) (act Feb. 28, 1929, vol. 45, p. 1395)__________________________ Salaries: Clerical, administrative, and fiscal service— Grade 15, $8,000 to $9,000; average, $8,500Architect......... ....... ................................ Grade 11, $3,800 to $4,400; average, $4,100Chief clerk................................... ........... Grade 10, $3,500 to $4,000; average, $3,750— Disbursing cierk (compensation to)____ Grade 9, $3,200 to $3,700; average, $3,450Accountant and auditor.............. ............ Grade 8, $2,900 to $3,400; average, $3,150Assistant superintendent of construction. Grade 5f $2,000 to $2,500; average, $2,250Senior clerk.................................. ........... Senior clerk.............................................. Grade 4, $1,800 to $2,100; average, $1,920Clerk...................................................... . Estimated expenditures, 1931 appro priation Estimated expenditures, 1930 appro priation Expended and obligated, 1929 Average— No, Salary Average— No. Salary Average— No. Salary 1 $9,000 1 $9,000 1 $7,500 1 3,800 f 1 3,600 1 3,150 1 1,000 ' 1 1,000 1 1,000 1 3,600 j 1 3,000 1 1 2,500 1 2,000 j 1 2,040 2 1,920 1 2 1,840 L6 1,840 35, 005. 60 45, 300. 00 11 LEGISLATIVE ESTABLISHMENT Estimates of appropriations required for the service of the fiscal year ending June SO, 1981— Continued General object (title of appropriation), date of acts, references to United States Code or Statutes at Large, and estimated amount required for each detailed object Total amount to be ap Amount appropriated for propriated under each the fiscal year ending June 30,1930 head of appropriation Salaries, Office of Architect of the Capitol— Continued. Estimated expenditures, 1931 appro priation Salaries—Continued. Average— Clerical, administrative, and fiscal service—Contd. N o. Salary Grade 3, $1,620 to $1,920; average, $1,770— $1,620 Clerk.................................................... ............. Grade 2, $1,440 to $1,740; average, $1,5901,620 Clerk............ ...................................................... Professional service— Grade 6, $5,600 to $6,400; average, $6,000— 5,600 Executive assistant............................................. Grade 3, $3,200 to $3,700; average, $3,450— Civil engineer................................................. . 3.200 3.200 Su[)erintendent of construction.......................... Custodial service— Grade 3, $1,200 to $1,500; average, $1,350— j 1,320 Messenger..................... .......................................! Grade 2, $1,080 to $1,380; average, $1,230— j Laborer.................................................... ............I Laborer................................ ...............................j Laborer................................................................. | Forewoman of charwomen....................................I Charwoman........... ............................................... 1 01 Total average number of employees_____________ Total salaries_______ __________________________ j 15 Estimated expenditures, 1930 appro priation Expended and obligated, 1929 Average— N o. Salary Average— No. Salary $3,000 $2,770 1,200 900 450 1,104 1,010 950 760 413 39,120 31,876 45,300 Elevator Conductors— [F o r forty-eight elevator conductors, including fourteen for the Senate Office Building and fourteen for the House Office Building, at $1,520 eachj (U. C-, title 40, sec. 168; act Feb. 28,1929, vol. 45, p. 1895) $72, 960. 00 N ote .—T hese employees, with their salaries, were transferred to appropriations for buildings where actually employed. Capitol Building and Repairs— Capitol Buildings: For necessary expenditures for the Capitol Building under the jurisdiction of the Architect of the Capitol, including minor improvements, maintenance, repairs, equipment, supplies, material, fuel, oil, waste, and appurtenances; personal and other services; cleaning and repairing works of art; purchase or exchange, maintenance, and driving of motor-propelled passenger-carrying office vehicles; pay of superintendent of meters, and $300 additional for the maintenance of an automobile for his use, who shall inspect all gas and electric meters of the Government in the Dis trict of Columbia without additional compensation; and not exceeding $300 for the purchase of technical and necessary reference books, periodicals, and city directory ( XJ. S. C., title 40, secs. 166-168; act Feb. 28,1929, vol. 45, p. 1895) Estimated expenditures, 1931 appro priation Salaries; Average Professional Service— No. Salary Grade 4, $3,800 to $4,400; average, $4,100“ Supervising engineer__ ___ . . ____ _____ _______ 1 $4,000 Grade 3, $3,200 to $3,700; average, $3,450“ Heating and ventilating engineer........ ................. 1 3,400 Engineer..................... .............. ............................ 1 3,300 Superintendent of construction________________ Subprofessional service— Grade 8, $2,600 to $3,100; average, $2,850Decorator_______ ________ __________________ 1 2,900 Grade 5, $1,800 to $2,100; average, $1,950— Superintendent of meters................. .................... 1 2,040 Clerical, administrative, and fiscal service— Grade 9, $3,200 to $3,700; average $3,450Accountant and auditor...................................... Grade 3, $1,620 to $1,920; average, $1,770Storekeeper_______ ____ ______________ 1 2,200 Custodial service— Grade 9, $2,300 to $2,800; average, $2,550— Engineer in charge..................... ........................... 1 2,800 Mechanician................................................... ...... 1 2,500 Decorator and foreman painter............................. 1 2,600 Grade 8, $2,000 to $2,500; average, $2,250— Carpenter (foreman)............................................ 1 2,400 Head metal worker................... ............................ 1 2,400 Assistant engineer in charge.................................. 1 2,500 Engineer (Supreme Court)................................... 1 2,400 Wireman and cable splicer................................... 1 2,400 Substation machinist________________________ 1 2,400 Plumber___________________________________ 1 2,300 Assistant engineer in charge.................................. 1 2,200 Estimated expenditures, 1930, appro priation Expended and obligated, 1929 Average No. Salary Average No. Salary 1 $3,000 0.1 1 3,600 0.3 1,200 1 2,200 1 2,200 $260 1 2,520 1 2,520 1 1 2,400 2,400 1 1 2,400 2,400 $271, 554 20 79, 432. 60 12 THE BUDGET, 1931 Estimates of appropriations required for the service of the fiscal year ending June SO, 19S1— Continued General object (title of appropriation), date of acts, references to United States Code or Statutes at Large, and estimated amount required for each detailed object Total amount to be ap propriated under each head of appropriation the fiscal year ending June 30, 1930 Capitol Building and Repairs— Continued. Salaries—Continued. Custodial service—Continued. Grade 7, $1,860 to $2,200; average, $2,016.67Carpenter................................................. Assistant engineer.......... .......................... Engineer................................................... Grade 6, $1,680 to $1,980; average, $1,830— Painter...................................................... Metal worker and tinner.......................... Assistant engineer..................................... Operator, substation....... . ....................... Operator, Capitol substation.................... Wireman.................................................. Machinist................................. ........ — Grade 5, $1,600 to $1,800; average, $1,650Operator................................................... Grade 4, $1,320 to $1,620; average, $1,470Mechanical and structural helper............ Metal worker’s helper............................... Wireman’s helper..................................... Special laborer.......................... ............... Plumber's helper.............— .................... Grade 3, $1,200 to $1,600; average, $1,260— Messenger................................................. Laborer (carpenter shop).......................... Laborer (Capitol substation).................. Laborer..................................................... Chauffeur..... ............................................ Window cleaner........................................ Grade 2, $1,080 to $1,380; average, $1,230Elevator operator, House wing................. Elevator operator, Senate wing................ Elevator operator, Capitol....................... Laborer*.................................................... Laborer.................................................... Laborer..................................................... Forewoman of charwomen....................... Charwoman................................ ............. Total average number of employees....... ...... Total salaries, departmental service.......... . Special, temporary, and miscellaneous service, 01 Total personal services. Supplies and materials: 0200 Books, etc............................. 0230 Fuel, oil, waste..................... 0280 Sundry supplies................... Estimated expenditures, 1931 appro priation Estimated expenditures, 1930 appro priation Expended and obligated, 1929 Averag* No. Salary Average— No. Salary Average— No. Salary $2, 200 2,200 2,040 1 1,680 1,920 1,860 1,860 1,680 1,800 1,740 $2,200 1 $2,200 1,567 1,680 1,567 1.667 1 1,270 0.2 1,567 317 1.440 1,200 1,200 1,200 1,200 1,200 1,200 1,200 1,560 1.620 1.320 1,660 1,440 1.320 1 2 2 1 2 1,260 1.320 1,200 1.520 1,200 10 11 2 2 1 4 1 25 1.520 1.520 1,200 1,200 1.140 1,080 780 421 112 163,490 10,698 19 34.976 1,187 15.6 26,964 7,851 34,805 174,088 36,163 300 1,872 63,744 300 331 “lMOO" 13,193 02 Total supplies and materials................. ...... 65,916 I 18,700 13,524 12 Repairs and alterations................................ 13 Special and miscellaneous current expenses30 Passenger-carrying vehicles.......................... Obligated.............................................. ....... 30,750 24,250 32,420 589 2,014 2,684 Total... 800 271,564 800" 79,913 Senate and House Ventilation— [Ventilation of the Senate Chamber: The unexpended balance of the ap propriation “ Senate and House ventilation, 1928 and 1929,” is continued and made available during the fiscal year 1930, and in addition thereto the sum of $3,725, to be available for the same purposes and under the same conditions of expenditure] (act M ay 14, 1928, vol. 46, V•686)______ $3, 72a 00 Appropriations under the control of the Architect of the Capitol shall be available for expenses of travel on official business [n o t to exceed in the aggregate under all funds the sum of $1,0001 (act Feb. 88, 1989, vol 46, p. 1896). Appropriations under the control of the Architect of the Capitol shall be available hereafter for expenses o f advertising, personal, and other serv ices ( U. S. C., Supp. I l l , title 81, sec. 689; act Feb. 88, 1989, vol. 45, p. 1896). Improving the Capitol Grounds— Capitol Grounds: For care and improvement of grounds surrounding the Capitol, Senate and House Office Buildings; personal and other services; care of trees; plantings; fertilizers; repairs to pavements, walks, and road ways; purchase of waterproof wearing apparel; and for snow removal by hire o f men and equipment or under contract without compliance with sections 3709 (U. S. C., fp . 1309], title 41, sec. 5) and 3744 (U. S. C., [p . 1310], title 41, sec- 16) of the Revised Statutes (U. S . C., title 40, sec. 178; act F e b . 88, 1989, v o l 46, p. 1896) ________________ __________________ _____________ [ F o r tree surgery] (same acts)____________ _____ _____________________ _____ [F o r a pedestal for the Marshall statue] (same a c t s ),- _____ ________________ $96, ,081. 38 70,92a 00 5 , o o a oo i,5 o a o o ( 13 LEGISLATIVE ESTABLISHMENT Estimates oj appropriations required jo r the service oj the fiscal year ending June SO, 19S1— Continued amount to be ap Amount appropriated for General object (title of appropriation), date of acts, references to United States Code or Statutes at Large, and estimated Total propriated under each the fiscal year ending amount required for each detailed object June 30,1030 head of appropriation Improving the Capitol Grounds— Continued. Salaries and wages: Professional service— Grade 4, $3,800 to $4,400; average, $4,100— Landscape gardener................................ Subprofessional service— Grade 7, $2,300 to $2,800; average, $2,550— Principal gardener.................................. . Grade 5, $1,800 to $2,100; average, $1,950— Gardener (foreman).......................... .... Grade 4, $1,620 to $1,920; average, $1,770 Tree surgeon................................... ........ Grade 2, $1,260 to $1,560; average, $1,410— Gardener............................................... . Laborer.................................................... Laborer.................................................... Clerical, administrative, and fiscal service— Grade 5, $2,000 to $2,500; average, $2,250Clerk...................................... ................ Custodial service— Grade 4, $1,320 to $1,620; average, $1,470— M echanician-chauffeur............................ Grade 3, $1,200 to $1,500; average, $1,350Mechanician............................................ Mechanician............................................ Night watchman...................................... Night watchman—................................... Laborer.................................................... Grade 2, $1,080 to $1,380; average, $1,230Laborer.................................................... Laborer................................................... Laborer..................................................... Total average number of employees.............. Total salaries, departmental service............... Special, temporary' and miscellaneous services.. Estimated expenditures, 1931 appro priation Estimated expenditures, 1930 appro priation Expended and obligated, 1929 Average— No. Salary Average— No. Salary Average— No. Salary 1 $3,800 $3,600 1 $3,600 2,100 2,300 2,100 1,800 1, 524 1,500 1,620 1,412 1,412 1.320 1.320 1,260 J~260" 1,208 2,700 2.500 1,560 1.500 1.500 1,600 1,320 1,260 1,200 1,200 1.500 1,260 1.500 1,260 1,200 1.133 1.133 1,270 1,118 1,070 965 1,200 " 1,080 45,760 01 Total personal services. 47,798 02 Sundry supplies........... 6,368 Repairs and alterations................... a. Tree surgery............................ b. Pedestal, Marshall statue, etc. c. Renewal west Capitol steps.. d. Toward sprinkler system____ 1 5,000 25,000 34 47,705 2,038 43,014 3,504 49,744 46,518 5,609 10,000 5,000 1,500 133,000 12 Total repairs and alterations................................... 30,000 149,500 13,770 13 Special and miscellaneous current expenses (snow removal)............................................................... 30 Equipment............................................................... Obligated................................................................. 4,415 7,500 2,208 4,000 2,327 3,129 647 96,081 211,820 72,000 Total. Enlarging the Capitol Grounds— For enlarging the Capitol Grounds in accordance with the provisions of the authorization (act Mar. 4, 1929, vol. 45, V- 1695)_____ ______ _____________ Senate and House Garages and Maltby Building— For repairs and improvements to Senate and House garages and Maltby Building, including personal services ( U. S. C., title 40, sec. 174; act Feb. 28, 1929, vol. 45, p. 1896)________________________________________________ Estimated expenditures, 1931 appro priation 01 02 12 13 30 Miscellaneous and temporary labor............ Sundry supplies...... .................................... . Repairs................................................... ..... Special and miscellaneous current expenses.. Equipment____________ ______________ _ Obligated........ ............................................. Total. $700 200 500 50 50 1,500 $3, 614, 668. 00 1, 500. 00 $1, 500. 00 Estimated expenditures, Expended and 1930 appro- f obligated, 1929 priafcion $700 200 500 50 50 1,500 i $421 132 456 1,500 Subway Transportation, Capitol and Senate Office Buildings— Subway transportation, Capitol and Senate Office Buildings: For repairs, rebuilding, and maintenance of the subway cars connecting the Senate Office Building with the Senate wing of the United States Capitol and for personal and other services, including maintenance of the track and electrical equipment connected therewith (act Feb. 28, 1929, vol. 45, p* 1S96) _ _ _______ _________________________________________________ _________ 2, 000. 00 2 ,0 0 0 .0 0 14 THE BUDGET, 1931 Estimates of appropriations required for the service of the fiscal year ending June 80, 1981— Continued amount to be ap Amount appropriated for General object (title of appropriation), date of acts, references to United States Code or Statutes at Large, and estimated Total propriated under each the fiscal year ending amount required for each detailed object head of appropriation June 30, 1930 Maintenance, Senate Office Building— Senate Office Building: For maintenance, miscellaneous items and supplies, including furniture, furnishings, and equipment and for labor and material incident thereto and repairs thereof; and for personal and other services for the care and operation of the Senate Office Building, under the direction and supervision of the Senate Committee on Rules (act Feb. 28, 1929, vol. 45, p. 1397)__________________________________________________________ Senate Office Building— [ T o enable the Architect of the Capitol to procure preliminary fjlans and estimates of cost for the completion of the Senate Office Building, including the erection of the wing on the First Street side of said building, the com pletion of the C Street side of the said building so as to conform with the development of the park area to the north, the completion of all approaches heretofore incompleted, and for landscape treatment of the cou rt] (act Feb. 28, 1929, vol. 45, p. 1396)___________________________________________ Senate Office Building—Toward the completion of the Senate Office Building (submitted)_______________ Maintenance, House Office Building— House Office Building: For maintenance, including miscellaneous items, and for all necessary services (U. S. C t i t l e 40, sec. 175; act Feb. 28, 1929, vol. 45f p. 1896)___________ ______ ______ _____ ___________________________ House Office Building—To continue carrying out the provisions of the act entitled “ An act to provide for the acquisition of a site and the construction thereon of a fire-proof office build ing or buildings for the House of Representatives** approved January 10, 1929 (45 Stat. p. 1071), including printing and binding and other miscellan eous expenses, $1,500,000, to remain available until expended (act Jan. 10, 1929, vol. 45, P• 1071) (submitted).......................... .................... .......... ............ .. Capitol Power Plant— Capitol power plant: For lighting, heating, and power for the Capitol. Senate and House Office Buildings, Congressional Library Building, and the grounds about the same, [C oast and Geodetic Survey, 3 the Union Station group of temporary housing, Botanic Garden, Senate Garage, House Garage, Malt by Building, folding and storage rooms of the Senate, Government Printing Office, and Washington City Post Office; [p a y of superintendent of meters, at the rate o f $1,940 per annum and $300 addi tional for the maintenance of an automobile for his use, who shall inspect all gas and electric meters of the Government in the District of Columbia without additional com pensation;! personal and other services; engineer ing instruments; fuel, oil, materials, labor, advertising, and purchase of waterproof wearing apparel, in connection with the maintenance and operation of the heating, lighting, and power plant and substations con nected therewith (U. S. C., title 40» sec. 185; act Feb. 28, 1929, vol. 45, p. 1396)----------------------------- ---------- ----------------------------------------------------------------[C apitol power plant: Stoker equipment, $162,000; new turbine, $190,000; new electrical distributing equipment, $110,000; annex, $65,000; renewal, steam piping Supreme Court section, Capitol, $13,000; lowering flood lights, Capitol, $5,000; in all, $545,000, to be immediately available] (act Feb. 28, 1929, vol. 45, p. 1396)----------------------- -------------------------------------------For the construction of underground duct lines, steam tunnels, installation of con densate piping and pumping systems and duplicate steam lines from the Capi tol power plant to the new buildings, and for all labor, materials, personal and other services, including engineering and professional services, and for all other expenses incident thereto (submitted)_________________________________________ The appropriations under the control of the Architect of the Capitol may be expended without reference to section 4 of the act approved June 17, 1910 (U. S. C., [p . 1309,] title 41> sec. 7), concerning purchases for executive departments. The Department of the Interior, [th e Public Health Service, the Coast and Geodetic S u rvey,] the Union Station group of temporary housing, the Government Printing Office, and the Washington City post office shall reimburse the Capitol power plant for heat, fight, and power furnished during the fiscal year [1 9 3 0 ] 1931, and the amount so reimbursed shall be covered into the Treasury. $199, 150. 40 $95, 628. 00 10, 000. 00 2, 730, 350. 00 154, 330. 00 105, 403. 20 1, 500, 000. 00 345, 310. 00 489, 366. 00 545 000.00 365, 425. 00 N ote.—Detailed statements of proposed expenditures for the Senate Office Building to be sub mitted to the Senate Committee on Rules having charge of that building, and detailed statements of proposed expenditures for the House Office Building and Capitol power plant to be submitted to the House Office Building Commission having charge of the appropriation. Library Building and Grounds— [Salaries: Chief engineer, $2,520; chief electrician, $2,520; decorator, $2,000; painter, $1,728; assistant engineer— one at $1,860, two at $1,764 each; sheet-metal worker, $1,728; two machinists at $1,764 each; three assistant electricians, at $1,800 each; carpenters— one $1,800, one $1,728; plumber, $1,740; skilled laborers— two at $1,320 each, five at $1,260 each: general mechanic, $1,800; tw o laborers at $1,020 each; in a ll] ( U. S. C., title 2, sec. 141; act Feb. 28, 1929, vol. 45, p. 1 3 96 )........................................................... 42,860* 00 LEGISLATIVE ESTABLISHMENT 15 Estimates oj appropriations required jor the service oj the jiscal year ending June SO, 1931—Continued General object (title of appropriation), date of acts, references to United States Code or Statutes at Large, and estimated ! TotaI amount to be ap- Amount appropriated for the fiscal year ending amount required for each detailed object , propriated under each 1 head of appropriation June 30, 1930 Library Building and Grounds— Continued. Salaries: For chief engineer and all personal services, under the classification act of 1923, as amended by the act of M ay 28, 1928 ( U. S. C., Supp. I l l , title 5, sec. 673), and the “ Legislative Pay Act of 1929” (act June 2C vol. p. 38) (act Feb. 28, 1929, vol. 45, p. 1396)_________________ Salaries: Custodial service— Grade 9, $2,300 to $2,800; average, $2,550Chief engineer...... ....... ........................... Chief electrician...................................... Decorator............................................... Grade 8, $2,000 to $2,500; average, $2,250First assistant chief engineer___________ First assistant chief electrician................ Grade 7, $1,860 to $2,200; average, $2,030— Assistant chief electrician.............. .......... Carpenter................................................ Genera] mechanic................................... . Grade 6, $1,680 to $1,980; average, $1,830Assistant engineer................. ............... Machinist........................................... ..... Plumber..*............................................ Painter............................................ ......... Sheet-metal worker.................................. Carpenter................................................. Grade 5, $1,500 to $1,800; average, $1,650— Mechanic’s helper........... ........................ Grade 4, $1,320 to $1,620; average, $1,470Mechanic's helper____________________ Skilled laborer____ ______________ ____ Grade 3, $1,200 to $1,500; average, $1,350Laborer............. ...................................... 01 Total salaries.. Estimated expenditures, 1931 appro priation Estimated > expenditures, Expended and 1930 approobligated, 1929 priation ! Average— No. Salary Average— No. Salary 1 1 1 $2,600 2,600 2,300 1 1 1 $2,700 2,700 2,200 1 1 2,000 2,000 1 1 2 1 1 1,860 1,860 1,860 2 2 1 1 1 1 1,800 1,800 1,800 1,740 1,740 1,740 Average— No. Salary 1 1 1 $2,520 2,520 2,000 2,000 2,000 1 1 1,860 1,800 2 1 1 1,920 1,920 1,920 2 1 1 1,800 1,800 1,800 2 2 1 1 1 1 1,800 1,860 1,860 1,860 1,860 1,860 2 2 1 1 1 1 1,764 1,764 1,740 1,728 1,728 1,728 2 1,500 1 1,500 2 1,320 5 1 1,320 1,320 6 1,440 5 1,260 1 26 1,200 2 '26 1,200 2 26 1,020 45,280 46,580 $45, 280. 00 42,860 For trees, shrubs, plants, fertilizers, and skilled labor for the grounds of Library of Congress ( U. S . C., title 2, sec. 143; act Feb. 28, 1929, vol. 45f p. 1 3 9 7 ......................................................... .......... .................. - ______ _________ For necessary expenditures for the Library Building under the jurisdiction of the Architect of the Capitol, including minor improvements, mainte nance, repair, equipment, supplies, material, and appurtenances, and personal and other services in connection with the mechanical and struc tural maintenance of such building (same acts)_____ ______________________ For furniture, including partitions, screens, shelving, and electrical work pertaining thereto and repairs thereof (U. S. C t i t l e 2, sec. 141; act Feb. 28, 1929, vol. 45, P• 1397)_______________________________________ _________ To enable the Architect of the Capitol to provide for the care, maintenance, and repairs for rental or use by the Library of Congress of all buildings or other structures as may be acquired on the site for additional buildings for the Library of Congress (45 Stat., p . 1397) in square 761 and part of 760, and to raze such buildings in said area as may be requested by the Joint Committee on the Library, and to provide for all necessary personal and other services, material of all kinds necessary to carry out the provisions of sections 3 and 4 o f an act entitled u A n act to provide for the acquisition of certain property in the District of Columbia for the Library of Congress and for other purposes,” approved May 21, 1928 (45 Stat., p. 622) (act May 21,1928, vol. 45, p. 622) (submitted)_____________________________________________________ - - ________ To enable the Architect of the Capitol to procure preliminary plans, models, and estimates of cost for a building or buildings, including connections to the Library of Congress, and personal and other services, to be located upon the site authorized in the act entitled “ A n act to provide for the acquisition of certain property in the District of Columbia for the Library of Congress, and for other purposes,” approved May 21, 1928 (45 StaL, p. 622), without refer ence to section 35 of the act approved June 25, 1910; to be immediately available and remain available during the fiscal year 1931 (same act) (submitted). [F o r the acquisition of a site for additional buildings for the Library of Congress, as authorized in the act approved M ay 21, 1928 (45 Stat., p. 622)3___________________ _______________ _____________________ ______ _____ New Buildings, Botanic Garden— [T ow ard carrying out the provisions of the act entitled “ An act to authorize the construction of new conservatories and other necessary buildings for the United States Botanic Garden,” approved March 1, 1927 (44 Stat., pt. 2, p. 1262), 1300,000, and in addition thereto the Architect of the Capitol, with the approval of the Joint Committee on the Library, is authorized to enter into a contract or contracts for such purposes for not to exceed $576,398] (act Feb. 28, 1929, voL 45, p 1397)___________________ For completion of the provisions of the act entitled “ A n act to authorize the construction of new conservatories and other necessary buildings for the United States Botanic Garden” approved March 1, 1927 (44 Stat., p t 2, p. 1262) (submitted)________________________________________________________________ 1, 500. 00 $1, 500. 00 58, 000. 00 21, 000. 00 42, 500. 00 24, 000. 00 20, 000. 00 10, 000. 00 600,000. 00 300,000. 00 576, 39a 00 16 THE BUDGET, 1931 Estimates of appropriations required Jor the service of the fiscal year ending June SO, 19S1— Continued Genera] object (title of appropriation), date of acts, references to United States Code or Statutes at Large, and estimated amount required for each detailed object Bartholdi Fountain— Enlargement and relocation: For carrying out the provisions of paragraph 8 of section 1 of the act entitled “ An act to provide for enlarging and relocating the United States Botanic Garden, and for other purposes ” approved January 5, 1927 (44 Stat., p. 981), including personal and other services and miscel laneous expenses) (submitted) _____________________________________________ Supreme Court Building— Toward the construction of the building for the Supreme Court (submitted)_____ Total amount to be ap Ami mount appropriated for propriated under each the fiscal year ending head of appropriation June 30, 1930 $5, 000. 00 1, 000, 000. 00 N o t e —In accordance with the recommendation of the United States Supreme Court Build ing Commission as contained in their report to the Congress (H. Doc. No. 36,71st Cong., 1st sess). Total under Architect of the Capitol______________________________ 11, 084, 346. 98 $2, 506, 800. 40 B O TAN IC G A R D E N Salariesy Botanic Garden— Salaries: For the director and other personal services, [$101,2601 $101,990; all under the direction of the Joint Committee on the Library: Provided, That the quarters, heat, light, fuel, and telephone service heretofore fur nished for the director's use in the Botanic Garden shall not be regarded as a part of his salary or compensation, and such allowances may con tinue to be so furnished without deduction from his salary or compensa tion, notwithstanding the provisions of section 3 of the act of March 5, 1928 [(4 5 Stat., p. 193)] ([U. S. C., tide 5t sec. 678), or any other law ( U. S. C., title 40, sec. 216; act Feb. 28, 1929, vol. 45, p. 1897)___________ 101, 990. 00 * 101, 260. 00 Salaries: Professional service— Grade 5, $4,600 to $5,200; average, $4,900— Scientist (director)................................ Subprofessional service— Grade 8, $2,600 to $3,100; average, $2,850— Assistant director of gardens................... Grade 5, $1,800 to $2,100; average, $1,950Foreman gardener..................... ............ . Grade 4, $1,620 to $1,920; average, $1,770Head gardener.......................... .............. Grade 3, $1,440 to $1,740; average, $1,590Gardener......................................... ......... Grade 2, $1,260 to $1,560; average, $1,410Assistant gardener............................ ....... Clerical, administrative, and fiscal service— Grade 5, $2,000 to $2,500; average, $2,250Senior clerk (chief clerk)...................... Grade 3, $1,620 to $1,920; average, $1,770Assistant clerk.......................................... Grade 2, $1,440 to $1,740; average, $1,590Junior clerk............................................... Grade 1, $1,260 to $1,560; average, $1,410— Underclerk......................... ..................... Custodial service— Grade 7, $1,860 to $2,200; average, $2,030Senior mechanic....................................... Grade 6, $1,680 to $1,980; average, $1,830Mechanic........................................ ......... Grade 5, $1,500 to $1,800; average, $1,650Junior mechanic (painter)........ ............... Grade 4, $1,320 to $1,620; average, $1,470Assistant foreman of laborers................... Grade 3, $1,200 to $1,500; average, $1,350Minor mechanic........................................ Guard (watchman)................................... Senior laborer.......................... ................. Grade 2, $1,080 to $1,380; average, $1,230Junior laborer (charwoman)..................... Junior laborer.......................................... Grade 1, $600 to $840; average, $720— Junior messenger....................................... Total average number of employees. Total salaries........ - ............... .......... Unobligated balance................. ........ Total........... ........................................................ The difference between 1931 and 1930 is due to in crease in salaries, $740. Estimated expenditures, 1931 appro priation Estimated expenditures, 1930 appro priation Average— No. Salary Average— No. Salary 1 $5,200 1 $5,200 Expended and obligated, 1929 Average— No. Salary 1 $5,200 1 3.100 1 3,000 1 1 2.100 1 2,040 1 2,900 1.980 5 1,764 5 1,752 4.5 1,740 4 1,590 4 1,590 4 1,590 8 1.410 8 1,403 6 1,410 1 2,200 1 2,100 1 2,107 1 1,740 1 1,680 1 1,620 1 1,620 1 1,620 1 1,560 4 1.410 4 1,395 3.3 1,380 2 1,980 2 1,980 1.980 3 1,820 3 1,820 1,760 1 1.560 1 1.500 1 1.560 1 1.500 4 5 19 1,335 1,356 1,348 4 5 19 1,335 1,356 1,348 1 1.4 740 1,170 1 1.4 600 66.4 101,990 101,990 .5 4 6 17.3 740 1,110 101,260 101,260 1,335 1,330 1,343 740 1,080 600 66.4 750 1,440 600 62.6 94,732 94,820 17 LEGISLATIVE ESTABLISHMENT Estimates of appropriations required for the service of the fiscal year ending June SO, 1931— Continued amount to be ap- Amount appropriated for General object (title of appropriation), date of acts, references to United States Code or Statutes at Large, and estimated Total propiiated under each the fiscal year ending amount required for each detailed object head of appropriation June 30,1930 Improving Botanic Garden— Repairs and improvements: For procuring manure, soil, tools, purchasing trees, shrubs, plants, and seeds; materials and miscellaneous supplies, including rubber boots and aprons when required for use by employees in connection with their work; purchase of florists* supplies and flowers; traveling expenses and per diem in lieu of subsistence of the director and his assistants not to exceed [$ 4 7 5 ] $975; street-car fares not exceeding $25; office equipment and contingent expenses in connection with repairs and improvements to Botanic Garden; [maintenance, repair, and opera tion of passenger motor vehicle, and exchange, care, and maintenance of motor trucks] exchange, repair, maintenance, and operation of motor trucks and passenger motor vehicle; purchase of botanical books, periodicals, and books of reference, not to exceed $100; general repairs to buildings, greenhouses, heating apparatus, packing sheds, storerooms, and stables* painting, glazing; repairs to footwalks and roadways; repairing and putting comfort stations in sanitary condition; repairs and improvements to director's residence* care, maintenance, and purchase of fuel for greenhouses located at Poplar Point nursery; installing telephone and electric light, with care and maintenance of same, and making water connections at Poplar Point nursery; all under the direction of the Joint Committee on the Library (act Feb. 28, 1929, vol. 45, p . 1897) ___________________________ The sum of $300 may be expended at any one time by the Botanic Garden for the purchase of plants, trees, shrubs, and other nursery stock, without reference to section 3709 of the Revised Statutes (U. S. C., [p . 1309,] title 41, sec. 5) (27. S. C., title 40, sec. 217; act Febt 28, 1929, vol. 45, p. 1897). Estimated expenditures, 1931 appro priation Estimated expenditures, 1930 appro priation $100 11,500 $100 10,000 $63 7,375 11,600 10,100 7,438 500 250 225 25 275 100 100 25 49 42 15 18 Supplies and materials: 0222 Periodicals and books*. ....................... 0284 Miscellaneous materials and supplies.. 02 Total supplies and materials. 0601 0630 0650 0610 Travel expenses: Railway fares............................ Per diem in lieu of subsistence.. Chair-car fare....... .................... Local transportation................. 1,000 500 124 7,000 23,000 6,315 10,721 Equipment: 3012 Tables, desks, and other depositories. 3021 Botanic Garden stock.......................... 200 15,000 200 11,000 331 16,985 30 Total equipment................................................ . 15,200 11,200 17,317 32 Care and maintenance of Poplar Point nursery.. 9,000 20,000 20,883 07 Transportation of things (mail and delivery service). 12 Repairs and alterations........................................ $71, 800. 00 173, 790. 00 1 173, 060. 00 784, 285. 00 722, 345. 00 Expended and obligated, 1929 7,000 28,000 06 Total travel expenses........................................... $71, 800. 00 62,798 2 Unobligated balance_ 71,800 Total......................... 71,800 62,800 Total, Botanic Garden____________________________________________ L IB R A R Y OF CONGRESS Salaries, Library of Congress— For the Librarian, chief assistant librarian, and other personal services ( U, S . C.t title 2, secs. 186, 140, 141; U. S. C S u p p . I l l , title 2, sec. 186a; act Feb. 28, 1929, vol. 45, p. 1898)........... .......... ................ ............ ....................... Salaries: Professional and scientific service— Grade 9, $9,000— Librarian of Congress________________________ Grade 7, $6,500 to $7,900; average, $7,000— Chief assistant librarian-*____________________ Grade 6, $5,600 to $6,400; average, $6,000Chief librarian....................................................... Estimated expenditures, 1931 appro priation Estimated expenditures, 1930 appro priation Expended and obligated, 1929 Average No. Salarf Average No. Salarf Average No. Salary 1 $10,000 1 7,600 1 7,000 1 6.500 6,000 3 5,933 3 5,733 1 $10,000 1 3 $10,000 18 THE BUDGET, 1931 Estimates oj appropriations required jor the service oj thejiscal year ending June SO, 19S1— Continued General object (title of appropriation), date of acts, references to United States Code or Statutes at Large, and estimated amount required for each detailed object Total amount to be ap propriated under each head of appropriation Salaries, Library of Congress— Continued. Salaries—Continued. Professional and scientific service—Continued. Grade 5, $4,600 to $6,200; average, $4,900Senior librarian............................................. Senior librarian (European representative).. Grade 4, $3,800 to $4,400; average, $4,100Librarian...................................................... Grade 3. $3,200 to $3,700; average, $3,450— Associate librarian........................................ Grade 2, $2,600 to $3,100; average, $2,850Assistant librarian........................................ Assistant librarian....................................... Grade 1, $2,000 to $2,500; average, $2,250Junior librarian....................... ..................... Subprofessional service— Grade lf $2,300 to $2,800; average, $2,550— Principal library assistant............. ............... Grade 6, $2,000 to $2,500; average, $2,250Senior library assistant.................................. Grade 5, $1,800 to $2,100; average, $1,960Library assistant........................................... Grade 4, $1,620 to $1,920; average, $1,770— Junior library assistant.................................. Grade 3, $1,440 to $1,740; average, $1,590— Underlibrary assistant.................................. Grade 2, $1,260 to $1,660; average, $1,410Minor library assistant................................. Minor library assistant................ _............... Grade 1, $1,020 to $1,320; average, $1,170Library aid............................... .................... Clerical, administrative, and fiscal service— Grade 12, $4,600 to $6,200; average, $4,900— Administrative officer.. Grade 9, $3,200 to $3,700; average, $3,450— Senior administrative assistant................ Grade 7, $2,600 to $3,100; average, $2,850Junior administrative assistant----- ------Grade 6, $2,300 to $2,800; average, $2,550— Principal clerk.......... — ............... .......... Grade 5, $2,000 to $2,500; average, $2,250Senior clerk............................................... Grade 4, $1,800 to $2,100; average, $1,950Clerk......................................................... Clerk-stenographer................................ Clerk-stenographer................................ Grade 3, $1,620 to $1,920; average, $1,770Assistant clerk.......................................... Grade 2, $1,440 to $1,740; average, $1,690Junior clerk.............................................. Junior clerk-stenographer......................... Grade 1, $1,260 to $1,560; average, $1,410— Underclerk................................................ Underphotographer,................................. Custodial service— Grade 4, $1,320 to $1,620; average, $1,470Head messenger........................................ Senior guard............................................. Grade 3, $1,200 to $1,500; average, $1,350— Guard........................................................ Estimated expenditures, 1931 appro priation Estimated expenditures, 1930 appro priation Expended and obligated, 1929 Average— No. Salary Average— No. Salary Average— No. Salary 10 1 $4,900 4.600 10 1 $4,840 2 16 4,100 2 4.000 3,446 15 2,873 2.600 37 3,800 3,300 2.832 2,242 2,248 $4,664 4,600 4,600 2,751 33 2.185 2 2,450 2 2,450 2 2.400 12 2,250 12 2,217 12 2,200 24 1,912 24 1,905 17 1,930 33 1.749 33 1,729 33 1,714 24 1,565 24 1,547 24 1,630 64 8 1,408 1,260 64 1.389 64 1,378 7 1,020 1,020 1.020 1 5,000 4.800 4.600 1 3.600 3.600 3,500 1 2,900 2.900 2,800 1 2,700 2.700 2.600 2 2,200 2,150 2,050 4 4 8 1,905 2,010 1,800 1,890 2,010 1,935 1,965 Messenger........................................ Grade 1, $600 to $840; average, $720— Junior messenger............................. 1.750 1,700 1,660 1,577 1,603 1,569 1,594 1,529 1,583 1,405 1,380 1.380 1.380 1,360 1,380 1,560 1.380 1,560 1.380 1,560 1.380 1.380 1,312 1,200 1.380 1,356 1.380 1,325 600 600 Total average number of employees.................... 376 Total salaries......................................................... The difference between 1931 and 1930 is due to— Reallocation.............................................. $2,180 Increase in force........................................ 61,680 Increase in salaries.................................... 8,080 784,285 349 722,345 341 689,262 Total increase.........................................61,940 Copyright Office: For the Register of Copyrights, assistant register, and other personal services ( U. S. C., title 2, secs. 186, 140, 141; title 17, sec. 48; ad Feb. 28, 1929, vol. 45, p. 1898) _______________________ _____ _____________ Estimated expenditures, 1931 appro priation Estimated expenditures, 1930 appro priation Expended and obligated, 1929 Salaries: Average— Average— Average— Professional and scientific service— Salary Salary No. No. Salary No. Grade 3, $3,200 to $3,700; average, $3,4501 $3,500 1 $3,600 1 $3,600 Associate attorney _____ . . . . . . ______ . . . . . . . . Grade 2, $2,600 to $3,100; average, $2,8501 2,900 1 3,000 1 3,000 Assistant attorney.................................................. $230, 600. 00 $228, 740. 00 19 LEGISLATIVE ESTABLISHMENT Estimates of appropriations required for the service of the fiscal year ending June SO, 1981— Continued amount to be ap Amount appropriated for Oeneral objectKtitle of appropriation), date of acts, references to United States Code or Statutes at Large, and estimated Total propriated under eacl the fiscal year ending amount required for each detailed object head of appropriation June 30, 1930 Salaries, Library of Congress— Continued. Salaries—Continued. Subprofessional service— Grade 7, $2,300 to $2,800; average, $2,550— Principal library assistant............................. Grade 6, $2,000 to $2,500; average, $2,250— Senior library assistant................................. Grade 5, $1,800 to $2,100; average, $1,950Library assistant........................................... Grade 4, $1,620 to $1,920; average, $1,770Junior library assistant.................................. Grade 3, $1,440 to $1,740; average, $1,590— Under library assistant........ ......................... Clerical, administrative, and fiscal service— Grade 13, $5,600 to $6,400; average, $6,000Senior administrative officer......................... Grade 10, $3,500 to $4,000; average, $3,750Junior administrative officer. ....................... Grade 9, $3,200 to $3,700; average $3,450Senior administrative assistant..................... Grade 8, $2,900 to $3,400; average $3,150— Administrative assistant....... ............... ....... Grade 7, $2,600 to $3,100; average $2,850Junior administrative assistant.......... .......... Grade 6, $2,300 to $2,800; average $2,550Principal clerk........ ..................................... Principal accounting and auditing assistant. Grade 5, $2,000 to $2,500; average,$2,250Senior clerk.................................................... Grade 4, $1,800 to $2,100; average, $1,950— Clerk Grade 3, $1,620"to $1,920; average, $1,770^ Assistant clerk...............- .............................. Grade 2, $1,440 to $1,740; average, $1,590Junior clerk................................................... Grade 1, $1,260 to $1,560; average, $1,410— Underclerk..... ............................................... Custodial service— Grade 3, $1,200 to $1,500; average, $1,350— Messenger..................................................... Grade 1, $600 to $840; average, $720— Junior messenger........................................... 01 Estimated expenditures, 1931 appro priation Estimated expenditures, 1930 appro priation Expended and obligated, 1929 Average— No. Salary Average— No. Salary Average— No. Salary 1 $2,500 5 2,180 2,160 4 1,890 1,890 1,875 5 1,752 1,728 [1,620 12 1,540 1,525 1,480 $2,400 $2,300 2,100 1 6,000 6,000 5.800 1 3,900 3,900 3.800 3,200 3,200 3,100 2,833 % 800 6 1 2,466 2,500 2,466 2,500 6 1 2.500 2.500 5 2,240 2,240 5 2,240 12 1,950 1,880 12 1,880 24 1,740 1,720 24 1,683 26 1,590 1,578 26 1,533 10 1,362 1,344 10 1,314 2 1,260 1,260 2 1,230 1 600 600 1 230,600 228,740 Total average number of employees...................... 122 Total salaries......................................................... The difference between 1931 and 1930 is due to— Reallocation............................................... $360 Increase in salaries......................................1,500 224,905 Total increase.......................................... 1,8 Legislative Reference Service: To enable the Librarian of Congress to employ competent persons to gather, classify, and maker available, in translations, indexes, digests, compilations, and bulletins, and otherwise, data for or bearing upon legislation, and to render such data serviceable to Congress and com mittees and Members thereof, including not to exceed $5,700 for employees engaged on piecework and work by the day or hour at rates to be fixed by the Librarian (U. S. C., title 8, secs. 186, 140, 141t 150; act Feb. j$8, 1929, vol. 4&, p. 1898)____________________________________ Estimated j Estimated expenditures, ; expenditures, 1931 appro- [ 1930 appro priation priation Salaries: Professional and scientific service— Grade 6, $5,600 to $6,400; average, $6,000Senior librarian. .................................... Grade 5, $4,600 to $5,200; average, $4,900Attorney................................................ Grade 3, $3,200 to $3,700; average, $3,450— Associate librarian................................ . Associate attorney.................................. Grade 2, $2,600 to $3,100; average, $2,850Assistant librarian................................ . Grade 1, $2,000 to $2,500; average, $2,250Junior librarian....................................... Subprofessional service— Grade 6, $2,000 to $2,500; average, $2,250— Senior library assistant........................... Grade 4, $1,620 to $1,920; average, $1,770— Junior library assistant........................... Grade 3, $1,440 to $1,740; average, $1,590— Underlibrary assistant............................ Average— ! Average— No. Salary Salary 1No. 1 $6,000 \ I $6,000 j Expended and obligated, 1929 Average— Salary No . 1 $5,800 1 4,800 1 4,800 1 4,600 2 2 3,450 3,450 2 2 3,450 3,450 3 3,500 i 2 3,333 j 2 2,866 1 3 2,850 3 2,850 1 2,500 1 2,300 1 2,300 1 2,300 I 2,200 1 2,200 5 1,770 5 1,770 5 1,770 & 1,488 5 1,590 5 1,518 $71, 160. 00 $70, 950. 00 20 THE BUDGET, 1931 Estimates of appropriations required for the service of the fiscal year ending June SO, 1981— Continued amount to be ap Amount appropriated for General object (title or appropriation), date of acts, references to United States Code or Statutes at Large, and estimated Total propriated under each the fiscal year ending amount required for each detailed object June 30, 1930 head of appropriation Salaries, Library of Congress— Continued. Salaries—Continued. Clerical, administrative, and fiscal service— Grade 6, $2,300 to $2,800; average, $2,550— Principal clerk-stenographer................................ Grade 5, $2,000 to $2,500; average, $2,250— Senior translator................................................... Grade 4, $1,800 to $2,100; average, $1,950Photographer........................................................ Grade 3, $1,620 to $1,920; average, $1,770Senior stenographer............................................. . Total average number of employees............... Total salaries.................................................. Special, temporary and miscellaneous serivce, 5 to 7 employees.......................................................... Estimated expenditures, 1931 appro priation Estimated expenditures, 1930 appro priation Expended and obligated, 1929 Average— No. Salary Average— No. Salary Average— No. Salary 1 $2,700 1 1 $2,600 2,000 1 2,000 1 2,000 1 2,100 1 2,040 1 2,040 2 1,770 2 1,770 2 1,770 26 01 Total personal services............................................ The difference between 1931 and 1930 is due to in crease in salaries, $200. 1 26 $2,600 65,450 65,250 5,700 5,700 66,564 2,124 71,150 70,950 68,688 Distribution of card indexes: For the distribution of card indexes and other publications of the Li brary, including personal services, freight charges (not exceeding $500), expressage, postage, traveling expenses connected with such distribution, expenses of attendance at meetings when incurred on the written authority and direction of the Librarian, and including not to exceed C$36,300J $44,110 for employees engaged on piecework and work by the day or hour at rates to be fixed by the Librarian; in all ( U. S. C., title 2, secs. 1S6, 140, 141 , 150; act Feb. 28, 1929, vol. 45, p. 1S98) _____ _____________ ___________________________ _____ ___________ Salaries: Professional and scientific service— Grade 5, $4,600 to $5,200; average, $4,900Librarian................................................. Grade 3. $3,200 to $3,700; average, $3,450— Associate librarian-................................. Grade 2, $2,600 to $3,100; average, $2,850— Assistant librarian ............................... Grade 1, $2,000 to $2,500; average, $2,250— Junior librarian....................................... Subprofessional service— Grade 6, $2,000 to $2,500; average, $2,250Senior library assistant............................. Grade 5, $1,800 to $2,100; average, $1,950Library assistant..................................... . Grade 4, $1,620 to $1,920; average, $1,770Junior library assistant............................ Grade 3, $1,440 to $1,740; average, $1,590— Under library assirtant............................ Grade 2, $1,260 to $1,560; average, $1,410— Minor library assistant........... -............... Clerical, administrative, and fiscal service— Grade 6, $2,300 to $2,800; average, $2,550Principal clerk......................................... Grade 4, $1,800 to $2,100; average, $1,950Accounting and auditing assistant........... Grade 3, $1,620 to $1,920; average, $1,770Assistant clerk................. ...................... Grade 2, $1,440 to $1,740; average, $1,590— Junior clerk.................— ...................... Junior clerk-typist...... ............................. Grade 1, $1,260 to $1,560; average, $1,410— Underderk............. .................................. Custodial service— Grade 3, $1,200 to $1,500; average, $1,350— Messenger........... ..................................... Total average number of employees..................... Total salaries........ ................................................ Special temporary and miscellaneous services, in cluding work by the hour..................................... 01 Total personal services............... — ....................... The difference between 1931 and 1930 is due to— Increase in lump sum............................... $7,810 Reallocations............................................. 380 Increase in salaries.................................... 760 Total increase......................................... 8,950 Estimated expenditures, 1931 appro priation Estimated expenditures, 1930 appro priation Expended and obligated, 1929 Average— No. Salary Average— No. Salary Average— No. Salary 1 $5,200 1 $5,200 1 3,500 1 3,400 1 3,300 5 2,680 5 2,780 5 2,760 4 2,175 3 2,163 3 2,139 2,053 1 $5,000 3 2,100 3 2,066 3 9 1,933 10 1,926 10 1,922 6 1,760 1,761 6 3,742 4 1,590 1,590 3 1,590 3 1.400 1,480 3 1,450 2,500 1 2,600 2,600 1 2 1,950 1,950 2 1.950 2 1,770 1,766 1 1,740 1,680 1 1 1,680 1,620 1,375 13 1,371 13 1.337 1,277 1.270 113,890 112,750 111,630 44,110 36,300 30,200 158,000 149,050 141,830 $158, 000. 00 $149, 050. 00 21 LEGISLATIVE ESTABLISHMENT Estimates oj appropriations required jor the service oj thejiscal year ending June 30, 1931— Continued General object (title of appropriation), date of acts, references to United States Code or Statutes at Large, and estimated amount required for each detailed object Salaries, Library of Congress— Continued. Temporary services: For special and temporary service, including extra special services of regular employees, at rates to be fixed by the Librarian (U. S. C., title 2, secs. 140, 141; act Feb. 28, 1929, vol. 45, p. 1398) ______________ Total amount to be ap Amount appropriated for propriated under each the fiscal year ending Bead of appropriation June 30, 1930 $3 , 0 0 0 . 0 0 $3 , 38, 740. 00 33, 280. 00 0 0 0 .0 0 During the fiscal year ending June 30, 1929, the following number of persons were employed at the rates of compensation indicated beiow: Assistants...................................................per annum* Assistants...................................... ............ per month. Assistants........................................... ...........per diem. Assistants............. .................. -....... ..........per hour. Agreed price for a certain piece of work........................ 01 Total average number of employees., Total personal services..................... Estimated expenditures, 1931 appro priation Estimated expenditures, 1930 appro priation Average— No. Salary Average— No. Salary Expended and obligated, 1929 Average— No. Salary 9 $1, 440-S12.00 2 160- 15.00 6 20.00- 5.45 5 1.10- . 55 1 100.00 $3,000 $3,000 23 2,982 N ote .—It is not feasible at this time to estimate the number of persons to be employed and the rate of compensation to each. The number increases and diminishes as the necessity requires. Index to State legislation: To enable the Librarian of Congress to prepare an index to the legislation of the several States, together with a supplemental digest of the more important legislation, as authorized and directed by the act entitled “ An act providing for the preparation of a biennial index to State legislation,” approved February 10, 1927 (U. S. C., Supp. [ I , p. 4,J I II, title 2, secs. 164, 165), including personal and other services within and without the District of Columbia (including not to exceed $2,500 for special and temporary service at rates to be fixed by the Librarian), travel, necessary material, and apparatus, and for printing and binding the indexes and digests of State legislation for official dis tribution only, and other .printing and binding incident to the work of compilation, stationery, and incidentals, [$33,280, together with the unexpended balance of the appropriation for this purpose for the fiscal year 1929: Provided, That so much of the act approved February 10, 1927, as requires the Librarian to biennially report to Congress an index and digest of State legislation is repealed, and the Librarian of Congress i8 directed to have such indexes and digests printed and bound for official distribution o n ly j (27. S. C S u p p . I l l , title 2, secs. 164, 165; act Feb. 28, 1929, vol. 45, p. 1S98) _____________________ Salaries: Professional and scientific service— Grade 5, $4,600 to $5,200; average, $4,900— Librarian................................................ . Grade 3, $3,200 to $3,700; average, $3,450— Associate librarian.................................... Grade 2, $2,600 to $3,100; average, $2,850Assistant librarian................- ................. . Subprofessional service— Grade 6, $2,000 to $2,500; average, $2,250Senior library assistant............................. Grade 5, $1,800 to $2,100; average, $1,950Library assistant...................................... Clerical, administrative, and fiscal service— Grade 3, $1,620 to $1,920; average, $1,776Assistant clerk.......................................... Grade 2, $1,440 to $1,740; average, $1,590Junior clerk............................... ............... Estimated expenditures, 1931 appro priation Estimated expenditures, 1930 appro priation Expended and obligated, 1929 Average— No. Salary Average— No. Salary Average— No. Salary $6,000 $4,800 $4,600 3,300 3.200 3,200 2,750 2,750 2,675 2,200 2.200 2,100 1,980 1,920 1,860 1,740 1 1,740 1,680 1,500 1 1,500 1,440 Total average number of employees. Total salaries.................................... Special and temporary service............. 30,020 2,500 29,660 2,500 28,780 2,500 Total personal services.................. Special and miscellaneous expenses.. 32; 620 6,220 32,060 1,220 31,280 6,220 Total...................................................................... The difference between 1931 and 1930 is due to— Increase in salaries...................................... $460 Special and miscellaneous expenses (print ing and binding)......................................5,000 38,740 33*280 37,600 Total increase............................... ........6.460 22 THE BUDGET, 1031 Estimates of appropriations required for the service of the fiscal year ending June SO, 19S1— Continued amount to be ap Amount appropriated for General object (title of appropriation), date of acts, references to United States Code or Statutes at Large, and estimated Total propriated onder each the fiscal year ending amount required for each detailed object June 30,1930 head of appropriation Salaries, Library of Congress— Continued. Sunday opening: To enable the Library of Congress to be kept open for reference use on Sundays and on holidays within the discretion of the Librarian, in cluding the extra services of employees and the services of additional employees under the Librarian, at rates to be fixed by the Librarian ( U. S. C.t title 2, secs. 140, 141; act Feb. 28, 1989, vol. 45, p* 1398)___ In charge........................................................per diem.. Assistant..................................................... ......... do___ Assistant............... ..................................... ......... do... Assistant................................................ ..............do... Assistant.......... ............................. ....... ..............do... Assistant, from $2 to $10.......................... ............do... 01 Total average number of employees.................... Total personal services-...................................... The difference between 1931 and 1930 is due to in crease in salaries, $3,000. Estimated expenditures, 1931 appro priation Estimated expenditures, 1930 appro priation Expended and obligated* 1929 Average— No. Salary Average— No. Salary Average— No. Salary 1$7.00 14,00 13.75 12. 75 12.50 18,000 1 1$7.00 1 2 2 53 >3.75 12.50 »2.00 15,000 1 1$7.00 1 2 2 51 13.75 12.50 12.00 57 $18, 000. 00 $15, 000. 00 1, 303, 775. 00 1, 222, 365. 00 155, 500. 00 110, 500. 00 379, 500. 00 356, 000. 00 14,963 1Serve five-eighths of a day. N ote .—The basis of the compensation is the rate paid in the particular position on the regular working roll plus an allowance recognizing the fact that the service is for Sunday and holiday. The above is the maximum number employed at any one time. This number decreases when the need of the service permits. Total salaries, Library of Congress (exclusive of building)____ __________________ Increase of Library of Congress— For purchase of books, miscellaneous periodicals and newspapers, and all other material, for the increase of the Library, including payment in advance for subscription books and society publications, and for freight, commissions, and traveling expenses including expenses of attendance at meetings when incurred on the written authority and direction of the Librarian in the interest of collections, and all other expenses incidental to the acquisition of books, miscellaneous periodicals and newspapers, and all other material for the increase of the Library, by purchase, gift, bequest, or exchange, to continue available during the fiscal year [1931J 1938 [$1 05 ,0 00 ]________________________________________________________ For purchase of books and for periodicals for the law library, under the direction of the Chief Justice [$ 3 ,0 0 0 ]_________________________________ For purchase of new books of reference for the Supreme Court, to be a part of the Library of Congress, and purchased by the marshal of the Supreme Court, under the direction of the Chief Justice__________________________ $130, 000. 00 23, 000. 00 2, 500. 00 In all ( U. S. C., title 2, secs. 131, 185; act Feb. 88, 1929, vol. 45, p. 1S99)____ ______ ______ ______________________ _____ __________________________ Estimated expenditures, 1931 appro priation Estimated expenditures, 1930 appro priation Expended and obligated, 1929 3021 Books, periodicals, and newspapers...................... 07 Transportation of things (service)......................... 06 Travel expenses.......... .......................................... $151,000 2,000 2,500 $106,800 1,500 2,200 $105,394 1,672 3,434 Total......................................................................... 155,500 110,500 110,500 Printing and Binding, lAbrary of Congress— For miscellaneous printing and binding for the Library of Congress, includ ing the Copyright Office, and the binding, rebinding, and repairing of library books, and for the Library Building, [$196,000]___________________ For the publication of the Catalogue of Title Entries of the Copyright Office, [$ 4 5 ,0 0 0 ]-----------------------------------------------------------------------------------------------For the printing of catalogue cards, [$115,000]_____________________________ 207, 000. 00 50, 000. 00 122, 500. 00 In all ( U. S. C., title 31, sec. 588; act Feb. 28,1929, vol. 45, p. 1399)__________________ 23 LEGISLATIVE ESTABLISHMENT Estimates of appropriations required for the service of the fiscal year ending June SO, 1931— Continued General object (title of appropriation), date of acts, references to United States Code or Statutes at Large, and estimated amount required for each detailed object Total amount to be ap Amount appropriated for the fiscal year ending propriated under each neaa of appropriation June 30, 1930 Printing and Binding, Library of Congress— Continued. Estimated expenditures, 1931 appro priation Estimated expenditures, 1930 appro priation Expended and obligated, 1929 Miscellaneous printing and binding for the Library of Congress, including tbe Copyright Office, and the binding, rebinding, and repairing of library books, and for the Library Building............................................. Publication of the Catalogue of Title Entries of the Copyright Office......................................................... Printing of catalogue cards..................... ....................... $207,000 $196,000 $186,000 50,000 122,500 45,000 115,000 45,000 105,000 08 Total......................................................................... 379,500 356,000 336,000 Contingent Expenses, Library of Congress— For miscellaneous and contingent expenses, stationery, supplies, stock, and materials directly purchased, miscellaneous traveling expenses, postage, transportation, incidental expenses connected with the administration of the Library and Copyright Office, including not exceeding $500 for expenses of attendance at meetings when incurred on the written authority and direction of the Librarian_________ _____ _______________________________ For paper, chemicals, and miscellaneous supplies necessary for the operation of the photoduplicating machines of the Library and the making of photo duplicate prints (submitted) ______________________________________________ $9, 000. 00 4, 000. 00 In all ( U. S. C., title 2, sec. 131; act Feb. 28,1929, vol. 45, p. 1899)_____ ______ ______ Estimated expenditures, 1931 appro priation Estimated expenditures, 1930 appro priation Expanded and obligated, 1929 $7,478 4,000 60 $7,549 4,000 50 $6,093 3,518 41 02 Total supplies and materials______ _______ 11,538 11,599 9,652 Communication service: Telegraphic service............................... Telephone service................................. Other communication service (postage) Postal service..... .................................. 65 7 625 20 55 5 600 20 24 5 575 20 05 Total communication service........... ............. 717 Travel expenses: 0600 Travel expenses........ ...................... — 0610 Street car tokens....... ........................... 500 220 500 200 190 06 Total travel expenses..................................... 720 700 190 07 Transportation of things (service).................. 25 20 10 Total................- ............................................ 13,000 13,000 10,476 Supplies and materials: 0200 Stationery and office supplies.............. . 0204 Photostat supplies................................. 0280 Sundry supplies.................................... 0500 0510 0520 0521 $13, 000. 00 148, 847. 00 148, 247. 00 624 Care and Maintenance, Library of Congress— Salaries: For the superintendent, disbursing officer, and other personal services ( U. S. C., title 2, secs. 141,14%', act Feb. 28,1929, vol. 45, p. 1399) _ Estimated Estimated expenditures, , expenditures, 1931 appro- | 1930 appro priation priation Salaries: Clerical, administrative, and fiscal service— Grade 9, $3,200 to $3,700; average, $3,450— Disbursing officer.......................................... Superintendent Library Building................. Grade 7, $2,600 to $3,100; average. $2,850Chief clerk (disbursing office)......... .............. Grade 5, $2,000 to $2,500; average, $2,250Purchasing agent and assistant superintend ent building............................. .................. Grade 4, $1,800 to $2,100; average, $1,950Clerk (trust and gift funds)....... .................. Grade 3, $1,620 to $1,920; average, $1;770Assistant clerks.............................................. $13, 000. 00 Average— \ Average— Salary N o. Salary No. 1 $3,500 I 1 $3,500 Expended and obligated, 1929 Average— No. Salary 1 3,300 } 1 3,300 1 1 $3,400 3,200 1 2,700 1 2,700 1 2,600 1 l 2,100 j 1 2,100 1 2,000 1 1,920 | 1 1,620 1 1,860 3 1,700 1 3 1,700 2 1,680 24 THE BUDGET, 1931 Estimates oj appropriations required jor the service oj the fiscal year ending June SO, 19S1— Continued amount to be ap Amount appropriated for General object (title of appropriation), date of acts, references to United States Code or Statutes at Large, and estimated Total propriated under each the fiscal year ending amount required for each detailed object head of appropriation June 30, 1930 Care and Maintenance, Library of Congress— Continued. Estimated expenditures, 1931 appro priation Salaries—Continued. Average— Clerical, administrative, and fiscal service—Contd. Salary No. Grade 2. $1,440 to $1,740; average, $1,590— 1 $1,620 Junior clerk..................................................... Junior clerk-stenographer................................ 1 1,560 Grade 1. $1,260 to $1,560; average, $1,410— 3 1,360 Underclerks..................................................... 2 1,320 Underoperators (telephone)............................ Custodial service— Grade 7, $1,860 to $2,200; average, $2,030“ 1 Assistant farm steward (chief of laborers)----2,040 Grade 6, $1,680 to $1,980; average, $1,8301,860 Head guard..................................................... 1 Grade 4, $1,320 to $1,620; average, $1,4701,470 Senior guard.................................................... 2 Assistant foreman of laborers.......................... 1 1,440 Grade 3. $1,200 to $1,500; average, $1,350Guard.............................................................. 26 1,350 Senior laborer........................................ ......... 1,380 2 1,380 1 Under domestic attendant *.......................... Minor mechanic (chauffeur)........................... 2 1,440 Grade 2, $1,080 to $1,380; average, $1,2301,229 Junior laborer.................................................. 21 Subordinate mechanic (elevator operators 8, book cleaners 3 ) „ ................................... 11 1,211 Minor domestic attendant............................. 2 1,290 Junior laborer (head charwoman, 50 cents per hour)...................................................... 770 2 Junior laborer (charwoman, 45 cents per hour). .......... ............................................... 58 416 Grade 1. $600 to $840; average, $720— Junior messenger (parcel checker).......... ....... 4 720 01 Total average number of employees..................... 149 Total salaries........................................................ The difference between 1930 and 1931 is due to increase in salaries, $600. 148,847 Estimated expenditures, 1930 appro priation Expended and obligated, 1929 Average— Salary No. Average— Salary No. 1 1 $1,620 1,560 2 1 $1,530 1,500 3 2 1,360 1,320 3 2 1,440 1,290 1 2,040 1 2,040 1 1,860 1 1,860 2 1 1,470 1,440 2 1 1,470 1,440 26 2 1 1,350 1,380 1,380 1,440 26 2 1 2 1,368 1,380 1,380 1,440 21 1,214 18 1,213 11 2 1,200 1,290 9 2 1,233 1,260 2 770 2 765 58 416 58 413 4 675 4 720 149 148,247 144 139,066 Sunday Opening Building for Library of Congress— For extra services of employees and additional employees under the Libra rian to provide for the opening of the Library Building on Sundays and on legal holidays, at rates to be fixed by the Librarian (act Feb. 28, 1929, vol. 45, p. 1S99)__________________________________________________________ Personal services (1929, 59 days; 1930, 57 days; 1931, 57 days) Salaries: Telephone operator................... Captain or lieutenant of guard.. Guard........................................ Attendant.................................. Check boy................................. Head charwoman...................... Charwoman.............................. Miscellaneous temporary labor. Wages: Elevator conductor................... Skilled laborer and laborer_____ Miscellaneous temporary labor.. Total number of employees... Salaries.. Wages__. 01 Total salaries and wages.. Rate Estimated expenditures, 1931 appro priation Estimated expenditures, 1930 appro priation Expended and obligated, 1929 Number Number Numher $4.90 6.35-5.10 4.70 4.30 2.25 3.15 1.70 ii 121 1 4.30 4.70-130 $4, 700. 00 $4, 700. 00 600.00 500.00 1 1 5 1 2 1 12 1 2 2 1 2 2 1 $3,800 900 $3,800 900 $3,368 676 4,700 4,700 4,043 29 Temporary Services, Library Building— For special and temporary services in connection with the custody, care, and maintenance of the Library Building, including extra special services of regular employees at the discretion of the Librarian, at rates to be fixed by the Librarian (act Feb. 28, 1929, voh 45, p. 1399)________________ LEGISLATIVE ESTABLISHMENT 25 Estimates oj appropriations required jor the service oj the jiscal year ending June 30, 1931—Continued appropriated for General object (title of appropriation), date of acts, references to United States Code or Statutes at Large, and estimated |^pr^pri^^under^acb Amount the fiscal year ending amount required for each detailed object ' head of appropriation June 30, 1930 Temporary Services, Library Building— Continued. Estimated Estimated expenditures, i expenditures, 1931 appro ; 1930 appropriation ; priation Salaries: Additional attendant-................. . ................... Additional check boys_________________ _______ ............ Additional guards...................................... ............. Draftsman......................................... ...................... Wages: Additional laborers... .................. ........................... Other personal services „ _____ ______ _________ 01 Total number of employees.______ __________ _ Total salaries and wages........................................ Expended and obligated, 1929 No. 1 3 5 1 " ) 1 .... Salary $150 151 60 37 i $500 $500 500 500 10 398 Custody and Maintenance, Library Building— For mail, delivery, and telephone services, rubber boots and rubber coats for workmen, stationery, uniforms for guards, miscellaneous supplies, and all other incidental expenses in connection with the custody and main tenance of the Library Building (act Feb. 28, 1929, vol. 45, p. 1399) $8. 900. 00 $7, 000. 00 500.00 500. 00 800.00 800.00 Total, Library of Congress, exclusive of trust funds and gifts______ 2, 016, 022. 00 1, 863, 612. 00 Indefinite Items— Trust Funds and Gifts— As apart from appropriations, the Library estimates income available from trust funds and gifts, applicable to special uses (IT. S. C., title 2, sec. 1 6 0 )... 232, 700. 00 205, 000. 00 2,248, 722. 00 2, 068,612. 00 Estimated expenditures, 1931 appro priation Estimated expenditures, 1930 appro priation Supplies and materials: Stationery and office supplies..................... Cleaning and toilet supplies........................ Fuel................................................. ........... Uniforms..........................................—......... Sundry supplies........................................... $250 2,100 400 1,900 300 $250 2,100 400 300 $101 1,548 58 1,818 1,117 02 Total supplies and materials................................. 4,950 3,050 l 4,642 Communication services: 0510 General telephone service...........................0520 Postage......................................................... 1,800 70 1,800 70 2,108 43 05 Total communication service.......................... — 1,870 1,870 2*151 06 07 12 13 Travel expenses (street car fare)............................ Transportation of things (service)......................... Repairs and alterations......................................... Special current expenses........................................ 25 25 1,500 100 25 25 1*500 100 20 1 1,374 151 Equipment: 3015 Kitchen utensils, etc.................................... 3051 Other equipment (lighting, electrical, etc.). 3053 Motor vehicles............................................. 100 50 280 100 50 280 22 26 142 0200 0205 0230 0240 0280 Expended and obligated, 1929 30 Total equipment.................. ........................ ....... 430 430 191 Total..... ................................................................ 8*900 7*000 8,530 Expenses, Library o f Congress Trust Fund Board— For any expense of the Library of Congress Trust Fund Board not properly chargeable to the income of any trust fund held by the board ( U. S. C., title 2, sec. 155; act Feb. 28, 1929, vol. 45, p• 1399) 13 Special and miscellaneous current expenses: Expenditures—1931, $500; 1930, $500; 1629, $24. Permanent Specific Appropriation— Bequest of Gertrude M. Hubbard, Library of Congress: Interest account— Trust fund of $20,000, the interest on which, at 4 per cent per annum, is to be used for the purchase of engravings and etchings to be added to the “ Gardiner Greene Hubbard Collection” (act Aug. 20, 1912, vol. 37, p. 319, sec. 1 ) 3020 Bequest of Gertrude M. Hubbard. Library of Congress, interest account; Expenditures— 1931, $800; 1930, $800. 22 Trust funds and gifts applicable to special uses: Expenditures—1931, $232,700; 1930, $229,800; 1929, $218,881. Total, Library of Congress, including trust funds and gifts_______ 26 THE BUDGET, 1031 Estimates of appropriations required for the service of the fiscal year ending June SO, 19S1— Continued amount to be ap Amount appropriated for General object (title of appropriation), date of acts, references to United States Code or Statutes at Large, and estimated Total propriated under each the fiscal year ending amount required for each detailed object Bead of appropriation June 30, 1930 G O V E R N M E N T P R IN T IN G OFFICE Public Printing and Binding, Government Printing Office— Public printing and binding: To provide the Public Printer with a working capital for the following purposes for the execution of printing, binding, lithographing, mapping, engraving, and other authorized work of the Government Printing Office for the various branches of the Government: For salaries of Public Printer, $10,000, and Deputy Public Printer, $7,500; for salaries, compensation, or wages of all necessary officers and employees additional to those herein appropriated for, including em ployees necessary to handle waste paper and condemned material for sale; to enable the Public Printer to comply with the provisions of law granting holidays and Executive orders granting holidays and half holi days with pay to employees; to enable the Public Printer to comply with the provisions of law granting thirty days' annual leave to employees with pay; rents, fuel, gas, heat, electric current, gas and electric fixtures; bicycles, motor-propelled vehicles for the carriage of printing and printing supplies, and the maintenance, repair, and operation of the same, to be used only for official purposes, including purchase, exchange, operation, repair, and maintenance of motor-propelled passenger-carrying vehicles for official use of the officers of the Government Printing Office when in writing ordered by the Public Printer (not exceeding $4,000); freight, expressage, telegraph and telephone service; furniture, typewriters, and carpets; traveling expenses; stationery, postage, and advertising; direc tories, technical books, newspapers and magazines, and books of reference (not exceeding $500) subscriptions for which may be paid in advance; adding and numbering machines, time stamps, and other machines of similar character; machinery (not exceeding $200,000); equipment, and for repairs to machinery, implements, and buildings, and for minor alterations to buildings; necessary equipment, maintenance, and supplies for the emergency room for the use of all employees in the Government Printing Office who may be taken suddenly ill or receive injury while on duty; other necessary contingent and miscellaneous items authorized by the Public Printer: Provided, That inks, glues, and other supplies manu factured by the Government Printing Office in connection with its work may be furnished to departments and other establishments of the Govern ment upon requisition, and payment made from appropriations available therefor; for expenses authorized in writing by the Joint Committee on Printing for the inspection of printing and binding equipment, material, and supplies and Government printing plants in the District of Columbia or elsewhere (not exceeding $1,000); for salaries and expenses of preparing the semimonthly and session indexes of the Congressional Record under the direction of the Joint Committee on Printing (chief indexer ■at [$3 ,1 50 ] $3,480, one cataloguer at [$ 2 ,8 8 0 ] $3,180, and two cataloguers at [$ 2 ,1 5 0 ] $2,460 each); and for all the necessary labor, paper, materials, and equipment needed in the prosecution and delivery and mailing of the work; in all, $2,500,000, to which shall be charged the printing and binding authorized to be done for Congress, the printing and binding for use of the Government Printing Office, and printing and binding (not exceeding $2,000) for official use of the Architect of the Capitol when authorized by the Secretary of the Senate; in all to an amount not exceed ing this sum [ : Provided further, That hereafter such printing, binding, and blank-book work authorized by law, as the Public Printer is not able or equipped to do at the Government Printing Office, may be produced elsewhere under contracts made by him with the approval of the Joint Committee on Printing] ( U. S. C., title 31, sec. 588; acts Feb. 28, 1929, vol. 45, p. 1399; June 20, 1929, vol. 46, pp. 35, 3 8 )___________________ _____ Salaries: Per annum Public Printer............................................. $10,000 Deputy Public Printer................................ 7,500 Production manager, superintendent of con* struction and maintenance, technical director....................................... ............. 5,200 Superintendent of accounts and Budget officer..............._..........._............ ............ 5,000 Assistant production manager..................... 4,800 Purchasing agent......................................... 4,600 Superintendents of planning, printing, platemaking, presswork, and binding___ 4,400 Chief clerk, medical and sanitary officer, storekeeper and traffic manager............... 4,200 Assistant to Public Printer, disbursing clerk, Congressional Record clerk____________ 4,000 Assistant technical director, assistant super intendent of presswork (night)................. 3,800 3,700 Foreman....................................................... Estimated expenditures, 1931 appro priation Estimated e^qpenditures, 1930 appro priation Expended and obligated, 1929 Number Number Number 1 1 1 1 1 1 3 3 3 1 1 1 1 1 1 1 1 1 5 5 5 3 3 3 3 3 3 2 1 2 1 2 1 $2, 500, 000. 00 $2, 500, 000. 00 27 LEGISLATIVE ESTABLISHMENT Estimates of appropriations required for the service of the fiscal year ending June SO, 1981— Continued General object (title of appropriation), date of acts, references to United States Code or Statutes at Large, and estimated amount required for each detailed object Public Printing and Binding, Government Printing Office— Continued. Estimated Estimated expenditures, I expenditures, Expended and 1931 appro1930 appro- j obligated, 1929 priation priation j Salaries—Continued. Assistant purchasing agent, assistant medi cal and sanitary officer, chief instructor of apprentices, printing investigator, assist* ant superintendents of planning, printing, platemaking, presswork, and binding; chief type machinist; foreman, underfore Per man, chiefcarpenter, chief machinist, chief annum electrician, chief pipefitter, chiefengineer.. $3,600 Assistant superintendent of accounts, chief 3,600 computer... _ indexer.. ______________________________ 3,480 Chief Foreman, assistant foreman........................ 3,400 Monotype machinist in charge..................... 3,300 Assistant chief clerk, clerks in charge of Treasury accounts, repay accounts, and pay-roll accounts, cost clerk, estimator, chief carpentor, assistant chief electrician, assistant chief machinist, assistant fore man, assistant storekeeper, chief of deliv ery, assistant monotype machinist in charge, linotype machinist in charge, assistant chief instructor of apprentices, 3,200 chief draftsman....................................... . Cataloguer................................................... 3,180 3,100 Assistant linotype machinist in charge....... Deputy disbursing clerk, assistant chemist, 3,000 officeman, computer................................. Officeman, chief copy editor, Record referee. 2,900 ____________________________________ 2,800 Assistant structural engineer, draftsman__ Head plateman, officeman........................ 2,750 Assistant chemist........................................ 2,700 Clerk in charge of property records, clerk, officeman, construction foreman, foreman, 2,600 assistant chief of delivery.......................... Officeman..................................................... 2,500 Cataloguer................................... ............... 2,460 Clerk, assistant foreman, office helper, assist 2,400 ant Congressional Record clerk................ Clerk............................................................ ....... 2,300 Officeman........... ........................................ 2,200 Plateman, clerk, office helper...................... 2,100 Clerk............................................................ 2,040 Junior chemist, officeman............................ 2,000 Clerk, captain of guards, office helper......... 1,980 Clerk, office helper....................................... ' 1, Chemist’s aid, office helper.......................... 1,860 Clerk, office helper, trained nurse, chemist’s aid............................................................. 1,800 Lieutenant of guards................................... 1,740 Clerk, telephone switchboard operator, office helper_______________ __________ 1,680 Office helper................................................ 1,620 Cataloguer................................................... ....... 1,565 Clerk, office helper....................................... 1,560 Assistant telephone switchboard operator, guard, chemist’s aid, clerk....................... 1,500 Clerk, hospital helper, office helper, mes senger—..................................................... 1,440 Messenger, guard, clerk, laborer.................. 1,380 Office helper, under scientific helper........... 1, Junior office helper, junior messenger........ 680-1,200 Wages: Per hour Photo-engraver............................................. $1.20 Head compositor in charge, assistant head compositor in charge, assistant instructor of apprentices, desk man, imposer in charge, linotype operator, monotype key board operator, foreign reader, electrotype, finisher in charge, offset pressman, head pressman, roller maker, ink maker in charge, group chief.................................... 1.15 Head compositor, imposer, copy editor, Ludlow operator, linotype operator, monotype keyboard operator, maker-up, press reviser, proof reader, referee, lino type machinist, monotype machinist, type machinist, electrotype finisher, elec trotype molder, stereotyper, cylinder pressman, head pressman, head pressman m charge of plfftes, group chief, saw flier, carpenter, electrician, machinist, pipe fitter, painter, sheet metal worker, sheet metal worker and pipe fitter, desk man.. Compositor, linotype operator, monotype keyboard operator, metal mixer in charge, . bookbinder machine operator, mounter, 1.05 marbler, bindery operative....................... Compositor, platen pressman, bookbinder, bindery operative, power plant operative, LOO blacksmith..................................... ........... *95 Stores helper, knife grinder.......................... .90 Stockbeeper.................................................. Number 35 2 1• 5 1 Number 35 I Number 2 1 5 1 57 1 1 58 1 1 13 6 2 2 4 9 1 2 10 5 2 13 2 4 6 5 58 4 15 7 1 4 45 8 10 2 42 145 145 145 954 954 913 446 446 446 197 3 2 197 182 3 2 Total amount to be ap Amount appropriated for propriated undereach the fiscal year ending head of appropriation June 30,1930 28 THE BUDGET, 1031 Estimates of appropriations required for the service of the fiscal year ending June SO, 1931— Continued General object (title of appropriation), date of acts, references to United States Code or Statutes at Large, and estimated amount required for each detailed object Public Printing and Binding, Government Printing Office— Continued. Wages—Continued. Linotype machine helper, monotype ma chine helper, platemaking helper, electri- Per hour cal helper, pipe*fitter helper, stock keeper. $0.85 Printing operative, desk helper, stock keeper, weighmaster, helper, power plant operative......................................... . 80 Linotype machine helper, desk helper, presswork operative, ink room operative, bindery operative, stock keeper, office helper, electrician helper, general me . 75 chanic............................ .......................... Printing operative, monotype caster man, presswork operative, cylinder press feeder, bander, bindery operative, helper, stock keeper, Ulliw office helper, llvipvl i desk UC0& helper .70 E gkfoperative, platemaking operative, presswork operative, roller and glue opera tive, ink room operative, platen pressfeeder, bindery operative, helper, desk helper, messenger, chauflfeur-repair man, general mechanic...................................... .65 Printing operative, monotype caster man, bindery operative, presswork operative, platemaking operative, ink room opera tive, helper, desk helper, office helper, chauffeur-repairman, delivery man, ele vator conductor, laundry machine opera tor, messenger......................................... . .60 Bindery operative, elevator conductor, cleaner, deliveryman, laborer____ ______ Apprentice................................................... Salaries, wages, and pay for leaves of absence and holi days___________________ _______ ____________ ____ Estimated extra pay for night work............................. . Total...................................................................... Deduct expenditures for personal services included in objects named below______ _____ ___________ 01 Total personal services............................................ . Supplies and materials: 0300 Stationery and office supplies_____ _______ 0201 Printed forms and letterheads..... .................. 0210 Medical and hospital supplies........................ 0220 Scientific and educational supplies_________ 0230 Fuel................................................................. 0280 Sundry supplies.......................... ................... 0290 Materials for producing Government printing and binding and furnishing blank paper.... 02 Total supplies and materials................................ Communication service: 0500 Telegraph service....................................... 0510 Telephone service....................................... 05 Total communication service............................... 06 Travel expenses....................................................... . 07 Transportation of things (service).......................... . Printing and binding, engraving, litho graphing, etc.: 0600 Printing and binding for use of Government Printing Office............................................ . 0810 Lithographing and engraving for depart ments, bureaus, and Congress..................... 08 Total printing and binding, engraving, and litho graphing............................................................ . Expended and obligated, 1929 Number Number Number 47 14 195 141 141 14L 643 190 3,993 643 190 3,993 607 172 $8,370,000 | 200,000 j 8,570,000 j $8,369,000 200,000 8,569,000 $8,168,740 175,000 8,343,740 350,000 j 8, 220,000 350,000 8,219,000 341,064 8,002,676 12,000 48,000 250 1,000 6,200 165,000 12,000 48,000 250 1,000 6,200 165,000 12,048 48,938 214 924 6,219 162,166 3,245,000 3,477,450 3,245,000 3,477,450 3,193,590 3,424,099 50 3,200 3,250 50 3,200 3,250 49 3,171 % 000 2,000 1,800 4,064 3*367 529 1 1 Total............................................................... Less repayments from other appropriations.. Total............................................................... Estimated expenditures, 1930 appro priation 1,800 1 I 142,000 | 10 Furnishing of heat, light, power, water, electricity (service)................................................................ . 11 Rent.......................................................................... 12 Repairs and alterations........................................... . 13 Special and miscellaneous current expenses............. Equipment: 3010 Furniture, furnishing, and fixtures................. 3020 Educational, scientific, and recreational equipment........................... _..................... 3000 Passenger-carrying vehicles............................ 3050 All other equipment........................................ 30 Total equipment...................................................... Unobligated balance.. Reserve...................... Estimated expenditures, 1931 appro priation 12,000 12; 667 130,000 130,480 142,000 143,147 500 500 597 133.000 6,000 350.000 3,000 133.000 12,000 350.000 3,000 132,318 12,000 339,891 2,720 5.000 3,000 2,722 2,500 2.000 j 268,000 | 277,500 | 2,500 2,000 268,000 275,500 2,411 .........................| 12,619,500 12,354,230 377,643 12.669.500 10.169.500 2,500,000 12,731,873 10,228,273 2,503,600 | 12,616,500 10^116,500 2,500,000 280,998 286,131 Total amount to be ap Amount appropriated for propriated under each the fiscal year ending head of appropriation June 30, 1930 29 LEGISLATIVE ESTABLISHMENT Estimates of appropriations required for the service of the fiscal year ending June SO, 1931— Continued amount to be ap Amount appropriated for General object (title of appropriation), date of acts, references to United States Code or Statutes at Large, and estimated Total propriated under each the fiscal year ending amount required for each detailed object head of appropriation June 30, 1030 Public Printing and Binding, Government Printing Office— Continued. Printing and binding for Congress chargeable to the foregoing appropria tion, when recommended to be done by the Committee on Printing of either House, shall be so recommended in a report containing an approxi mate estimate of the cost thereof, together with a statement from the Public Printer of estimated approximate cost of work previously ordered by Congress within the fiscal year for which this appropriation is made. During the fiscal year [1930J 1931 any executive department or independ ent establishment of the Government ordering printing and binding from the Government Printing Office shall pay promptly by check to the Public Printer upon his written request, either in advance or upon completion of the work, all or part of the estimated or actual cost thereof, as the case may be, and bills rendered by the Public Printer in accordance herewith shall not be subject to audit or certification in advance of payment: Pro vided, That proper adjustments on the basis of the actual cost of delivered work paid for in advance shall be made monthly or quarterly and as may be agreed upon by the Public Printer and the department or establishment concerned. All sums paid to the Public Printer for work that he is au thorized by law to do shall be deposited to the credit, on the books of the Treasury Department, of the appropriation made for the working capital of the Government Printing Office, for the year in which the work is done, and be subject to requisition by the Public Printer. All amounts in the Budget for the fiscal year [1 9 3 1 ] 1932 for printing and binding for any department or establishment, so far as the Bureau of the Budget may deem practicable, shall be incorporated in a single item for printing and binding for such department or establishment and be elimi nated as a part of any estimate for any other purpose. And if any amounts for printing and binding are included as a part of any estimates for any other purposes, such amounts shall be set forth in detail in a note imme diately following the general estimate for printing and binding: Provided, That the foregoing requirements shall not apply to work to be executed at the Bureau of Engraving and Printing. N o part of any money appropriated in this act shall be paid to any person employed in the Government Printing Office while detailed for or perform* ing service in any other executive branch of the public service of the United States unless such detail be authorized by law (ad Feb. 88, 19189, vol. IB, p. 1399). Equipment for New Addition to Government Printing Office Buildings— [Equipm ent for new addition to Government Printing Office Buildings: T o enable the Public Printer to equip the new eight-story addition to the Government Printing Office Buildings with the necessary steel filing equipment, intercommunicating carrier system, laboratory equipment, and other miscellaneous equipment not heretofore provided for under con struction of the building, $200,000, to be available until expended] (ad Feb. 28, 1929, vol Jfi, p. IJfil) _ . _______ _________________________________ 30 Total equipment.*._______ __________________ _ I 1 Expended and obligated, 1929 11 Equipment: 3010 Furniture, furnishings, and fixtures.... ........... 3020 Educational, scientific, and recreational equipment________________ ___________ 3053 Other equipment____ _________________ _ Estimated expenditures, 1930 appro priation « Estimated expenditures, 1931 appro priation $ 200, 000. 00 200,000 OFFICE OF THE SUPERINTENDENT OF DOCUMENTS Salaries, Office of the Superintendent of Documents— For the Superintendent of Documents, assistant superintendent, and other personal services in accordance with the classification act of 1923, as amended (U. S. C., [p p . 65^71,] title 5, secs. 661-673; [(4 5 Stat., pp. 7767 8 5 )] U. S. C., Supp. I l l , title 6, sec, 673), and compensation of employees paid by the hour who shall be subject to the provisions of the act entitled “ An act to regulate and fix rates of pay for employees and officers of the Government Printing Office, ’* approved June 7,1924 (U. S. C., [p . 1417,] title 44, sec. 40), $524,000: Provided, That for the purpose of conforming to section 3 of this act this appropriation shall be considered a separate appropriation unit ( U. S. C.t title 44, sec. 75; act Feb. 28,1929, vol. 45, pp. 1401 , 1402) _____________________________________________ $524, 000. 00 524, 000. 00 30 THE BUDGET, 1931 Estimates oj appropriations required jor the service oj thejiscdl year ending June SO, 19S1— Continued General object (title of appropriation), date of acts, references to TJnited States Code or Statutes at Large, and estimated amount required for each detailed object Total amount to be ap Amount appropriated for propriated undereach the fiscal year ending June 30, 1930 head of appropriation Salaries, Office of the Superintendent of Documents— Continued. Salaries: Clerical, administrative, and fiscal service— Grade 12, $4,600 to $5,200; average, $4,900Senior administrative officer..... ............... Grade 0, $3,200 to $3,700; average, $3,450Senior administrative assistant................. Grade 7, $2,600 to $3,100; average, $2,850Junior administrative assistant................ Grade 6, $2,300 to $2,800; average, $2,550— Principal clerk.......................................... Grade 5, $2,000 to $2,500; average, $2,250Senior clerk............................................... Grade 4, $1,800 to $2,100; average, $1,950Clerk.......................................................... Grade 3, $1,620 to $1,920; average, $1,770— Assistant clerk.......................................... . Senior stenographer.................................. . Grade 2, $1,440 to $1,740; average, $1,590— Junior clerk................................................ Senior typist............................................. . Junior stenographer.................................. . Junior operator, office devices.................... Grade 1, $1,260 to $1,560; average, $1,410— Underclerk................................................ . Junior typist............................................. . Underclerk-typist..................................... . Professional and scientific service— Grade 3. $3,200 to $3,700; average, $3,450Associate librarian..................................... Grade 2, $2,600 to $3,100; average, $2,850Assistant librarian..................................... Subprofessional service— Grade 7, $2,300 to $2,800; average, $2,550— Principal library assistant.......................... Grade 6, $2,000 to $2,500; average, $2,250Senior library assistant............................... Grade 5, $1,800 to $2,100; average, $1,950Library assistant___ ________________... Grade 4, $1,620 to $1,920; average, $1,770Junior library assistant............................... Grade 3, $1,440 to $1,740; average, $1,590— Under library assistant............................... Custodial service— Grade 3, $1,200 to $1,500; average, $1,350Messenger................................................... Grade 2, $1,080 to $1,380; average, $1,230Assistant messenger.................................... Wages: P& hour Stockkeepers, machine operators, and helpers.................................................. $0.65-$0.80 Assistant stockkeepers and wrappers... .60 Helpers and laborers..................................... 55- .60 Estimated expenditures, 1931 appro priation Estimated expenditures, 1930 appro priation Expended and obligated, 1929 Average— No, Salary Average— No. Salary Average— No, Salary 1 $5,000 1 $5,000 1 1 $5,000 3.500 1 3.500 1 3,500 2 2,600 2 2,600 0.6 2,000 6 2.500 6 2.500 7 2,442 2,200 3 2,200 3 2,200 2 8 1,913 8 1,913 8 1,901 25 4 1,694 1,620 25 4 1,694 1,620 14.9 1,737 61 1,525 1,508 1,530 1,560 51 8 1,525 1,508 1,530 1,560 51 7 9.2 1 1,532 1,539 1,556 1,560 10 21 18 1,356 1,309 1,303 1,356 1,309 1,303 7.2 16.6 12.5 1,376 1,320 1,337 3.500 3.500 1 3,400 2,900 2,900 1 2,800 2,533 2,533 3 2,500 2,200 2,200 3 2,200 1,865 1,865 5.9 1,893 1,740 1,740 5.7 1,708 1,515 1,515 3.7 1,480 1,306 13 1,306 1,310 1,080 25 1,060 1,080 Number Number Number $9,413 $9,413 289.1 $7,381 Total......................... Unobligated balance.. Reserve..................... 524,000 514,000 453,347 22,653 01 Total personal services. 524,000 Total average number of employees. Overtime pay....................................... 10,000 524,000 476,000 General Expenses, Office o f Superintendent of Documents— For furniture and fixtures, typewriters, carpets, labor-saving machines and accessories, time stamps, adding and numbering machines, awnings, cur tains, books of reference (subscriptions to which may be paid in advance); directories, books, miscellaneous office and desk supplies, paper, twine, glue, envelopes, postage, car fare, soap, towels, disinfectants, and ice; drayage, express, freight, telephone and telegraph service; traveling ex penses (not to exceed $200); repairs to building, elevators, and machinery; preserving sanitary condition of building, light, heat, and power; stationery and office printing, including blanks, price lists, and bibliographies, $85,000; for catalogues and indexes, not exceeding [$2 5,00 0] $76,000; for supplying books to depository libraries, $85,000; in all, [$195,000] $246,000: Provided, That no part of this sum shall be used to Bupply to depository libraries any documents, books, or other printed matter not requested by such libraries ( U. S. C., title 44t sec. 73; act Feb. 88, 1989, vol. 45, p. 1401)------------------------ ----------------------------------------------------------------N ote .—Increase for 1931, $51,000, necessary to print the document catalogues required by law. Congress has appropriated for additional cataloguers, and their work most be printed in order to comply with intent of Congress. $246, 000. 00 $195, 000. 00 31 LEGISLATIVE ESTABLISHMENT Estimates of appropriations required for the service of the fiscal year ending June 30, 1931— Continued amount to be ap Amount appropriated for General object (title of appropriation), date of acts, references to United States Code or Statutes at Large, and estimated Total propriated under each the fiscal year ending amount required for each detailed object head of appropriation June 30,1930 General Expenses, Office of Superintendent of Documents— Continued. Estimated expenditures, 1931 appro priation Estimated expenditures, 1930 appro priation Expended and obligated, 1929 Supplies and materials: 0201 Stationery, including wrapping paper, en velopes, strawboard, etc............................. 0202 Sundry office supplies................................... 0220 Scientific and educational supplies________ $42,000 9,000 $42,000 9,000 20 $40,112 7,368 Total supplies and materials.................................. 51,020 51,020 47,486 Communication service (telephone and telegraph). Traveling expenses.................................................. Transportation of things (service).......................... Printing and binding.............................................. Heat, light, and power............................................ Repairs and alterations........................................... 13 Special and miscellaneous current expenses.......... Equipment............................................................. 280 200 2,000 167,000 4.000 7.000 9,500 5.000 200 2,000 113,000 4.000 7.000 9,500 5.000 1,753 113,000 2,973 3,270 8,821 2,352 192,000 179,859 7,141 Unobligated balance. Reserve.................... "'3 ,‘ 666‘ 246,000 Total. 195,000 204 187,000 In order to keep the expenditures for printing and binding for the fiscal year [1 9 3 0 ] 1981 within or under the appropriations for such fiscal year, the heads of the various executive departments and independent estab lishments are authorized to discontinue the printing of annual or special reports under their respective jurisdictions: Provided, That where the printing of such reports is discontinued, the original copy thereof shall be kept on file in the offices of the heads of the respective departments or independent establishments for public inspection. Purchases may be made from the foregoing appropriations under the “ G ov ernment Printing Office,” as provided for in the printing act approved January 12, 1895, and without reference to section 4 of the act approved June 17, 1910 (U. S. C., [p . 1309,] title 41 1 sec. 7), concerning purchases for executive departments (act Feb. 28, 1929, vol. 4&, P- 1402), Total under Government Printing Office________________ _______ $3, 270, 000. 00 $3, 419, 000. 00 Total, Legislative Establishment. 28, 345, 066. 98 18, 866, 445. 00 Sec . 2. No part of the funds herein appropriated shall be used for the maintenance or care of private vehicles. Sec. 3. In expending appropriations or portions of appropriations, contained in this act, for the payment for personal services in the Dis trict of Columbia in accordance with the Classification Act of 1923, as amended (U. S. C., [p p . 65 -7 1 ,] title 5, secs. 661-673; [4 5 Stat., pp. 776-785] U. S. C., Supp. I l l , title 6, sec. 678), the average of the sala ries of the total number of persons under any grade in the Botanic Gar den, the Library of Congress, or the Government Printing Office, shall not at any time exceed the average of the compensation rates specified for the grade by such act, as amended, and in grades in which only one position is allocated the salary of such position shall not exceed the aver age of the compensation rates for the grade, except that in unusually meritorious cases of one position in a grade advances may be made to rates higher than the average of the compensation rates of the grade, but not more often than once in any fiscal year, and then only to the next higher rate: Provided, That this restriction shall not apply (1) to grades 1 2, 3, and 4 of the clerical-mechanical service, (2) to require the reduction in salary o f any person whose compensation was fixed as of July 1, 1924, in accordance with the rules of section 6 of such act, (3) to require the reduction in salary of any person who is transferred from one position to another position in the same or different grade in the same or a different bureau, office, or other appropriation unit, or (4) to prevent the payment of a salary under any grade at a rate higher than the maximum rate of the grade when such higher rate is permitted by the Classification Act of 1923, as amended, and is specifically authorized b y other law. ESTIMATES OF APPROPRIATIONS REQUIRED FOR THE SERVICE OF THE FISCAL YEAR ENDING JUNE 30, 1931 General object (title of appropriation), date of acts, references to United States Code or Statutes at Large, and estimated amount required for each detailed object Total amount to be ap Amount appropriated for the fiscal year ending propriated under each head of appropriation June 30, 1930 C H A P T E R I I .- - E X E C U T I V E O F F I C E A N D I N D E P E N D E N T E S T A B L I S H M ENTS E X E C U T IV E OFFICE TH E PR E SID E N T Salary of the President— For compensation of the President of the United States (U. S. C., title 3, sec. 42: act Feb. 20, 1929, vol. 45, p. 1230) TH E VIC E O FFICE OF TH E i Estimated i expenditures, 1931 approi priation Estimated expenditures, 1930 appro priation Departmental service: Salaries— i Average— Clerical, administrative, and fiscal service— Average— Grade 16, in excess of $9,000— Salary No. i No. Salary Secretary____ ________________ ____ _____ _ $10,000 3 $10,000 3 ! Grade 14, $6,500 to $7,500; average, $7,000— Executive officer....................... ... . .......... . 2 7,000 2 7,000 1 Grade 13, $5,600 to $6,400; average, $6,000Chief administrative officer— .................. ..... 1 1 5, COO 5,600 1 Grade 11, $3,800 to $4,400; average, $4,1004,000 1 4,000 Senior administrative officer.................... . . 1 1 Grade 10, $3,500 to $4,000; average, $3,750— 4.000 1 Senior administrative officer.............................. 1 3,900 Grade 9, $3,200 to $3,700; average, $3,450— 3,333 3 3, 267 Administrative officer............ ......................... 3 Grade 8. $2,900 to $3,400; average, $3,ISO2 3,050 Administrative assistant____________________ 1 6 3,050 Grade 7, $2,600 to $3,100; average, $2,850— ; 7 2.788 2,829 Junior administrative assistant________ ____ _ ! 5 Grade 6, $2,300 to $2,800; average, $2,5502.533 ' 4 2,475 Principal clerk... . . . ____________________ * 3 Grade 5, $2,000 to $2,500; average, $2,200Clerk ------------------------------------------------------2,000 I 1 2,300 Grade 4, $1,800 to $2,100; average, $1,950Clerk_______ _____________________________ 1,920 2 1 1,890 Grade 3, $1,620 to $1,920; average, $1,770Assistant clerk.. ........ . . . . ______ _____ ! i 1,800 1,800 I Custodial service— Grade 6, $1,680 to $1,980; average, $1,8301,800 Supervisor............ ....... ................ ......... . . . . . 1 1, 740 i Grade 5, $1,500 to $1,800; average, $1,6501,560 Messenger and doorkeeper_______ __________ ._ 2 2 1,500 Grade 4, $1,320 to $1 620; average, $1,470— Messenger...................................... ................. ....... 3 1,420 3 1,360 Grade 3, $1,200 to $1,500; average, $1,350Messenger ............................... ...... . ... ____ ... 1,380 I 1 1,320 Grade 2, $1,080 to $1,380; average, $1,230Laborer____ ___ ____ _________________________ 2 1,200 ' 2 1,200 126.120 126,120 Total. 6*2331—29- 15, 000. 00 15, 000. 00 126, 120. 00 123, 520. 00 PR E SID E N T Salaries, Executive Office— Salaries: For secretary to the President, $10,000; two additional secretaries to the President, at $10,000 each; personal services in the office of the President, [$93,520] $96,120) in all, [$123,520] $126,120 {U. S. C., title 3, sec. 45; act Feb. 20, 1929, vol. 45, p. 1230) Provided, That employees of the executive departments and other estab lishments of the executive branch of the Government may be detailed from time to time to the office of the President of the United States for such temporary assistance as may be deemed necessary. 37 $75, 000. 00 PR E SID E N T Salary of the Vice President— For compensation of the Vice President of the United States (U. S. C., title 3, sec. 44i ad Feb. 20, 1929, vol. 45, p> Total average number of emplovees____________ 01 Total salaries, departmental service____________ The difference between 1931 and 1930 is due to increase in salaries, $2,600. Unobligated balance......... $75, 000. 00 37 123,520 Expended and obligated, 1929 Average— No. Salary 1 $10,000 2 7,000 1 5,600 1 3,800 4 3,250 2 2,950 7 2,771 3.3 2,425 1 2.200 3 1,900 1 1,800 1 1,740 1.9 1,500 3 1.360 1 1,320 2 1.140 35.2 101.020 123,520 £3 , 34 THE BUDGET, 1931 Estimates of appropriation