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OCR Page 1 of 3DIARY
Book 50
Budget for June 30, 1938,
prepared in December, 1936
Book Page
Budget, fiscal year ending 6/30/38:
Draft 1 of Budget Message for FDR
L
1
# 2 11
If
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If
28
# 3 If
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If If
45
First printer's proof of FDR's Budget Message
78
Second If
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90
Statement by the President on the Summation of
the 1937 Budget, released 9/2/36
123
Budget Message and Summary Budget Statements . -
6/30/38
139
Budget - 6/30/38
140
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1
December 30, 1936
Attached is first draft of Budget Message for the
President.
2
First draft
12/30/36
BUDGET MESSAGE OF THE PRESIDENT
To the Congress of the United States:
Pursuant to provisions of law I transmit herewith the
Budget of the United States Government for the fiscal year
ending June 30, 1938, together with this message, which is
definitely a part thereof. The estimates have been developed
after careful analysis of the revenues, obligations, and
reasonable needs of the Government, and I recommend appropria-
tions for the purposes specifically detailed in the tables
which follow.
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3
-2-
PART I
This is the fourth samual Budget which I have transmitted
to the Congress. While the Budget covering the fiscel year
1934 had already been presented to the Congress and to a large
extent acted upon when this Administration came into office, it
was necessary to request the Congress to make substantial changes
in that Budget. It would appear appropriate, therefore, to
present a fiscal resume of the preceding four-year period July 1,
1933, to June 30, 1937.
The combined net deficits for the four years will on
June 30, 1937, amount to $
resulting in an 10-
crease in the gross public debt of the United States by this
amount.
The gross public debt on June 30, 1933, amounted to
$
and on June 30, 1937, it is estimated that
it will be €
, an increase of $
The programs insugurated to combat the depression have cost large
suss of money but the benefits which we have obtained from these
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4
programs will in ay opinion far outweigh all their costs. The
time will soon be here when we can reap the full benefits of those
programs and can have at the same time a balanced Budget that will
include a substantial sum for the retirement of the public debt.
The fiscal plans of the Federal Government for these four
years have been formulated, therefore, with two objectives in
mind; first, to provide the means whereby this Nation might rise
from the depths into which the depression had plunged it, and
second, to reach as soon as practicable e stabilized program of
expenditures within the limitation of receipts, including an amount
sufficient to amortize the cost of recovery.
Our first purpose was to restore the business and industrial
life of the country, to provide employment and increase purchasing
power for the people, to stimulate a balanced use of the productive
espacity of the Nation, and so to increase and distribute the national
income as to bring a healthy prosperity to all.
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5
That this purpose is being translated into accomplishment
is attested by the fact that business conditions have shown each
year since 1933 a marked improvement over the proceding year.
Employment in private industry is increasing steadily. Industrial
production, factory payrolls, and form prices have all risen to
gratifyingly higher levels.
These gains will make it possible to reduce those expenditures
of the Federal Government which the business depression made neces-
sary. Even though ne must continue to spend substantial sums
to take care of those whom industry has not yet absorbed, the 1938
Budget is in balance, except for debt retirement. Mor is there
expected to be in that year any increase in the public debt. The
attainment of our second objective, o completely balanced Budget
with expenditures well within receipts, and with & net reduction in
the public debt, constitutes our program for the fiscal year 1939.
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6
No are not only working our way back to 4 balenced Budget
but we are gaining permanent benefits for the American people.
The economic protection of the aged is boing secured through the
operations of the Social Security Act. The ability of the farmer
to obtain an adequate livelihood has been greatly enhanced by
the enactment of legislation especially designed for that purpose.
The home owner is greatly benefited through the financing of nortgages
at reasonable rates of interest. Investors in securities are given
& large seasure of protection by the Securities end Exchange Act.
Industry has been aided to secure the funds necessary for additional
plant construction and rehabilitation. The rights of labor have
been protected through the National Lebor Relations Act.
All this has been done without impairment of the credit of
the Government. Quotations for Government securities bear witness
to the eagerness with which they are sought and the confidence with
which they are held. The interest rate on long-term securities,
except those which had the circulation privilege, in at the lowest
point in the history of the country.
What we hope to accomplish in the future is predicated on a
sound fiscal policy.
The fiscel year 1938 will see these increased benefits of
permanent character established without additions to the public
debt.
Increased revenue growing out of an enhanced national
income will carry the cost. And in the fiscal year 1939 and those
immediately following it, the excess of receipts over expenditures
can be applied to the speedy retirement of the public debt. This
policy requires, however, the full cooperation between the Executive
Branch and the Congress. Expenditures must be planned with & view
to the national needs. The studies now being conducted can and
should result in the eligination of waste and duplication and in a
more effective and more economical governmental organization. In
our efforts to achieve further economy the first essential is careful
planning before the adeption of 4a program to authorise the expenditure
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8
-7-
of Government funds. In the past it has too often been considered
that governmental economy can be accomplished only through - redue-
tion in salaries or 8 decrease in personnel. While some money
can be saved by these methods, larger savings and greater economy
can be accomplished by adhering to 41 policy of authorising no
expansion of Government activities unless the necessary funds are
available and the need for such expansion has been definitely
determined. A surplus of Income over expenditures should not
invite an increase in the cost of Government, but should present,
Instead, an opportunity to amortize past costs.
The deficit for the current fiscal year, excluding debt
retirement, will be $2,248,000,000. For the fiscal year 1938 the
estimates submitted herewith, excluding debt retirement and with no
provision for new appropriations for recovery and relief, will show
a surplus of $1,406,000,000.
I plan to submit at a later date estimates for appropriations
for additional relief for the fiscal year 1938, but I do not
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9
anticipate that the amount of such estimates will exceed this
surplus. He can thus provide for all governmental needs, includ-
ing relief, without any increase in the public debt during the
fiscal year 1938.
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PART II
RECOMMENDATIONS
Expenses of Emergency Agencies
There is included in the 1938 Budget, pursuant to the
direction of the last session of Congress, estimates of approprie-
tions for the administrative expenses of certain emergency agencies
and corporations. Such of the energency agencies and corporations
as may be continued by Congress upon a more or less permanent
basis should have all of their expenditure requirements made
subject to the same scrutiny that is given by the Bureau of the
Budget to the expenditure requirements of the regular departments
and establishments; and I recommend that a provision to that
effect be included in any future legislation for the continuance of
any such agency or corporation.
Reneal of Amendment to Agricultural Adjustment Act
In By 1937 Budget message I recommended the repeal of legis-
lation enacted during the first session of the Seventy-fourth
Congress which amended the Agricultural Adjustment Act so as to
appropriate annually a sum equal to 30 percent of customs receipts
for use by the Secretary of Agriculture for the purpose of
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11
encouraging the exportation and also the domestic consumption of
agricultural commodities. I renew this recommendation and strongly
urge that it receive the serious consideration of Congress.
By appropristing directly instead of authorising an appropria-
tion the amendment denies to the President the opportunity to consider
the need and include appropriate estimates in the Budgets and it
denies to the Congress the opportunity to review such estimates in
their relation to the whole program of the Government. The anend-
ment violates the principles of the Permanent Appropriation Repeal
Act of 1934, and of the Budget and Accounting Act of June 10, 1921.
It is in conflict with sound administration in that it provides in
advance for large annual appropriations without any attempt to 00->
ordinate income and expense. The appropriations thus provided amounted
to $92,111,741.47 for the fiscal year 1936, and are estimated at
$109,139,621.04 for the fiscal year 1937, and $120,000,000 for the
fiscal year 1938.
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Postal Receipts
The estimate of appropriations payable from postal revenues
included in the 1938 Budget is predicated upon the continuance during
that fiscal year of the three-cent postage rate for non-local
delivery of first-class mail. It should be the definite policy
of the Government to operate the postal service out of postal
receipts, and a continuation of the present rate will be necessary
for the accomplishment of this purpose.
Tennorary Miscellaneous Internal-Revenue Taxes
I recommend that the Congress take steps by suitable legisla-
tion to extend the miscellaneous internal-revenue taxes which under
existing law will expire next June or July, and also to maintain the
current rates of these taxes which would otherwise be reduced
next June. I consider that such taxes are necessary to the
financing of the Budget for 1938.
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13
PART III
Review of the Fiscal Years 1936 and 1937. and the
Viscal Program for 1938.
This review concerns itself with the cash actually received
and paid out by the Treasury in the fiscal year 1936, with the
estimates of receipts and expenditures for the fiscal year 1937,
and with the fiscal progrems for 1938.
Fiscal Year 1936
Receipts-Treasury receipts for the year ended June 30, 1936,
amounted to $4,115,956,615.13, about $295,000,000 less than 68⑉
timated a year ago. As a result of Supreme Court decisions doclar-
ing the Agricultural Adjustment and the Bituminous Coal Acts un-
constitutional, the Government lost about $457,000,000 in revenue
from taxes levied by these Acts. Had it not been for the invalid-
ation of these taxes the total revenues received during the fiscal
year 1936 would have exceeded the revenue estimates of a year ago
by $162,000,000.
The collection of taxes on carriers and their employees,
estimated at $33,000,000, has been deferred to the fiscal year
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14
1937 because of pending litigation. The receipts from income
taxes were also about $7,500,000 less than last year's ostimate.
On the other hand, miscellaneous internal revenue taxes
produced $136,500,000 more then was anticipateds customs revenue
yielded $33,000,000 more than the estimate, miscellaneous receipts
more than $32,000,000, and realisation of assets produced $1,500,000
nore.
Expenditures-The total expenditures for the fiscal year ended
June 30, 1936, amounted to $8,879,798,257.61, as compared with the
estimate of $7,645,301,338 shown in the 1937 Budget. This latter
amount did not, however, include ¥1,674,000,000 for adjusted cos-
pennation payments. The expenditures for the year, excluding ad-
justed compensation payments, were about $439,000,000 less than
the estimate.
The total expenditures for recovery and relief were
$2,776,796,468 egainst an estimate of $2,869,068,187. For the
operation and maintenance of the regular departments and estab-
lishments of the Government the expenditures amounted to
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15
$3,276,000,000 as compared with estimates of $3,482,000,000. For
statutory debt retirement there was expended $403,240,150, and for
interest on the public debt $749,396,802, the amounts budgeted
for these items being $552,025,000 and $742,000,000, respectively.
Deficit and Public Debt-The deficit for the year amounted
to $4,763,841,642. Excluding $403,240,150 for statutory debt
retirement, there was & net deficit of $4,360,601,492. The
ostimated net deficit as contained in the 1937 Budget was
$2,682,482,392, a difference of $1,678,000,000. As previously
indicated, the original estimate has been affected to the extent
of $457,000,000 as a. result of the invalidation of taxes levied
under the Agricultural Adjustment and Bituminous Coal Acts and by
the additional expenditure of $1,674,000,000 under the Adjusted
Compensation Act. After eliminating the increase in the deficit
due to these causes the net deficit for the year would have been
about $440,000,000 less than that originally estimated.
Uclassified
16
The increase in the public debt during the year amounted to
$5,077,650,869. This sus included an increase of the balance
in the general fund of the Treasury of $340,164,664. The gross
public debt on June 30, 1936, was ¥33,778,543,494.
Fiscal Year 1937
Receipts-The income of the Federal Government during the
fiscal year 1937 will increase sharply over that of 1936. It is
expected that the total revenue from all sources will amount to
$5,828,000,000. This represents an increase of $1,700,000,000
over the actual receipts for the fiscal year 1936 and an increase
of $174,000,000 over the estimates contained in the 1937 Budget.
The general improvement in business conditions and the ensot-
ment of the Revenue Act of 1936 have resulted in additional taxes
which will not only make up the loss in revenue due to the Suprese
Court decisions invalidating the taxes levied under the Agricultural
Adjustment and the Bituminous Coal Acts, but will produce additional
revenue of approximately $174,000,000.
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17
-5-
Since the Revenue Act of 1936 materially changes the tax
structure, the individual items of revenue as contained in the
1937 Budget will not be exactly comperable with the individual
itoms in the 1938 Budget.
Income taxes are expected to yield $2,372,900,000, or
$945,000,000 more than was received from this source last year;
miscellaneous internal revenue $2,274,968,000, an increase of
$265,000,000; customs duties $446,800,000, an increase of
$60,000,000, and realization on assete $32,500,000, an increase
of $26,000,000. In addition, 1t is expected that the new tax on
unjust enrichmend provided by the Revenue Act of 1936 will amount
to $82,000,000 and that the tax on carriers and their employees will
be $134,500,000. The collection of taxes lovied under the Secial
Security Act will begin in the last half of the fiscal year 1937
and it is expected that these taxes will produce additional
revenue in the amount of $325,000,000.
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18
The only item of revenue showing any decrease is that of
miscellaneous receipts, in the amount of $50,000,000, which is
due to reductions in interest payments made to the Treasury by
the Reconstruction Finance Corporation.
Excenditures-Froe present indications expenditures for the
fiscal year 1937 will amount to 88,481,000,000. Exclusive of
statutory debt retirement the total expenditures will amount to
$8,076,404,500. The amount of the 1937 expenditures includes
$560,000,000 for adjusted compensation payments, whereae the
1936 figure included $1,564,000,000 for this purpose. Exclud-
ing from each's expenditures these items of debt retirement end
adjusted compensation payments, the increase in the estimated
expenditures for 1937 over the actual expenditures for 1936 will
amount to $709,000,000.
This amount is made up of increases of $370,000,000 on socount
of the Social Security set, $85,000,000 on account of interest on
the public debt, and $194,000,000 for the general public works
Regraded Uclassified
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19
program, $124,000,000 for national defense, and $223,000,000 for
other purposes; and decreases of $94,000,000 for the Veterans'
Administration, $75,000,000 for the Agricultural Adjustment
program, and $118,000,000 for the Civilian Conservation Corps.
The amount of the recovery and relief expenditures has been
estimated at $2,166,000,000, but there is included in the supple-
mental items $650,000,000 for the purpose of carrying the Works
Program Administration and related progress from February 1 to
June 30, 1937. This will increase the estimated expenditure for
recovery and relief to $2,816,000,000, an increase of $40,000,000
over 1936.
Deficit and Public Debt-The current estimates for the year
1937 show & gross deficit of $2,700,000,000. Deducting public
debt retirements, the net deficit will be $2,000,000,000.
The increase in the public debt, however, will be only
$1,000,000,000 since it is anticipated that $1,000,000,000 of the
deficit will be financed from cash on hand, thus reducing the
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working balance to an amount sufficient for operations having in
mind the revenue increases which will result during the latter
half of the fiscal year 1937 and during 1938.
The estimated debt at the and of the fiscal year is based on
contemplated expenditures set out in this Budget and does not take
into account any increase which might occur as a result of Treasury
policy in holding &S "inactive" all future amquisitions of gold.
Fiscal Program of 1938
The increase in revenue and the decrease in expenditures for
relief both reflect the general improvement which has teken place
in the business of the country. The Revenue Act of 1936, which was
designed for the purpose of replacing revenue lost through the in-
validation of processing taxes, of providing sufficient revenue to
amortise the cost of the adjusted compensation payment, and of equal-
ising tax burdens, gives every indication of satisfactorily accomplish-
ing those purposes. while relief expenditures will decline the normal
growth of the country naturally reflects itself in increased operating
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21
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costs of the Government. The greatly expanded plant of the Federal
Government and new functions and duties now being performed by it
probably will not permit any return to pre-depression level of
governmental expenditures.
Congress passed legislation during the last session which,
exclusive of the Soil Conservation and Domestic Allotment Act,
creates authorizations for future appropriations aggregating more
than $1,500,000,000, of which about $130,000,000 is included in the
estimates of appropriations contained in this Budget.
The
principal authorizations are contained in the new Federal Highway
Act, the Rivers and Harbors and the Flood Control Acts, and the
Rural Electrification Act.
There is included in the 1938 Budget $800,000,000 for Social
Security grents and for the Government's contribution to the Old
Age Reserve Account, more than double the expenditures for these
purposes in 1937; and there will be for several years still further
increases in these requirements.
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22
No estimate is presented for the needs of the Civilian Code
servation Corps since its extension beyond March 32 of this year
is dependent on the action of Congress. In view of the widespread
sentiment for the continuation of the activities of the Corps, I as
recommending the enactment of legislation to continue it as a
permanent agency of the Government, and there is included in the
supplemental items an amount sufficient to meet the expenditume
requirements for the fiscal year 1938.
The following table gives a clear picture of the main figures
proposed in this Budget and shown how they compare with similar
figures for previous years.
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With reference to the comparisons set forth in the above table,
the following comment is partinunt.
Receipts
Receipts in 1938 are expected to reach a total of 87,293,607,197,
an increase of 81,465,456,478 over similar receipts for 1937 and
$3,177,650,582 over 1936. This gain is largely due to an increase
in income taxes 48 a result of improved business conditions and the
operation of the Revenue Act of 1936. The amount expected to be
collected in 1938 from this source is $3,365,300,000, a gain of
$992,400,000 over the fiscal year 1937. Miscellaneous internal
revenue will produce $2,508,332,000, or $233,364,000 more than is
expected from this source for 1937. The tax on unjust enrichment
and the taxes on carriers and their employees from which $82,000,000
and $134,552,000. respectively, will be derived in 1937, will produce
no revenue in 1938, since under existing law these taxes expire during
1937. The first full year of tax collections under the Social Security
Act will result in revenue of $774,800,000 in 1938, which am is
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24
1450,200,000 greater than the anticipated revenue in 1937. In the
latter year, of course, the taxes will be based on one-half year's
collections only. It is believed that customs revenues will rise
from $446,800,000 during the present fiscal year to $463,000,000 in
1936, a gain of $16,200,000. Miscullaneous receipts, however, will
decrease $8,949,956. the 1938 collections being ostimated at
$151,550,529 as compared with $160,500,485 during 1937. From realiza-
tion on assets $30,624,668 will be received, while in 1937 receipts
from this source will amount to $31,830,234.
Expenditures
The expenditures for 1938 contemplated under this Budget will
total $6,208,541,254, or approximately $2,272,000,000 less than is now
estimated for 1937. In the two major categories of expenditure,
namely, regular and recovery and relief, allowances for regular
activities amount to $5,892,510,341 as compared with 45,665,588,893
in 1937, an increase of $227,000,000. The 1937 estimate, however,
contains an amount of $563,500,000 for completion of adjusted
compensation payments to veterans, so that the comparable increase
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over 1937 is $790,000,000. For recovery and relief the amount
required in 1938 is $316,030,913, or $2,500,206,187 less than the
expenditures estimated for that purpose during the fiscal year
/
1937. The 1938 estimate of expenditures does not include the ad-
ditional amount that will be required for relief during that year.
Às previously indiested, it is not expected that the amount to be
requested for this purpose will exceed $1,486,000,000.
Among the regular expenditures there is included $860,000,000
for interest on the public debt, an increase of $25,000,000 over the
amount for the present fiscal year, and $401,515,000 for statutory
debt retirements, a decrease of $3,010,000. Exclusive of the
service on the public debt and the payment of adjusted compensation
to veterans, there is & net increase in expenditures for regular
activities of $769,000,000 as compared with 1937. The sajor part
of this increase is accounted for as follows: (a) For increased
requirements under the Social Security Act $436,000,000, (b) for
additional expenditures under the general public works program
$133,000,000, (o) for national defense to provide for the
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26
increased strength of the Army as directed by Congress and to
provide for replacement of navel vessels in accordance with
existing authorizations $93,000,000, (d) for the necessary funds
for the activities of the Bailroad Retirement Board and for
rural electrification $63,000,000, and (e) for increased needs
of other activities $44,000,000.
Surplus and Public Dobt
The net surplus for the fiscal year 1938, exclusive of
statutory debt retirements, will amount to $1,486,000,000. As
has been previously stated, the additional needs for relief
during the fiscal year 1938 will probably not require expenditure
of more than this amount. The estimated gross public debt,
therefore, on June 30, 1938, will be $35,000,000,000, the came
amount as at the close of the fiscal year 1937.
Acaropriations
The total appropriations recommended in this Budget aggregate
$6,850,000,000, including probable supplemental items estimated at
$500,000,000, while the appropriations already made and prospective
empplemental items for the fiscal year 1937, exclusive of
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27
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requirements for recovery and relief, total $6,260,000,000, an
increase for 1538 of $620,000,000. This increase is due to
additional appropriations amounting to (1) $307,000,000 on
account of the Social Security Act, (2) $80,000,000 required
under the general public works program, and (3) $213,000,000
on account of departmental requirements including the national
defense.
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28
December 31, 1936
Attached is second draft of the President's Budget
Message. It is incomplete in Part III as pages from
Draft II were used without recopying.
Iclassifie
29
Second Draft
Dec. 31, 1936.
BUDGET MESSAGE OF THE PRESIDENT
To the Congress of the United States:
Pursuant to provisions of law I trensmit herewith
the Budget of the United States Government for the fiscal
year ending June 30, 1938, together with this nessage,
which is definitely 4 part thereof. The estimates have
been developed after careful analysis of the revenues,
obligations, and reasonable needs of the Government, and
I recommend appropriations for the purposes specifically
detailed in the tables which follow.
Regraded Uclassified
30
+
PART I
The programs inaugurated during the last four
years to combat the depression have, it is true, cost
large sums of money, but the benefits which we have
obtained from them will, in my opinion, far outweigh
all their costs. The time will soon be here when vo
can reap the full benefits of those progrems and can
have at the same time a balanced Budget that will
include provision for the retirement of the public
debt.
The fiscal plans of the Federal Government for
these four years have been formulated, therefore,
with two objectives in mind. Our first purpose
was to restore the business and industrial life of
the country, to provide employment and increase pur-
chasing power for the people, to stimulate a balanced
lii
31
-3-
use of the productive capacity of the Nation, and
80 to increase and distribute the national income
as to bring a healthy prosperity to all.
That this purpose is being translated into ac-
complishment is attested by the fact that business
conditions have shown each year since 1933 & marked
improvement over the preceding year. Employment in
private industry is increasing steadily. Industrial
production, factory payrolls, and form prices are
all rising to gratifyingly higher levels.
These gains will make it possible to reduce for
the fiscal year 1938 those expenditures of the
Federal Government which the business depression
made necessary. Even though we must continue to
spend substantial sums to take care of those whom
industry has not yet absorbed, the 1938 Budget,
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32
including estimated expenditures of approximately
$1,800,000,000 for recovery and relief, is in
balance, except for debt reduction. With continued
improvement in business conditions we should be able
to attain in 1939 our second objective, a completely
balanced Budget, with expenditures well within receipts
and with a net reduction in the public debt.
No will not only achieve a balanced Budget but
TO will guin new advantages of permanent value to the
American people. The economic protection of the aged
is being secured through the operations of the Social
Security Act. The ability of the farmer to obtain an
adequate livelihood has been greatly enhanced by the
emastment of legislation especially designed for that
purpose. The home owner is greatly benefited through
the financing of nortgages at reasonable rates of
Regraded Uclassified
33
-5-
interest. Investors in securities are being given
a larger measure of protection by the Securities and
Exchange Act. Industry has been aided to obtain
the funds necessary for additional plant construction
and rehabilitation. The rights of labor are being
materially advanced through operation of the National
Labor Relations Act.
All this has been done without impairment of the
national credit. Quotations for Government securities
bear witness to the eagerness with which they are
sought and the confidence with which they are held.
The interest rate on long-term securities, except
those which had the circulation privilege, is at the
lowest point in the history of our country.
Dearaded
34
-6-
For the fiscal year 1938 the estimates submitted
herewith, excluding debt retirement and with no pro-
vision for new appropriations for recovery and relief,
will show a surplus of $1,486,000,000. I plan to
submit at & later date estimates for appropriations
for additional relief for the fiscal year 1938, and
I hope that the amount of such estimates will not
exceed this surplus. If this can be accomplished
we would thus provide for all governmental needs,
including relief, without any increase in the public
debt during the fiscal year 1938.
To continue the gains thus made and to accomplish
in 1939 our purpose of a complete balance between ex-
penditures and receipts,we sust begin now to lay the
groundwork of our future fiscal policy. Expenditures
must be planned with & view to the national needs and
Regraded Uclassified
35
+
no expansion of Government activities should be au-
thorised unless the necessity for such expansion has
been definitely determined and the funds are avail-
able to defray the cost. The success of such a
policy can only be assured through the full coopers-
tion of the Executive Branch and the Congress.
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36
PART II
RECOMMENDATIONS
Temporary Mistellaneous Internal-Revenue Taxes
I recommend that the Congress take steps by suit-
able legislation to extend the missellaneous internal-
revenue taxes which under existing law will expire
next June or July, and also to maintain the current
rates of these taxes which would otherwise be reduced
next June. I consider that such texes are necessary
to the financing of the Budget for 1938.
Postal Receipts
The ostimate of appropriations payable from postal
revenues included in the 1938 Budget is predicated upon
the continuance during that fiscal year of the three-cent
pestage rate for non-local delivery of first-class mail.
It should be the definite policy of the Government to
operate the postal service out of postal receipts, and
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37
+
a continuation of the present rate will be necessary
for the accomplishment of this purpose.
Civilian Conservation Corps
The work of the Civilien Conservation Corps has
net with general public approval, and should be continued.
I intend, shortly, to submit a supplemental estimate of
appropriation to carry the Corps from March 31, 1937,
to the end of the current fiscal year; and I strongly
recommend that Congress provide during its present
session the necessary logislation to establish the Corps
as a permanent agency of the Government.
Expenses of Emergency Agencies
There are included in the 1938 Budget, pursuant to
the direction of Congress at its last session estimates
of appropriations for the administrative expenses of
certain emergency agencies and corporations. Such of
the emergency agencies and corporations as may be
Regraded Uclassified
-3-
38
continued by Congress upon a more or less permanent
basis should have all of their expenditure requirements
made subject to the same scrutiny that is given by the
Bureau of the Budget to the expenditure requirements of
the regular departments and establishments; and I recom-
mend that & provision to that effect be included in any
future legislation for the continuance of any such
agency or corporation.
Repeal of Amendment to Asricultural Adjustment Act
In my 1937 Budget assage I recommended for the
reasons therein set forth the repeal of legislation
enacted during the first session of the Seventy-fourth
Congress which amended the Agricultural Adjustment Act
so as to appropriate annually a sum equal to 30 percent
of customs receipts for use by the Secretary of Agriculture
for the purpose of encouraging the exportation and also
39
the domestic consumption of agricultural commodities.
I renew this recommendation and strongly urge that it
receive the serious consideration of Congress.
Regraded Uclassified
40
=6=
The only item of revenue showing any decrease is that of
miscellaneous receipts, in the amount of $50,000,000, which is
due to reductions in interest payments made to the Treasury by
the Reconstruction Finance Corporation.
Excenditures-From present indications expenditures for
the fiscal year 1937 will amount to $8,481,000,000. Exclusive
of statutory debt retirement and adjusted compensation payments,
the total expenditures will amount to $7,512,904,500, an increase
over comparable expenditures for 1936 of $709,000,000.
This amount is made up of increases of 8370,000,000 on
account of the Social Security Act, $85,000,000 on account of
interest on the public debt, xxx $194,000,000 for the general
public works progrem, $124,000,000 for national defense, and
$223,000,000 for other purposes; and decreases of $94,000,000
for the Veterans' Administration, $75,000,000 for the
Agricultural Adjustment program, and $118,000,000 for the
Civilian Conservation Corps.
Regraded Uclassified
41
+
The amount of the recovery and relief expenditures has been
estimated st $2,166,000,000, but there is included in the supple-
mental items $650,000,000 for the purpose of earrying the Works
Program Administration and related programs from February 1 to
June 30m 1937. This will increase the estimated expenditure
for recovery and relief to $2,816,000,000, an increase of
$40,000,000 over 1936 However, there is included in this
figure $
due to the widespread drought
conditions prevailing during last summer.
Deficit and Public Debt-The current estimates for the
year 1937 show a gross deficit of $2,652,000,000. Deducting
public debt retirements, the net deficit will be $2,248,000,000.
The increase in the public debt, however, will be only
$1,000,000,000 since it is anticipated that $1,000,000,000 of
the deficit will be financed from cash on hand, thus reducing the
Regraded Uclassifie
42
-1.3-
over 1937 is $790,000,000. For recevery and relief there is
included in the expenditures for 1938 the amount of
$316,030,913, or $2,500,206,187 less than the expenditures
estimated for that purpose during the fiscal year 1937.
The 1938 estimate of expenditures does not, however, include
the additional amount that will be required for relief during
that year. is previously indicated, it is hoped that the
amount to be requested for this purpose will not exceed
$1,486,000,000.
Among the regular expenditures there is included $860,000,000
for interest on the public debt, an increase of $25,000,000 over
the amount for the present fiscel year, and 1401,515,000 for
statutory debt retirements, a decrease of $3,010,000. Exclusive
of the service on the public debt and the payment of adjusted
compensation to veterans, there is a net increase in expenditures
for regular estivities of $769,000,000 as compared with 1937.
The major part of this increase is accounted for as follows:
Regraded Uclassifie
43
(a) For increased requirements under the Social Security Act
$436,000,000, (b) for additional expenditures under the general
public works progrem $133,000,000, (e) for national defense to
provide for the increased strength of the Army as directed by
Congress and to provide for replacement of naval vessels in so-
cordance with existing authorisations $93,000,000, (d) for the
necessary funds for the activities of the Railread Retirement
Board and for rural electrification $63,000,000, and (e) for
increased needs of other activities $44,000,000.
Surplus and Public Debt
The not surplus for the fiscal year 1938, exclusive of
statutory debt retirements, will amount to $1,486,000,000. As
has been previously stated, the additional needs for relief
during the fiscal year 1938 will probably not require expenditure
of more than this amount. The estimated gross public debt,
therefore, on June 30, 1938, will be $35,000,000,000, the name
amount as at the close of the fiscal year 1937. This does not
Regraded Uclassifiel
-15-
44
take into account any increase which sight occur as a result of
Treasury policy in holding as "inactive" all future acquisitions
of gold.
Appropriations
The total appropriations recommended in this Dudget aggregate
$6,800,000,000, including probable supplemental items estimated
at $500,000,000, while the appropriations already made and
prospective supplemental items for the fiscal year 1937, exclusive
of requirements for recovery and relief, total $6,260,000,000,
an increase for 1938 of $620,000,000. This increase is due to
additional appropriations amounting to (1) $307,000,000 on
account of the Social Security Act, (2) $80,000,000 required
under the general public works program, and (3) $213,000,000
on account of departmental requirements including the national
defense.
Regraded Uclassifiel
45
December 31, 1936
Attached is the third draft of the Budget Message
for the President. Note HM,Jr's own notations.
46
Third Draft
Dec. 31, 1936.
BUDGET MESSAGE OF THE PRESIDENT
To the Congress of the United States:
Pursuant to provisions of law I transmit herewith
the Budget of the United States Government for the fiscal
year ending June 30, 1938, together with this message,
which is a part thereof. The estimates have been
developed after careful analysis of the revenues, obliga-
tions, and reasonable needs of the Government, and I
recommend appropriations for the purposes specifically
detailed in the tables which follow.
Regraded Uclassified
-2-
47
PART I
The programs inaugurated during the last four
years to combat the depression have cost large sums of
money, but the benefits obtained from them will far
outweigh all their costs. The time will soon be here
when we can reap the full benefits of those programs
and can have at the same time a balanced Budget that will
include provision for the retirement of the public debt.
The fiscal plans of the Federal Government for
these four years have been formulated with two object-
ives in mind. Our first purpose was to restore a
successful economic life to the country, providing
greater employment and purchasing power for the people,
stimulating a more balanced use of our productive
capacity, increasing the national income and distribut-
ing it on a wider base of prosperity.
Regraded Uclassifie
48
-3-
Business conditions have shown each year since 1933
a marked improvement over the preceding year. Employment in
private industry is increasing steadily. Industrial pro-
duction, factory payrolls, and farm prices have risen.
These gains make it possible to reduce for the fiscal
year 1938 many expenditures of the Federal Government
which the general depression made necessary. In
though
we must continue to spend substantial suns to take care
of those whom industry has not yet absorbed, the 1938
Budget, even if there are included expenditures of
approximately $1,486,000,000 additional for recovery and
relief, is in balance, except for debt reduction.
at the present - rate
If improvement in economic conditions continues, we
should be able to attain in 1939 our second objective,
a completely balanced Budget, with expenditures well
within receipts and with a net reduction in the public debt.
Regraded Uclassifie
49
Such a result would not only achieve & balanced
?
Budget but would gain new advantages of permanent value
to the American people. Economic protection of the aged
is being secured through the operations of the Social
Security Act. Ability of the farmer to obtain an adequate
livelihood has been enhanced by the enactment of legisla-
tion especially designed for that purpose. The home
owner has been benefited through the financing of
mortgages at reasonable rates of interest. Investors
in securities are being given a larger seasure of
protection by the Securities and Exchange Act. The market
for corporate securities has been restored and industry
has been able to finance its long term requirements on
a favorable basis. The rights of labor are being
materially advanced through operation of the National
Labor Relations Act.
Regraded Uclassified
50
All this has been done without impairment of the
7
national credit. The soundness of Government securities
is unquestioned.
For the fiscal year 1938 the estimates submitted
***
herewith, excluding debt reduction and with no pro-
vision for new appropriations for recovery and relief,
will show B surplus of $1,486,000,000. I plan to submit
at a later date estimates for appropriations for addi-
tional relief for the fiscal year 1938, and I hope that
the amount of such estimates will not exceed this surplus. 1,486,000.00
wish
This hope is based on the assumption that industry will
cooperate in employing nen and women now on the relief
rolls even more greatly than it has during the past year.
Many of those in charge of industrial management have
?
fullfilled
understood their obligation to the nation. Many people
have been re-employed. Today, while it is true that in
Regraded Uclassifie
-6-
51
certain sections of the country certain types of skilled workers
are still seeking employment, it is nevertheless the fact
that the great majority of those now receiving work relief or
direct relief belong to the unskilled group. It is by con-
viction that if every employer or potential employer in the
United States realizing this fact will, during the next six
months, undertake to give employment to persons now receiving
government help, the national budget for the year beginning
next July can be kept definitely in balance. Without such
cooperation on the part of employers, the question of a
balanced budget must of necessity remain an open one, for
the very good reason that this government does not propose
next year, any more than during the past four years, to
allow American families to starve.
To continue the gaine we are making and to accomplish
in next year's budget our purpose of a complete balance
Regraded Uclassifie
52
-7-
between expenditures and receipts including debt reduction,
we must begin now to lay the groundwork of our future fiscal
policy. Expenditures must be planned with & view to the
national needs; and no expansion of Government activiti as
should be authorized unless the necessity for such expansion
has been definitely determined and the funds are available
to defray the bost. In other words. if new legislation
imposes any substantial increase in expenditures either
in the expansion of existing activities or the creation of
new activities, it becomes B. matter of sound policy simul-
taneously to provide new revenue sufficient to meet the
additional cost. The success of such a policy can be assured
only through the full and friendly cooperation of the Congress
and the Executive. I an confident that this will exist.
Regraded Uclassified
PART II
53
RECOMMENDATIONS
Temporary Miscellaneous Internal-Revenue Taxes-I recommend
that the Congress take steps by suitable legislation to extend
the miscellaneous internal-revenue taxes which under existing
law will expire next June or July, and also to maintain the cur-
rent rates of these taxes which would otherwise be reduced
next June. I consider that such taxes are necessary to the
financing of the Budget for 1938.
Postal Receipts-The estimate of appropriations payable
from postal revenues included in the 1958 Budget is predicated
upon the continuance during that fiscal year of the three-cent
postage rate for non-local delivery of first-class mail. It
should be the definite policy of the Government to operate
the postal service out of postal receipts, and a continuation
of the present rate will be necessary for the accomplishment
of this purpose. It is worth noting, of course, that while
the Government, without question, makes a profit on the carriage
-2-
54
of first-class mil, it is carrying other classes of mail at a
loss. (See table on page ).
Civilian Conservation Corps-The work of the Civilian Con-
servation Corps has net with general public approval, and should
be continued. I intend, shortly, to submit a supplemental estimate
of appropriation to carry the Corps from March 31, 1957, to the
end of the current fiscal year; and I strongly recommend that
Congress provide during its present session the necessary legis-
lation to establish the Corps as a permanent agency of the
Government.
Expenses of Emergency Agencies-There are included in the
1958 Budget, pursuant to the direction of Congress at its last
session estimates of appropriations for the administrative
expenses of certain emergency agencies and corporations. Such
of the emergency agencies and corporations as may be continued
by Congress should have all of their expenditure requirements
made subject to the same scrutiny that is given by the Bureau
Regraded Uclassified
-3-
55
of the Budget to the expenditure requirements of the regular
Departments and establishments; and I recommend that a provision
to that effect be included in any future legislation for the
continuance of any such agency or corporation.
Regraded Uclassified
56
PART III
REVIEW OF THE FISCAL YEARS 1956 AND 1957, AND THE
FISCAL PROGRAM FOR 1958.
This review concerns itself with the cash actually received
and paid out by the Treasury in the fiscal year 1956, with the
estimates of receipts and expenditures for the fiscal year 1957,
and with the fiscal program for 1938.
Fiscal Year 1936
Receipts-Treasury receipts for the year ended June 50, 1936,
amounted to $4,115,956,615.13, about $295,000,000 less than 08-
timated a year ago. As a result of Supreme Court decisions declar-
ing the Agricultural Adjustment and the Bituminous Coal Acts -
constitutional, the Government lost about $457,000,000 in revenue
from taxes levied by these Acts. Had it not been for the invalida-
tion of these taxes the total revenues received during the fiscal
year 1936 would have exceeded the revenue estimates of a year ago
by $162,000,000.
The collection of taxes on carriers and their employees,
estimated at $53,000,000, has been deferred to the fiscal year
Regraded Uclassified
-2-
57
1937 because of pending litigation. The receipts from income
taxes were also about $7,500,000 less than last year's estimate.
On the other hand, miscellaneous internal revenue taxes
produced $136,500,000 more than was anticipated; customs revenue
yielded $55,000,000 more than the estimate; miscellanebus receipts
more than $32,000,000, and realisation upon assets produced $1,500,000
more.
Expenditures-The total expenditures for the fiscal year ended
June 30, 1936, amounted to $8,879,798,257.61, as compared with the
estimate of $7,645,301,338 shown in the Budget submitted a year ago.
This latter amount did not, however, include $1,674,000,000 for ad-
justed compensation payments. The expenditures for the year, ex-
cluding adjusted compensation payments, were about $459,000,000
less than the estimate.
The total expenditures for recovery and relief were
$2,776,796,468 against an estimate of $2,869,068,187. For the
operation and maintenance of the regular departments and estab-
lishments of the Government the expenditures amounted to
Regraded Uclassifie
-3-
58
$5,276,000,000 as compared with estimates of $5,482,000,000. For
statutory debt retirement there was expended $403,240,150, and for
interest on the public debt $749,396,802, the amounts budgeted/for
these items being $552,025,000 and $742,000,000, respectively.
Deficit and Public Debt-The gross deficit for the year amounted
to $4,763,841,642. Excluding $403,240,150 for statutory debt
retirement, there was 8. net deficit of $4,360,601,492. The 08-
timated net deficit as contained in the Budget submitted a year
ago was $2,682,482,592, a difference of $1,678,000,000.
às
previously indicated, the original estimate has been affected to the
extent of $457,000,000 as a result of the invalidation of taxes
levied under the Agricultural Adjustment and Bituminous Coal Acts
and by the additional expenditure of $1,674,000,000 under the Ad-
justed Compensation Act. After eliminating the increase in the
deficit due to these causes the net deficit for the year 1936 would
have been about $440,000,000 less then that originally estimated.
Regraded Uclassifiel
59
+
The increase in the gross public debt during the year amounted
to $5,077,650,869, but this sun included an increase of the balance
in the general fund of the Treasury of $840,164,664. The gross
public debt on June 30, 1986, was $53,778,543,494.
Fiscal Year 1937
Receipts-The income of the Federal Government during the
fiscal year 1957 will increase sharply over that of 1936. It is
expected that the total revenue from all sources will amount to
$5,828,000,000. This represents an increase of $1,700,000,000
over the actual receipts for the fiscal year 1936 and en increase
of $174,000,000 over the estimates contained in the 1937 Budget
as submitted 8. year ago.
The general improvement in business conditions and the enact-
ment of the Revenue Act of 1936 have resulted in additional taxes
which will not only make up the loss in revenue due to the Supreme
Court decisions invalidating the taxes levied under the Agricultural
Adjustment and the Bituminous Coal Acts, but will produce additional
revenue of approximately $174,000,000.
Regraded Uclassified
60
-5-
Since the Revenue Act of 1938 materially changes the tax
structure, the individual items of revenue as contained in the
original 1937 Budget will not be exactly comparable with the
individual items in the 1937 Budget as revised in this message.
Income taxes are expected to yield $2,372,900,000, or
$945,000,000 more than was received from this source last year;
miscellaneous internal-revenue $2,274,968,000, an increase of
$265,000,000; customs duties $446,800,000, an increase of
$60,000,000, and realisation on assets $31,500,000, an increase
of $26,000,000. In addition, it is expected that the new tax on
unjust enrichment provided by the Revenue Act of 1936 will amount
to $82,000,000 and that the tax on carriers and their employees
will be $134,500,000. The collection of taxes levied under the
Social Security Act will begin in the last half of the fiscal year
1937 and it is expected that these taxes will produce additional
revenue in the amount of $325,000,000.
Regraded Uclassifie
+
61
The only item of revenue showing any decrease is that of
miscellaneous receipts, in the amount of $50,000,000, which is
due to reductions in interest payments made to the Treasury by
the Reconstruction Finance Corporation.
Expenditures--From present indications expenditures for
the fiscal year 1937 will amount to $8,481,000,000. Exclusive
of statutory debt retirement and adjusted compensation payments,
the total expenditures will amount to $7,512,904,500, an increase
over comparable expenditures for 1936 of $709,000,000.
This amount is made up of increases of $370,000,000 on
account of the Social Security Act, $85,000,000 on account of
interest on the public debt, $194,000,000 for the general public
works program, $124,000,000 for national defense, and $225,000,000
for other purposes; and decreases of $94,000,000 for the Veterans'
dont
Administration, $75,000,000 for the Agricultural Adjustment pro-
gran, and $118,000,000 for the Civilian Conservation Corps.
Regraded Uclassifie
62
-7-
The amount of the recovery and relief expenditures has been
estimated at $2,166,000,000, but there is included in the supple-
mental items $650,000,000 for the purpose of carrying the Works
Progress Administration and related programs from February 1 to
June 30, 1957. This will increase the estimated expenditure for
recovery and relief to $2,816,000,000, an increase of $40,000,000
over 1936. This, however, is not a fair comparison because the
expenditures in this fiscal year will include the sum of
$165,000,000 for assistance given to individuals and communities
directly or indirectly affected by the wide-spread drought con-
ditions previaling during the past summer. If this drought,
which affected a large part of our continental area, had not 00-
cured, the net cost of recovery and relief for the current fiscal
year would have been definitely below the cost figures for the
previous fiscal year.
Regraded Uclassifie
63
+
Deficit and Public Debt-The current estimates for the year
1937 show & gross deficit of $2,652,000,000. Deducting public
debt retirements, the net deficit will be $2,248,000,000.
The increase in the public debt, however, will be only
$1,000,000,000 since it is anticipated that $1,000,000,000 of
the deficit will be financed from cash on hand, thus reducing the
1
working balance to an amount sufficient for operations having in
mind the revenue increases which will result during the latter
half of the fiscal year 1937 and during 1938. The gross public
debt at the end of the current fiscal year is estimated at
$55,000,000,000.
The estimated debt at the end of the fiscal year is based on
contemplated expenditures set out in this Budget and does not take
into account any increase which might occur as a result of Treasury
policy in holding as "inactive" future acquisitions of gold.
Regraded Uclassifie
64
-2-
Fiscal Program of 1958
The increase in revenue and the decrease in expenditures
for relief both reflect the general improvement which has taken
place in the economic conditions of the country. The Revenue
Act of 1936, which was designed for the purpose of replacing
revenue lost through the invalidation of processing taxes, of
providing sufficient revenue to amortize the cost of the ad-
justed compensation payment, and of equalising tax burdens,
gives every indication of satisfactorily accomplishing those
purposes. While relief expenditures should decline with
greater re-employment the normal growth of the country naturally
reflects itself in increased costs of Government. Many of the
old functions and duties of Government naturally cost more as
the industrial and agricultural activities to which they are
related expand in volume. The cost of new functions and duties
orn only be substantially reduced by curtailing the function or
the duty. I propose shortly to submit to the Congress a broad
Regraded
Uclassified
65
-10-
plan for placing the Executive Branch of the Government on a
sounder and more responsible basis of management. The carry-
ing out of such a plan will undoubtedly result in some saving
in expenditures; but it must be remembered that what is generally
known as overhead represents only a small fraction of expenditures
in any business, government or private.
Congress passed legislation during the last session which,
exclusive of the Soil Conservation and Domestic Allotment Act,
creates authorizations for future appropriations aggregating
more than $1,500,000,000, of which bout $150,000,000 is included
1
in the estimates of appropriations contained in this Budget.
The principal authorizations are contained in the new Federal
Highway Act, the Rivers and Harbors and the Flood Control
Acts, and the Bural Electrification Act.
There is included in the 1938 Budget $800,000,000 for Social
Security grants and for the Government's contribution to the Old
Regraded Uclassified
66
-11-
Age reserve Account, more than double the expenditures for
these purposes in 1937, and there will be for several years
still further increases in these requirements. It should be
pointed out that these expenditures will be to a large extent
met by increasing revenues provided by the Social Security Act.
No estimate is presented for the needs of the Civilian
Conservation Corps since its extension beyond March 31 of this
year is dependent on the action of Congress. In view of the
widespread sentiment for the continuation of the activities of
the Corps, I am recommending the enactment of legislation to con-
tinue it as a permanent agency of the Government, and there is
included in the supplemental items an amount sufficient to meet
the expenditure requirements for the fiscal year 1938.
The following table gives a clear picture of the main figures
proposed in this Budget and shows how they compare with similar
figures for previous years.
Regraded Uclassified
Act
and Antimated Expenditures of the Government for the fiscal year 1932-1938.
(In millions of dollars)
Retimated
Actual
Fiscal year
Fiscal year
Fiscal year
Fiscal year
Piscel year
Fiscal yesr
Fiscal year
1938
1937
1936
1935
1934
1933
1932
1. Regular operating expenditures:
Legislative, judicial and civil
extablishments.
771.8
859.0
781.1
597.7
572.5
707.5
993-7
National defense
991.6
964.9
911.6
709.9
540.3
667.8
707.6
Veterans' pensions and benefits
577.5
1,144.7
2,351.4
607.1
556.9
563.2
984.8
689.4
599.3
Interest OR the public debt
800.0
835.0
749.4
620.9
756.6
Total
3,200.9
3,803.6
4,793.5
2,735.6
2,426.3
2,927.9
3,285.4
II. Public works
908.3
1,146.7
868.7
704.3
551.9
417-7
424.6
III Unemployment Relief:
Direct relief
13.0
106.7
591.7
1,914.1
715.8
350.7
I
Work relief (WPA and ONA)
.2
1,400.5
1,264.4
11.3
805.1
--
--
Emergency Conserv tion work
---
368.0
486.3
435.5
331.9
1
I
Total
13.2
1,875.2
2,342.4
2,360.9
1,852.8
350.7
1
17. Loans (net)
1 153.3
1 419.9
1 175.2
60.5
788.6
574.4
404.0
1. Subscriptions to stock
17.2
51.5
69.3
156.8
826.5
110.7
627.0
11. Agricultural Adjustment Program
482.4
407.6
542.6
743.0
290.3
-
I
Less revenues
I
---
76,6
521.4
353.0
-
!
482.4
467.6
466.0
221.6
62.7
-
-
Net
VII. Social Security
$36.0
399.6
26.4
I
!
I
I
VIII.Debt Retirement
401.5
404.5
403.2
573.6
359.9
461.6
412.6
12. Wiscellensons
1.8
2.0
6.8
21.1
6.7
1
-
1. Supplemental Items
500.0
750.0
-
-
1
-
1
Grand total
6,206.0
8,480.8
8,803.1
6,854.4
6,752.0
5,143.0
5,153.6
1,486.0
w Issues of revenue, debut.
7.190
Regraded Uclassified
-12-
68
With reference to the comparisons set forth in the above table,
the following comment is pertinent.
Receipts-Receipts in 1958 are expected to reach a total of
$7,295,607,197, an increase of $1,465,456,478 over similar receipts
for 1957 and $5,177,650,582 over 1936. This gain is largely due
to an increase in income taxes as a result of improved business
conditions and the operation of the Revenue Act of 1936. The
amount expected to be collected in 1938 from this source is
$5,565,300,000, a gain of $992,400,000 over the fiscal year 1937.
Miscellaneous internal revenue will produce $2,508,332,000, or
$233,564,000 more than is expected from this source for 1937.
The tax on unjust enrichment and the taxes on carriers and their
employees from which $82,000,000 and $154,552,000, respectively,
will be derived in 1937, will produce no revenue in 1938, since
under existing law these taxes expire during 1957. The first
full year of tax collections under the Social Security Act will
result in revenue of $774,800,000 in 1958, which sun is
Regraded Uclassified
-13-
69
$450,200,000 greater than the anticipated revenue in 1937. In the
latter year, of course, the taxes will be based on one-half year's
collections only. It is believed that customs' revenues will rise
from $446,800,000 during the present fiscal year to $463,000,000 in
1938, A gain of $16,200,000. Miscellaneous receipts, however, will
decrease $8,949,956. the 1938 collections being estimated at
$151,550,529 16 compared with $160,500,485 during 1937. From realise-
tion on assets $30,624,668 will be received, while in 1937 receipts
from this source will amount to $31,830,234.
Expenditures-The expenditures for 1938 contemplated under this
Budget will total $6,208,541,254. or approximately $2,272,000,000 less
than is now estimated for 1937. In the two major categories of expendi-
ture, namely, regular and recovery and relief, allowances for regular
activities amount to $5,892,510,341 as compared with $5,665,588,893
in 1937, an increase of $227,000,000. The 1937 estimate, however,
contains an amount of $563,500,000 for completion of adjusted
compensation payments to veterans, 80 that the comparable increase
-14-
70
over 1937 is $790,000,000. For recovery and relief there is
included in the expenditures for 1938 the amount of
$516,050,915, or $2,500,206,187 less than the expenditures
estimated for that purpose during the fiscal year 1937. The
1938 estimate of expenditures does not, however, include the
additional amount that will be required for relief during that
year. As previously indicated, it is at this time hoped that
the amount to be requested for this purpose will not exceed
$1,486,000,000. Again I emphasise the contribution which
employers can make to this attainment.
Among the regular expenditures there is included $860,000,000
for interest on the public debt, an increase of $25,000,000 over
the amount for the present fiscal year, and $401,515,000 for
statutory debt retirements, a decrease of $3,010,000. Exclusive
of the service on the public debt and the payment of adjusted
compensation to veterans, there is a net increase in expenditures
for regular activities of $769,000,000 as compared with 1937.
Regraded Uclassified
71
-15-
The major part of this increase is accounted for as follows:
(a) For increased requirements under the Social Security Act
$456,000,000, (b) for additional expenditures under the general
public works program $133,000,000, (c) for national defense to
provide for the increased strength of the Army as directed by
Congress and to provide for replacement of naval vessels in ac-
cordance with existing authorizations $93,000,000, (a) for the
necessary funds for the activities of the Reilroad Retirement
Board and for rural electrification $63,000,000, and (a) for
increased needs of other activities $44,000,000.
Surplus and Public Debt-The net surplus for the fiscal year
1938, as presented in this Budget, exclusive of statutory debt
retirements, will amount to $1,486,000,000. As has been
previously stated, I hope the additional needs for relief during
the fiscal year 1938 will not require expenditure of more than
this amount. If this hope is realised the estimated gross public
Regraded Uclassified
-16-
debt, on June 30, 1938, would be $35,000,000, the same amount as st
the close of the fiscal year 1937. This does not take into 80⑉
count any increase which might occur as a result of Treasury policy
in holding as "inactive" future acquisitions of gold.
Appropriations-The total appropriations recommended in this
Budget aggregate $6,800,000,000, including probable supplemental items
estimated at $500,000,000, while the appropriations already made
and prospective supplemental items for the fiscal year 1937, ex-
clusive of requirements for recovery and relief, total $6,260,000,000,
an increase for 1938 of $620,000,000. This increase is due to
additional appropriations amounting to (1) $307,000,000 on account
of the Social Security Act, (2) $80,000,000 required under the
general public works program, and (3) $213,000,000 on account of
departmental requirements including the national defense.
Regraded Uclassified
PART IV
73
FEDERAL CONTRIBUTIONS TO THE DISTRICT 02 COLUMBIA
The first section of District of Columbia Appropriation Act ap-
proved June 23, 1936, (Public No. 762, 74th Gongress) contains the follow-
ing provisions
"Not to exceed $50,000 shall be available for expenditure,
under the direction of the President, for making an inde-
pendent study of the fiscal relations between the United
States and the District of Columbia and enabling him to
report to Congress at the beginning of the next regular
session, what, in his judgment, is a fair and equitable
amount to be paid by the United States as an annual con-
tribution toward the expenses of the government of the
District of Columbia; such our shall be available for
personal services without regard to the civil service laws
and the Classification Act of 1923, as amended, and for
such other expenditures as may be necessary in connection
with such study."
Pursuant to the above, I appointed 8. director and an advisory
committee of three members to conduct An independent study of the various
elements and conditions affecting the fiscal relations between the United
States and the District of Columbia.
The findings of fact, conclusions and recommendations included
in the printed report which accompanies the 1938 budget are the joint
effort of both the Director and his staff and the Advisory Committee.
While the report contains detailed findings and recommenda-
tions with the supporting data and information collected from the Federal
and District governmente in Washington and in 17 comparable American
cities and capital cities of foreign countries, I desire to call your
especial attention to the following major findings which are included in
the report:
(1) Governmental services of the District government are
substantially equal to those in 17 generally comparable cities.
Regraded Uclassified
- 2 -
(2) Both the total tax load and the per capita general
governmental costs are lower in Washington than in these other
cities.
(3) Although District taxes are lower than in comparable
cities, the tax load is not so widely distributed.
(4) There are may special services rendered one govern-
ment by the other wi thout specific reimbursement. This is a
source of continual mutual irritation.
(5) The axisting organization and administrative procedure
of the District government are not conducive to the highest
standards of service or economy.
The application of the basic principles and recommendations as
outlined and detailed in the report is directly reflected in the follow-
1ng three-point formula, which I recommend be carefully considered by the
Congress with a view to enacting such legislation at this session as may
be necessary to effectuate it.
I. Intercovernmental Contractual Services: Contractual ar-
rangements shall be established for the reimbursement of the
cost of specific intergovernmental services supplied either
government by the other. Appropriations therefor shall be
included in the respective annual departmental budgets.
II. Capital Outlave of Joint Interest: The National Capital Planning
Commission shall determine the extent of the respective Federal and
District interests in capital outlays and improvements included in
the District budget. The capital outlay budget of the District,
divided accordingly, shall be propared and submitted by this Com-
mission through a District authority together with a long-time in-
provement program for the District similarly proportioned.
III. Per Capita Governmental Costs: The excess of District govern=
mental costs per capita over the average of those in comparable
cities shall be assumed by the Federal Government through annual
appropriations especially designated for this purpose. Provided,
however, that such 030000 District governmental costs shall be as-
runed only after allowance has been made for reimbursements due to
unusual costs occasioned by Congressional enactments referred to
under Point I of the formula.
Regraded Uclassified
- 3 -
74
Unusual costs of the District government caused by statutes pro-
viding special allowances and leaves in excess of those usually pro-
vided in cities of comparable size shall be met by the Federal Govern-
ment through annual appropriations.
Concurrently with enactment of the provisions of the above contin-
uing formula, I also recommend that the substantive low providing for
annual Federal contributions on a fixed percentage of District appropri-
ations should be repealed and that the system of annual Federal lump-sum
contributions should be abandoned.
In lieu of the fixed ratio method or annual lump-sun Federal con-
tributions, it has been determined through the application of the above
formila to the 1938 budget estimates that the fair and equitable amount
which should be reimbursed by the Federal Government to the District of
Columbia in $2,500,000 made up as follows:
Intergovernmental services
....
$1,500,000
Capital outlays
....
500,000
Excess District of Columbia
costs over other cities
....
500,000
$2,500,000
The District budget for 1938 shows B. deficit of $11,500,000 before
application of the recommended Federal contribution. The amount of
$2,500,000 as recommended will reduce the deficit to $9,000,000. It
will therefore be necessary for Congress to enact additional revenue
measures adequate to meet the prospective deficit.
new your
75
PART IV
THE DISTRICT 07 COLUMBIA
The first section of the 1937 District of Columbia Appropria-
tion Act. approved June 23, 1936 (Public No. 762, 74th Congress).
contains the following provision:
"Not to exceed $50,000 shall be available for expenditure,
under the direction of the President, for making an inde-
pendint study of the fiscal relations between the United
States and the District of Columbia and enabling his to
report to Congress at the beginning of the next regular
session, what, is his judgment, is a fair and equitable
amount to be paid by the United States as as annual 002-
tribution toward the expenses of the government of the
District of Columbia; such I'M shall be available for per-
somal services without regard to the civil service laws
and the Classification Act of 1923, as amended, and for
such other expenditures as my be necessary in connection
with such study."
Pursuant to the above. I appointed 8 director and an advisory
committee of three members to conduct an independent study of the
various elements and conditions affecting the fiscal relations be
twan the United States and the District of Columbia.
The report contains detailed findings and recommendations with
the supporting data and information collected from the Federal and
District (sveraments in Washington and in 17 comparable American
cities and the capital cities of 21 foreign countries.
76
- ? -
The application of the basic principles and recommendations
as outlined and detailed la the report is reflected in the follow
ing three-point formale, which, I recommend, be carefully con-
sidered by the Congress with a view to enacting such legislation
at this session as may be necessary to octablish equitable fiveal
relationships between the two governments.
I. Intergoveramental Contractual Services: Contractual
arrangements shall be established for the reimbursement
of the cost of specific intergovernmental services supe
plied either government by the other. Appropriations
therefor shall be included in the respective ennual do-
partmental budgets.
II. Capital Outlays of Joint Interest: The National
Capital Plassing Commission (proposed in the report) shall
determine the extent of the respective Federal and District
interests in capital outlays and improvements to be in-
cluded in the District Budget.
III. Per capita Governmental Coster Pending the grant
of broader powers of local control over purely local
affairs, the excess of the District governmental costs
per capita over the average of these is comparable cities
shall be assumed by the Federal Oovernment: Provided,
however, that such excess District governmental costs
shall be assumed only after allowance has been made for
reimbursements due to ususual costs occasioned by Congress-
ional emactments.
I also recomend that, concurrently with suctment of my legis-
lation which carries into effect the provisions of this continuing
formila, the substantive law providing for annual Federal contributions
of a fixed percentage of District appropriations be repealed and that
the eystem of annual Federal lump-sus contributions be abundoned.
77
-3-
The application of this formula to the 1938 Budgot estimates
would provide for & net reimbursement by the Federal Government to
the District of Columbia of $2,533,357, made up as follows:
a
Total
:ReimbursaMesNet additional
I Reimbursable
:smount in 1 reimbursable
I
amount
:1938 Budgets
amount
I Intergovernmental contractual
services
$4,635,478
$2,639,071
$1,996,407
II Capital outlays
690,625
153,675
536,950
III Excess por capita District of
Columbia governmental
costs
0
0
G
Total not reimbursement ... $5,536,103 $2,792,746 82,533,357
Since the District budget for the fiscal year 1938 shows & gross
deficit of $11,740,251, the application of the formula will result in
44 net deficit of $9,206,924, to be not from such sources of additional
revenue as are indicated in the report.
Regraded Uclassific
78
Attached 18 first printer's proof of the President's
Budget Message.
Regraded Uclassified
Mr Bell
79
bonfidential
BUDGET MESSAGE OF THE PRESIDENT
To the Congress of the United States:
Pursmant to provisions of law I transmit herewith the Budget of
the United States Government for the fiscal year ending June 30,
1938, I together with this message, which is a part thereof. The esti-
mates have been developed after careful analysis of the revenues,
obligations, and reasonable nveds of the Government, and I recom-
mend appropriations for the purposes specifically detailed in the
tablog which follow.
here
r
PART I
The programs insugurated during the last four years to combat the
depression and to initiate many needed reforms have cost large sums
of money, but the benefits obtained from them are far outweighing
all their costs. We will soon be reaping the full benefits of those
programs and will Inve nt the same time a balanced Budget that will
shall
include provision for reduction of the public debt.
The fiscal plans of the Federal Government for these four years
have been formulated with two objectives in mind. Our first
was to restore " successful economic life to the country, by providing
greater employment and purchasing power for the people, by stimu-
lating a more balanced use of our productive capacity, and by increas-
ing the national income and distributing it on a wider base of pros-
perity. Our second pubplese WIIS to gain new advantages of perma-
nent value for the American people, Both of these máin can
be accomplished under a sound financial policy.
Business conditions have shown each year since 1933 IL marked
improvement over the preceding year. Employment in private
industry is increasing. Industrial production, factory pay rolls, and
farm prices have stendily risen.
These gains make it possible to reduce for the fiscal year 1938
>
many exponditures of the Federal Government which the general
depression made necessary. Although we must continue to spend
substantial sume to provide work for those whom industry has not
yet absorbed, the 1938 Budget is in balance, and except for debt
7
reduction, will remain in balance even if later on there are included
additional expenditures of approximate $1,536,000,000 for recovery
no
Regraded
80
VT
THE BUDGET, 1938
and relief. We expect, moreover, if improvement in economic
conditions continues at the present rate, to be able to attain in 1939 a
completely balanced Budget, with full provision for meeting the
statutory requirements for debt reduction.
In carrying out this policy the American people are obtaining lasting
benefits. Economic protection of the aged and physically handi-
capped is boing secured through the operations of the Social Security
Act. Ability of the farmer to obtain IL more constant livelihood has
been enhanced by the enactment of legislation especially designed
for that purpose. The home owner has been benefited through the
financing of mortgages at reasonable rates of interest. Investors in
securities are being given n larger measure of protection by the
Securities and Exchange Act. The market for corporate securities
has been restored and industry has been able to finance its long-
term requirements on a favorable basis. The rights of labor are
being materially advanced through operation of the National Labor
Relations Act.
I plan to submit at a later date an estimate of appropriation for
additional relief for the fiscal year 1938, which I hope will not exceed
the amount of $1,536,000,000, previously indicated us available for
this purpose. This hope is based on the assumption that industry
will cooperate in employing men and women from the relief rolls in
lorger numbers than during the past year. Many of those in charge
of industrial management, recognizing their obligation to the Nation,
have furnished 11 large measure of employ to the jobless, Today,
while it is true that in some sections of the country certain types of
skilled workers are still seeking employment, it is nevertheless a fact
that the great majority of those now receiving relief belong to the
unskilled group. It is my conviction that if every employer or
potential employer will realize this fact and, during the next six
months, will undertake to give employment to persons now receiving
Govermment help, the national Budget enn thereafter be kept defi-
nitely in balance. Without such cooperation on the part of employers,
the question of n balanced Budget for 1938 must of necessity remain
an open one, for the very good reason that this Government does not
propose next year, any more than during the past four years, to allow
American families to starve.
To continue the gains we are making and to accomplish in the 1939
Budget a complete balance between receipts and expenditures includ-
ing debt reduction, we must now lay the groundwork of our future
fiscal policy.
While relief expenditures should decline with greater reemploy-
ment the normal growth of the country naturally reflects itself in
increased costs of Government. Many of the old functions and
duties of Government naturally cost more as the industrial and agri-
9
Regraded Uclassifie
81
MESSAGE TRANSMITTING THE BUDGET
VII
cultural nctivities to which they are related expand in volume. The
cost of new functions and duties can only be substantially reduced
the
by curtailing the function or the duty. propose shortly to submit
to the Congress a broad plan for placing the Executive Branch of the
Government on a sounder and more responsible busis of management.
The carrying out of such II plan will undoubtedly result in some saving
in expenditures: but it must be remembered that what is generally
known as overhead represents only a small fraction of total expendi-
tures in any business, Government or private.
Expenditures must be planned with " view to the national needs;
lenge
and nn expansion of Government activities should be authorized
unless the necessity for such expansion has been definitely determined
and funds are available to defray the cost. In other words, if new
legislation imposes any substantial increase in expenditures either
in the expansion of existing or the creation of new activities, it becomes
a matter of sound policy simultaneously to provide new revenue
sufficient to meet the additional cost. The success of such n policy
can be assured only through the full and friendly cooperation of the
Congress and the Executive. Of this I am confident.
PAUT 11
BECOMMENDATIONS
Temporary miscellaneous internal-rerence taxes.-1 recommend that
the Congress take steps by suituble legislation to extend the miscol-
laneous internal-revenue taxes which under existing law will expire
and
next June
July, and also to maintain the current rates of these taxes
which would otherwise be reduced next June. I consider that the
revenue from such taxes or its equivalent
necessary to the finane-
ing of the Budget for 1938.
Postal receipts.-The estimate of appropriations payable from postal
revenues included in the 1938 Budget is predicated upon the contin-
unree during that fiscal year of the 3-cent postage rate for first-elass
y
mail other than for Iceal delivery. While the Government makes a
profit on first-class mail it carries other classes of Mail at a loss, as
shown in the tabular footnote on page Since N should
be the definite policy of the Government to operate the postal service
out of postal receipts continuation of the 3-cent rate will be necessary
the
for the accomplishment of this purpose.
Cisilian Conservation Corps.-The Civilian Conservation Corps has
demonstrated its usefulness and has met with general public approval.
It should be continued. I intend, shortly, to submit 5. supplemental
estimate of appropriation to carry the Corps from March 31, 1937, to
and
a
step towards
us
82
82
THE BUDGET, 1938
the end of the current fiseal year; and I strongly recommend that Con-
gross enact during its present session the necessary legislation to
establish the Corps us a perminent agency of the Government.
Expenses of emergency agencies-Thore are included in the 1938
Budget, pursuant to the direction of Congress nt its last session,
estimates of appropriations for the administrative expenses of certain
emergency agencies and corporations. Such of the emergency agen-
cies and corporations as may be continued by Congress should have all
of their expenditure requirements made subject to the same serutiny
that is given by the Bureau of the Budget to the expenditure require-
ments of the regular departments and establishments; and I recom-
mend that a provision to that effect be included in any future legis-
lation for the continuance of any such agency or corporation.
PART III
REVIEW OF THE FISCAL YEARS 1936 AND 1937, AND THE FISCAL PROGRAM
FOR 1938
This review concerns itself with the eash actually received and
paid out by the Trensury in the fiscal year 1936, with the estimates
of receipts and expenditures for the fiscal year 1937, and with the
Roman
fiscal program for 1938.
Fiscal Year 1936
Receipts.-Treasury receipts for the year ended June 30, 1936,
amounted to $4,115,956,015, about $295,000,000 less than estimated
n year ago, As a result of Supreme Court decisions, the Govern-
ment lost about $457,000,000 in revenue from taxes lovied under
the Agricultural Adjustment Act and the Bituminous Coal Act.
Had it not been for the invalidation of these taxes the total revenues
,
received during the fiscal year 1936 would have exceeded the revenue
estimates of a year ago by $162,000,000.
The collection of taxes on carriers and their employees, estimated nt
$33,000,000, has been deferred to the fiscal year 1937 because of pend-
ing litigation. The receipts from income taxes were - about
$7,500,000 less than last year's estimate,
is
On the other hund, miseellaneous internal revenue taxes produced
$136,500,000 more than was anticipated: customs revenue $33,000,000
,
more; miscellaneous receipts $32,000,000 more; and realization upon
assets $1,500,000 more.
Expenditures.-The total expenditures for the fiscal year ended
June 30, 1936 (exclusive of expenditures from postal revenue),
amounted to $8,879,798,258, as compared with the estimate of
$7,645,301,336 shown in the Budget submitted a year ago. This
8
MESSAGE TRANSMITTING THE BUDGET
IX
Intter amount did not, however, include Atterious $1,674,000,000 for adjusted
compensation payments to veterans. The expenditures for the your,
excluding these payments, wereVabout $439,000,000 less than the
estimate.
The total expenditures for recovery and relief were $2,776,796,468
against on estimate of $2,869,008,187. For the operation and main-
tenance of the regular departments and establishments of the Govern-
ment the expenditures amounted to $3,276,000,000 as compared with
estimates of $3,482,000,000. For statutory debt retirement there
was expended $403,240,150, and for interest on the public debt
$740,396,802, the amounts budgeted for these items being $552,025,000
and $742,000,000, respectively.
Deficit and public debt.-The gross deficit for the fiscal year 1936
amounted to $4,763,541,642. Excluding $403,240,150 for statutory
debt retirement, there was n. net deficit of $4,360,601,492. The esti-
mated net deficit as contained in the Budget submitted a year ago
was $2,082,482,302, a difference of $1,678,000,000. As previously
indicated, the original estimate has been affected to the extent of
$457,000,000 ns il result of the invalidation of taxes levied under the
Agricultural Adjustment and Bituminous Coal Acts and by the addi-
tional expenditure of $1,674,000,000 under the Adjusted Compensa-
tion Act. If it had not been for the increase in the deficit due to these
causes, the net deficit for they year 1936 would have been about
$449,000,000 less than that originally estimated.
final
The increase in the gross public debt during the year amounted to
$5,077,050,869, but this sum included an increase of the balance in
the general fund of the Treasury of $840,164,664. The gross public
debt on June 30, 1936, was $33,778,543,494.
FISCAL YEAR 1957
Receipts-The income of the Federal Government during the
fiscal year 1937 will increase sharply over that of 1936. It is expected
that the total revenue from all sources will amount to $5,828,000,000.
This represents an increase of over the actual receipts
for the fiscal year 1936 and an increase of $174,000,000 over the
(1,712,000,00
estimates contained in the 1937 Budget as submitted a year ago,
The general improvement in business conditions and the enactment
of the Revenue Act of 1936 have resulted in additional revenues from
taxes which will not only make up the loss in revenue due to the
Supreme Court décisions invalidating the taxes levied under the
Agricultural Adjustment and the Bituminous Coal Acts, but will
produce additional of approximately $174,000,000.
Since the Revenue Mt of 1936 materially changes the tax structure,
the individual items of revenue as contained in the original 1937
miome
8
THE BUDGET, 1038
Budget will not be exactly comparable with the individual items in
the 1937 Budget as revised in this message.
Income taxes are expected to yield $2,372,900,000, or $945,000,000
more than was received from this source last year; miscellaneous
internal revenue, $2,274,068,000, an increase of $265,000,000; cus-
toms duties, $446,800,000, an increase of $69,000,000; and realization
upon assets, $31,500,000, an increase of $26,000,000. In addition, it
is expected that the new tax on unjust enricliment provided by the
Revenue Act of 1936 will amount to $82,000,000 and that the tax on
carriers and their employees will be $134,500,000, including $33,000,-
000 deferred from the previous fisend year. The collection of taxes
levied under the Social Security Act will begin in the last half of the
fiscal year 1937 and it is expected that these taxes will produce
additional revenue in the amount of $325,000,000.
,
The only item of revenue showing any decrease is that of miscel-
laneous receipts, in the amount of $50,000,000, which is due to redue-
tions in interest payments made to the Treasury by the Reconstruc-
tion Finance Corporation.
Expenditures.-Prom present indications expenditures for the fiscal
year 1937 (exclusive of expenditures from postal revenues) will
amount to $8,481,000,000. Exclusive of statutory debt retirement
and adjusted compensation payments, the total expenditures will
amount to $7,512,904,500, an increase over comparable expenditures
for 1936 of $709,000,000.
This amount is made up of increases of $370,000,000 on account of
the Social Security Ant, $85,000,000 on account of interest on the
public debt, $194,000,000 for the general public works program,
$124,000,000 for national defense, and $223,000,000 for other pur-
poses; and decreases of $94,000,000 for the Veterans' Administration,
$75,000,000 for the agricultural adjustment program, and $118,000,000
for the Civilian Conservation Corps.
The amount of the recovery and relief expenditures has been esti-
mated at $2,166,000,000, but there is included in the supplemental
items $650,000,000 for the purpose of carrying the Works Progress
Administration and related programs from February 1 to June 30,
1937. This will increase the estimated expenditures for recovery
and rolief to $2,816,000,000, an increase of $40,000,000 over 1936,
The expenditures in the current fiscal year will include, however, the
sum of about $165,000,000 for assistance given to individuals and
communities directly or indirectly affected by the wide-spread
drought conditions prevailing during the past summer. If this
drought had not occurred, the net cost of recovery and relief for the
current fiscal year would have been definitely below the cost figures
for the previous fiscal year.
$125,000,000
Regraded Uclassified
MESSAGE TRANSMITTING THE RUDGET
final
Deficit and public debt.-The current estimates for the year 1937
show n. gross deficit of $2,652,000,000. Deducting public debt
retirements, the net deficit will be $2,248,000,000.
The increase in the public debt, however, will be only $1,248,000,000
since it is anticipated that $1,000,000,000 of the deficit will be financed
from cash on liand, thus reducing the working balance from $2,225,-
000,000 on June 30, 1936, to $1,030,000,000 on June 30, 1937. The
gross public debt at the end of the current fiscal year is estimated at
$34,923,000,000.
The estimated debt at the end of the fiscal year is based on con-
templated expenditures set out in this Budget and does not take into
chaugh
account any
which may occur as It result of Treasury policy
in holding ns "inactive" future nequisitions of gold.
the
FISCAL PROGRAM FOR 1938
The increase in revenue and decrease in expenditures for relief
both reflect the general improvement which has taken place in the
economic conditions of the country. The Revenue Act of 1936, which
was designed for the purpose of replacing revenue lost through the
invalidation of processing taxes, of providing sufficient revenue to
amortize the cost of the adjusted compensation payment, and of
equalizing tax burdens, gives every indication of satisfactorily accom-
plishing those purposes, 1 should like, at this point, to emphasize the
importance of maintaining the productiveness of the present tax
structure, so that we may properly provide for the fulfillment of our
fiscal program.
Under legislation enacted during the last session of Congress, which
created authorizations for future appropriations aggregating more
than $1,500,000,000. there is included about $130,000,000 in the esti-
mates of appropriations contained in this Budget. Such authoriza-
tions are contained in the new Federal Highway Act, the Rivers and
Harbors and the Flood Control Acts, and the Rural Electrification
Act.
There is also included $800,000,000 812,000 for social security grants and
for the Government's contribution to the old-age reserve account,
more than double the expenditures for these purposes in 1937, and
there will be for several years still further increases in these require-
ments. It should be pointed out that these expenditures will be met
to a large extent by increasing revenues
the Social
The
Security Act.
funder
No estimate of appropriation is presented for the needs of the
Civilian Conservation Corps since its extension beyond March 3L of
this year is dependent on the action of Congress. In furtherance of
my recommendation for the enactment of legislation to continue it
Regraded Uclassified
XII
THE BUDGET, 1938 that
e
as n. permanent agency of the Government, there is included in the
"Supplemental item" an amount sufficient to meet the expenditure
requirements for the fiscal year 1938.
The following table shows the distributionVon a functional basis,
of the expenditure figures contained in this Budget and compares
them with similar figures for previous years.
Actual and estimated expenditures. of the Government for the fiscal years 1932-38
In millions both of dollars): and pa)
Entired
Actual
TION
1937
1936
10015
1034
IMM
1932
Begular openiting expenditures
Legislative, judicial, and civil establish.
iments
771.8
NO.0
281.]
W7.7
STY.S
97%.8
National defense
991.0
011.6
200.0
500,8
are
707.6
Vetersos" pensions and benefits
577.5
1,144.7
2,331.4
007.1
MU 2
184.8
Interest on the public delhi
800,0
XIA.0
70.4
820.0
750.6
99.1
109.3
Total
1,200.9
1,800.0
4,710.1
2,743.6
2,424.3
2,917.9
1,271.5
Public works
006.3
1,146.7
wat
7013
551.9
127,7
439,5
Enemployment retief:
Direct relief
13.0
1067
MILT
1,918.1
715/8
ML7
Work relief (W. P.A. and e. W, A.)
is
2.
1,000,5
1,251.1
11.3
MIS.)
Emergency intervation work
MA.0
our
43.3
31.9
Twial
122 2
20121
2,3MI,9
1,812.6
$30.7
Loans (net)
153.3
(10.0
170,2
MLS
786.6
STA
(01.8
Subscriptions to stock
17:2
M.S
NAT
IMS
820,5
1107
627.0
To be meriased by any amount appropriated
by bongress for recovery and relief for the
fiscal year. 1938. amount indicated in Budget
Agricultural adjustment prigram
021
MC.6
342.6
711.0
200.1
Less revenues
No
(21.1
353.0
Net
4524
167.6
405.0
221,0
627
Social security
KMO
299.0
25.1
Debt retirement
401.5
not.5
HOL 2
573.0
339.9
401.6
412 6
Miscellaneous
Le
20
6.8
21.)
8.7
Supplemental lieuse
300.0
750 0
Grand total
4,206.0
5,534,1
6,752.0
Exem of credits, deligt
Excess of revenues, deduct.
Receipts.-Treasury receipts in the fiscal year 1938 are expected to
reach a total of $7,293,607,197, an increase of $1,465,456,478 over
similar receipts for 1937 and $3,177,650,582 over 1936. This gain is
largely due to an increase in income taxes as n. result of improved
business conditions and the operation of the Revenue Act of 1936.
The amount expected to be collected in 1938 from income taxes is
$3,365,300,000, a gain of $992,400,000 over the fiscal year 1937.
Regraded Uclassified
MESSAGE TRANSMITTING THE BUDGET
XI
Miscellaneous internal revenue will produce $2,508,332,000, or
$233,364,000 more than is expected from this sourre for 1937. The
tax on unjust enrichment and the taxes on carriers and their em-
ployees from which $82,000,000 and $1,4,552,000, respectively, will
be derived in 1937, will produce DO revenue in 1938, since under
is
existing law these taxes expire during 1937. The first full year of
tax collections under the Social Security Act will result in revenue
of $774,800,000 in 1938, which sum is $450,200,000 greater than the
anticipated revenue in 1937 the latter year, of course, the taxes
and
refer
is
will be based on one-half year's collections only. It is believed that
customs' revenues will rise from $446,800,000 during the present fiscal
year to $463,000,000 in 1938, IL gain of $16,200,000. Miscellaneous
receipts, however, will decrease $8,949,956, the 1938 collections being
estimated nt $151,550,529 as compared with $160,500,485 during
1937. From realization upon assets $30,524,668 will be received,
while in 1937 receipts from this source will amount to $31,830,234.
Erpenditures -The expenditures for 1938 contemplated under this
Budget (exclusive of those from postal revenues) will total $6,208,-
541,254, or approximately $2,272,000,000 less than is now estimated
for 1937. General expenditures for regular netivities amount to
$5,892,510,341, ns compared with $5,063,588,893 in 1937, an increase
of $227,000,000. The 1937 estimate, however, contains an amount of
$563,500,000 for completion of adjusted compensation payments to
veterans, so that the comparable increase over 1937 is $790,500,000.
For recovery and relief there is included in the expenditures for 1938
the amount of $316,030,913, which, of course, is not the full amount
that will be required for relief during that year. As previously
indicated, it is our present hope that the additional amount to be
requested for this purpose will not exceed $1,536,000,000. Thus the
total expenditure for recovery and relief during 1938 would be
$1,852,000,000, or $964,000,000 less than the amount estimated for
1937. Again 1 emphasize the contribution which employers can
ninke to this attainment.
The general expenditures include $860,000,000 for interest on the
public debt, on increase of $25,000,000 over the amount for the
present fiscal year, and $401,515,000 for statutory debt retirements, a
decrease of $3,010,000. Exclusive of the service on the public debt
769,
and the payment of adjusted compensation to veterans, there is n.
net increase of $759,000;000 in expenditures for regular activities as
compared with 1937. This increase is accounted for as follows:
For increased requirements under the Social Security Act,
$436,000,000: (6) for additional expenditures under the general public
works program, $133,000,000;
for national defense to provide for
the increased strength of the Army BS directed by Congress and to
provide for replacement of naval vessels in accordance with existing
as
of
Regraded Uclassified
XIV
THE BUDGET, 1938
providing after
authorizations, $03,000,000; (d) for the necessary funds for the
activities of the Railrond Retirement Board and for rural electrifica-
tion, $63,000,000; and (a) for increased needs of other activities,
₹
$4,000,000.
Surplus and public debt. The surplus for the fiscal year 1938, AS
presented in this Budget exclusive of statutes debt retirement
will amount to $1,536,000,000. As [ have previously stated, it is
hoped the additional needs for relief during the fiscal year 1938 will
not require expenditure of more than this amount. On this basis
the estimated gross public debt on June 30, 1938, will be about the
same amount as at the close of the fiscal year 1937. This does not
take into account any which may occur as a result of Treasury
the
change
policy in holding 08 "inactive" future acquisitions of gold.
Appropriations-The total appropriations recommended in this
Budget aggregate $6,840,000,000, including those for the postal serv-
ice, District of Columbia, and probable supplemental items, while the
appropriations already made and prospective supplemental items for
the fiscal year 1937, exclusive of requirements for recovery and
relief, total $6,332,000,000, an increase of $508,000,000 for 1938.
This increase is due to additional appropriations amounting to
$307,000,000 on account of the Social Security Act (a) $80,000,000
as
required under the general public works program and $121,000,000
ou account of departmental requirements, including the national
defense. The appropriations mode and contemplated for recovery
S
and relief for 1937 total $2,075,000,000, whereas it is expected that
corresponding appropriations for 1938 will not exceed $1,536,000,000.
PART IV
THE DISTRICT OF COLUMBIA
The first section of the 1937 District of Columbia Appropriation
Act, approved June 23, 1936 (Public, No. 762, 74th Congress), contains
the following provision:
"Not to osreed $50,000 shall be available for expenditure, under the direction of
the President, for making an independent study of the fiscal relations between
the United States and the District of Columbia and enabling him to report to
Congress at the beginning of the next regular session, what, in his jurgement, is a
fair and expritable amount to be paid by the United States as all annual contri-
Indion toward the expenses of the government of the District of Columbia: such
sum shall be available for personal services without regard to the civil service
laws and the Classification Act of 1923, ns amended, and for such other espendi-
fures as may he necessary in connection with such study."
Pursuant to the above, I appointed a director and un advisory
committee of three members to conduct an independent study of the
various elements and conditions affecting the fiscal relations between
the United States and the District of Columbia.
Regraded Uclassified
MESSAGE TRANSMITTING THE BUDGET
XV
The report contains detailed findings and recommendations with
the supporting data and information éollected from the Federal and
District Governments in Washington and from 17 comparable
American cities and the capital cities of 21 foreign countries.
The application of the basic principles and recommendations us
outlined and detailed in the report is reflected in the following 3-point
formula, which I recommend, be carefully considered by the Congress
with 11 view to enacting such legislation at this session ns may be
necessary to establish equitable fiscal relationships between the two
governments.
1. Intergorernmental contractual sereiees-Contractual arrangements shall be
established for the reimbursement of the cost of specific Intergovernmental
services supplied either government hy the other, Appropriations therefor shall
be included in the respective annual departmental Indgets.
JI. Capital autlays of joint interest-The National Capital Planning Commis-
sion (proposed in the report) shall determine the extent of the respective Federal
and District interests in capital outlays and Improvements to be included in the
District Budget.
111. Per capita governmental rosts.-Pending the grant of broader powers of
local control uver purely local affairs, the excess of the District governmental
costs per capita over the average of those in comparable cities shall be assumed
by the Reducal Government: Provided, Anower, That such eseess District govern-
mental custs studi be nasumed only after allowatice has been made for reimburse-
ments due to untisual coste necasioned by Congressional enactments.
I also recommend that, concurrently with enactment of any legis-
lation which carries into effect the provisions of this continuing
formula, the substantive hw providing for ennual Federal contribu-
tions of a fixed percentage of District appropriations be repealed and
that the system of annual Federal lump-sum contributions be
abandoned.
The application of this formula to the 1938 Budget estimates
would provide for n net reimbursement by the Federal Government
to the District of Columbia of $2,533,357, made up us follows:
Heimburs-
Net will-
Total result
bursible
able agenüble
timel rese-
in 100
bornhle
nament
amount
I Interpriernmental contractual services
55,400,718
$1,000,01
$3,005,407
11 Capital mattings
004,100
III. Eirm per capits District of Columbia povernmental
cests
Total
Since the District budget for the fiscal year 1938 shows a gross
deficit of $11,740,251, the application of the formula will result in a
net deficit of $9,206,924, to be met from such sources of additional
revenue as are indicated in the report.
January 5,1937
Regraded Uclassified
90
Attached is second proof of the President's Budget
Message.
Regraded Uclassified
91
Confidential
first proof
BUDGET MESSAGE OF THE PRESIDENT
To the Congress of the United States:
Pursuant to provisions of law I transmit herewith the Budget of
the United States Government for the fiscal year ending June 30,
1938, together with this message, which is a part thereof. The esti-
mates have been developed after careful analysis of the revenues,
obligations, and reasonable needs of the Government, and I recom-
mend appropriations for the purposes specifically detailed herein.
PART 1
The programs inaugurated during the Inst four years to combat the
depression and to initiate many needed reforms have cost large sums
of money, but the benefits obtained from them are far outweighing
all their costs. We shall soon be reaping the full benefits of those
programs and shall have nt the same time 11 balanced Budget that
will also include provision for reduction of the public debt.
The fiscal plans of the Federal Government for these four years
have been formulated with two objectives in mind. Our first WHS
to restore a successful economic life to the country, by providing
greater employment and purchasing power for the people, by stimu-
lating a more balanced use of our productive capacity, and by in-
creasing the national income and distributing it on a wider base of
prosperity. Our second was to gain new advantages of permanent
value for the American people. Both of these can be accomplished
under a sound financial policy,
Business conditions have shown each year since 1933 IL marked
improvement over the preceding year. Employment in private
industry is increasing. Industrial production, factory pay rolls, and
farm prices have stendily risen.
These gains make it possible to reduce for the fiscal year 1938
many expenditures of the Federal Government which the general
depression made necessary. Although we must continue to spend
substantial sums to provide work for those whom industry has not
yet absorbed, the 1938 Budget is in balance; and, except for debt
reduction of $401,515,000, will remain in balance even if later on there
are included additional expenditures of us much as $1,537,123,000 for
Regraded Uclassified
THE BUDGET, 1938
recovery and relief. We expect, moreover, if improvement in oco-
nomie conditions continues at the present rate, to be able to attain
in 1939 n. completely balanced Budget, with full provision for meeting
the statutory requirements for debt reduction.
In earrying out this policy the American people are obtaining lasting
benefits. Economie protection of the aged and physically handi-
eapped is being secured through the operations of the Social Security
Act. Ability of the farmer to obtain a more constant livelihood has
been enhanced by the enactment of legislation especially designed
for that purpose. The home owner has been beuefited through the
financing of mortgages nt reasonable rates of interest. Investors in
securities are being given n. larger measure of protection by the
Securities and Exchange Act. The market for corporate securities
has been restored and industry has been able to finance its long-
term requirements on a favorable basis. The rights of labor are
being materially advanced through operation of the National Labor
Relations Act.
I plan to submit nt a Inter date an estimate of appropriation for
additional relief for the fiscal your 1938, which I hope will not exceed
the amount of $1,537,123,000, previously indicated as available for
this purpose. This hope is bused on the assumption that industry
will cooperate in employing men and women from the relief rolls in
larger numbers than during the past year. Many of those in charge
of industrial management, recognizing their obligation to the Nation,
have furnished n large mensure of employment to the jobless. Today,
while it is true that in some sections of the country certain types of
skilled workers are still seeking employment, it is nevertheless II fact
that the great majority of those now receiving relief belong to the
unskilled group. It is my conviction that if every employer or
potential employer will realize this fact and, during the next six
months, will undertake to give employment to persons now receiving
Government help, the national Budget can therenfter be kept defi-
nitely in balance. Without such cooperation on the part of employers,
the question of a balanced Budget for 1938 must of necessity remoin
an open one, for the very good reason that this Government does not
propose next year, any more thon during the past four years, to allow
American fumilies to starve,
To continue the gains we are making and to necomplish in the 1939
Budget a complete balance between receipts and expenditures includ-
ing debt reduction, we must now lay the groundwork of our future
fiscal policy.
While relief expenditures should decline with greater reemploy-
ment, the normal growth of the country naturally reflects itself in
increased costs of Government. Many of the old functions and
duties of Government naturally cost more as the industrial and agri-
Regraded Uclassified
9
MESSAGE TRANSMITTING THE BUDGET
VII
cultural activities to which they are related expand in volume: The
cost of new functions and duties can be substantially reduced only
by curtailing the function or the duty. I propose shortly to submit
to the Congress n brond plan for placing the Executive Branch of the
Government on a sounder and more responsible basis of management.
The carrying out of such II plan will undoubtedly result in some saving
in expenditures; but it must be remembered that what is generally
known ns overhead represents only Il small fraction of total expendi-
tures in any large business, Government or private.
Expenditures must be planned with n. view to the national needs;
and no expansion of Government activities should be authorized
onless the necessity for such expansion has been definitely determined
and funds are available to defray the cost. In other words, if new
legislation imposes any substantial increase in expenditures either
in the expansion of existing or the creation of new activities, it becomes
a matter of sound policy simultaneously to provide new revenue
sufficient to meet the additional cost. The success of such a policy
ean be assured only through the full and friendly cooperation of the
Congress and the Executive. Of this 1 am confident.
PART II
RECOMMENDATIONS
Temporary miscellaneous internal-recenue taxes.-1 recommend that
the Congress take steps by suitable legislation to extend the miscel-
laneous internal-revenue taxes which under existing law will expire
next June and July, and also to maintain the current rates of those
taxes which would otherwise be reduced next June. I consider that
the revenue from such taxes or its equivalent is necessary for the
financing of the Budget for 1938.
Postal receipts.-The estimate of appropriations payable from postal
revenues included in the 1938 Budget is predicated upon the contin-
unnee during that fiscal year of the 3-cent postage rate for first-class
mail other than for local delivery, While the Government makes a
profit on first-class mail, the Postal Service is not self-supporting
because it carries other classes of mail at a considerable loss, as shown
in the tabular footnote on page -. It should be the definite policy
of the Government to operate the Postal Service out of postal receipts,
and n. continuation of the 3-cent rate will be n necessary step toward
the accomplishment of this purpose,
Cirilian Consercation Corps.-The Civilian Conservation Corps has
demonstrated its usefulness and has met with general public approval.
It should be continued. I intend shortly to submit n. supplemental
estimate of appropriation to earry the Corps from March 31, 1937, to
Regraded Uclassified
S4
on
THE BUDGET. 1938
the end of the current fiscal year: and T strongly recommend that Con-
gress ennet during its present session the necessary legislation to
establish the Corps as 11 permanent agency of the Government.
Expenses of emergency agencies.-There are included in the 1938
Budget, pursuant to the direction of Congress at its last session,
estimates of approprintions for the administrative expenses of certain
emergency agencies and corporations. Such of the emergency agen-
cies and corporations ns may be continued by Congress should
have all of their expenditure requirements made subject to the same
scrutiny that is given by the Bureau of the Budget to the expenditure
requirements of the regular departments and establishments; and I
recommend that 11. provision to that effect be included in any future
legislation for the continuance of any such agency or corporation.
PART III
REVIEW OF THE FISCAL YEARS 1936 AND 1927, AND THE FISCAL PROGRAM
FOR 1938
This review concerns itself with the cash actually received and
paid out by the Treasury in the fiscal year 1936, with the estimates
of receipts and expenditures for the fiscal year 1937, and with the
fiscal program for 1938.
Fiscal year 1936
Receipts.-Treasury receipts for the year ended June 30, 1936,
amounted to $4,115,956,615, about $295,000,000 less than estimated
R year ago. As a result of Supreme Court decisions, the Govern-
ment lost about $457,000,000 in revenue from taxes levied under
the Agricultural Adjustment Act and the Bituminous Coal Act,
Had it not been for the invalidation of these taxes, the total revenues
received during the fiscal year 1936 would have exceeded the revenue
estimates of a year ago by $162,427,000
The collection of taxes on carriers and their employees, estimated nt
$33,600,000, has been deferred to the fiscal year 1937 because of
pending litigation. The receipts from income taxes were about
$7,500,000 less than last year's estimate.
On the other hand, miscellaneous internal-revenue taxes produced
$136,488,000 more than was anticipated: customs revenue, $33,621,000
more; miseellaneous receipts, $32,053,000 more; and realization upon
assets, $1,482,000 more.
Expenditures.-The total expenditures for the fiscal year ended
June 30, 1936 (exclusive of expenditures from postal revenues),
amounted to $8,879,798,258, as compared with the estimate of
$7,645,301,338 shown in the Budget submitted a year ago. This
Regraded Uclassified
MESSAGE TRANSMITTING THE BUDGET
IX
Intter amount did not, however, include $1,673,403,000 for adjusted
compensation payments to veterans. The expenditures for the year,
excluding these payments, were, therefore, about $439,000,000 less
than the estimate
The total expenditures for recovery and relief were $2,776,796,469
against an estimate of $2,869,068,187. For the operation and main-
tennnce of the regular departments and establishments of the Govern-
ment the expenditures amounted to $3,276,872,306 as compared with
estimates of $3,482,208,151. For statutory debt retirement there
WH8 expended $403,240,150, and for interest on the public debt
$749,306,802, the amounts budgeted for these items being $552,025,000
and $742,000,000, respectively.
Deficit and public debt.-The gross deficit for the fiscal year 1936
amounted to $4,763,841,042. Excluding $403,240,150 for statutory
debt retirement, there was II net deficit of $4,360,601,492. The esti-
mated net deficit us contained in the Budget submitted a year ago
was $2,082,482,302, n difference of $1,678,119,100. As previously
indicated, the original estimate has been affected to the extent of
$457,000,000 as 11 result of the invalidation of taxes levied under the
Agricultural Adjustment and Bituminous Coal Acts and by the addi-
tional expenditure of $1,673,493,000 under the Adjusted Componsa-
tion Act. If it had not been for the increase in the deficit due to these
enuses, the net deficit for the fiscal year 1936 would have been about
$452,638,000 less than that originally estimated.
The increase in the gross public debt during the year amounted to
$5,077,650,869, but this sum included on increase of the balance in
the general fund of the Treasury of $840,164,664. The gross public
debt on June 30, 1936, was $33,778,543,494.
Fiscal year 1937
Receipts.-The income of the Federal Government during the
fiscal year 1937 will increase sharply over that of 1936, It is expected
that the total revenue from all sources (exclusive of postal revenues)
will amount to $5,828,151,000. This represents an increase of
$1,712,194,000 over the actual receipts for the fiscal year 1936 and
an increase of $173,993,000 over the estimates contained in the 1937
Budget as submitted a year ago
The general improvement in business conditions and the enactment
of the Revenue Act of 1936 have resulted in additional revenues from
taxes which will not only make up the loss in revenue due to the
Supreme Court decisions invalidating the taxes levied under the
Agricultural Adjustment and the Bituminous Coal Acts, but will
produce additional income of approximately $174,000,000.
Since the Revenue Act of 1936 materially changes the tax structure,
the individual items of revenue as contained in the original 1937
Regraded Uclassified
THE BUDGET, 1938
Budget will not be exactly comparable with the individual items in
the 1937 Budget ne revised in this message.
Income taxes are expected to yield $2,372,900,000, or $946,325,000
more than was received from this source last year; miscellaneous
internal revenue, $2,274,908,000, an increase of $265,380,000; ens-
toms duties, $446,800,000, an increase of $59,988,000; and realization
upon assets, $31,830,000, on increase of $26,362,000. In addition, it
is expected that the new tax on unjust enrichment provided by the
Revenue Act of 1936 will amount to $82,000,000 and that the tax on
carriers and their employees will be $134,552,000, including $33,000,-
000 deferred from the previous fiscal year. The collection of taxes
levied under the Social Security Act will begin in the last half of the
fiscal year 1937, and it is expected that these taxes will produce
additional revenue in the amount of $324,600,000.
The only item of revenue showing any decrease is that of miscel-
laneous receipts, in the amount of $50,325,000; which is due to redue
tions in interest payments made to the Treasury by the Reconstrue-
tion Finance Corporation.
Espenditures.-From present indientions expenditures for the fiscal
year 1937 (exclusive of expenditures from postal revenues) will
amount to $8,480,804,000. Exclusive of statutory debt retirement
and adjusted compensation payments, the total expenditures will
amount to $7,512,779,000, an increase over comparable expenditures
for 1936 of $709,714,000.
This amount is made up of increases of $371,192,000 on account of
the Social Security Act, $85,603,000 on account of interest on the
public debt, $194,161,000 for the general public works program,
$123,442,000 for national defense, and $221,915,000 for other pur-
poses; and decreases of $93,322,000 for the Veterans' Administration,
$74,996,000 for the ogricultural mdjustment program, and $118,281,000
for the Civilian Conservation Corps.
The amount of the recovery and relief expenditures has been esti-
mated at $2,166,157,000, but there is included in the supplemental
expenditure items $650,000,000 from an appropriation of $790,000,000
to be requested of Congress for the purpose of carrying the Works
Progress Administration and related programs from February 1 to
June 30, 1937. This will increase the estimated expenditures for
recovery and relief to $2,816,157,000, an increase of $39,361,000 over
1936. The expenditures in the current fiscal year will include, how-
ever, the sum of about $1,05,000,000 for assistance given to individuals
and communities directly or indirectly affected by the widespread
drought conditions prevailing during the past summer. If this
drought had not occurred, the net cost of recovery and relief for the
current fiscal year would have been $125,000,000 below the cost for
the previous fiscal year.
Regraded Uclassified
MESSAGE TRANSMITTING THE BUDGET
XI
Deficit and public debt.-The current estimates for the fiscal year
1937 show a gross deficit of $2,652,654,000. Deducting public debt
retirements, the net deficit will be $2,248,129,000.
The increase in the public debt on account of the deficit, however,
will be only $1,348,000,000 since it is anticipated that $900,000,000 of
the deficit will be financed from eash on hand. The working balance
will be further reduced by net expenditures of about $41,000,000 from
trust accounts and $100,000,000 for the retirement of national bank
notes now a part of the public debt. This will reduce the working
balance from $2,225,000,000 on June 30, 1936, to $1,183,000,000 on
June 30, 1937. The gross public debt at the end of the current fiscal
year is estimated at $35,026,000,000, nn increase over 1936 of $1,248,-
000,000.
The estimated debt at the end of the fiscal year is based on con-
templated expenditures set out in this Budget and does not take into
account any change which may occur ns 0 result of the Treasury policy
in holding as "inactive" future aequisitions of gold.
Fiscal program for 1938
The expected incréase in revenue and decrease in expenditures for
relief both reflect the general improvement which has taken plane in
the economic conditions of the country. The Revenue Act of 1936,
which was designed for the purpose of replacing revenue lost through
the invalidation of processing taxes, of providing sufficient revenue to
amortize the cost of the adjusted compensation payments, and of
equalizing tax burdens, gives every indication of satisfactorily accom-
plishing those purposes. I should like, at this point, to emphasize the
importance of maintaining the productiveness of the present tax
structure, so that we may properly provide for the fulfillment of our
fiscal program.
Under logislation enneted during the last session of Congress, which
created authorizations for future appropriations aggregating more
than $1,500,000,000, there is included about $130,000,000 in the esti-
mates of appropriations contained in this Budget. Such authoriza-
tions are contained in the new Federal Highway Act, the Rivers and
Harbors and the Flood Control Acts, and the Rural Electrification
Act.
There is also included $8 12,225,000 for social security grants and
for the Government's contribution to the old-age reserve account,
more than double the expenditures for these purposes in 1937, and
there will be for several years still further increases in these require-
ments. Il should he pointed out that these expenditures will be met
to a large extent by the increasing revenues under the Social
Security Act.
Regraded Uclassified
XII
THE BUDGET, 1938
No estimate of appropriation is presented for the needs of the
Civilian Conservation Corps, since its extension beyond March 31 of
this year is dependent on the action of Congress. In furtherance of
my recommendation for the enactment of legislation to continue it
as n permanent agency of the Government, there is included in the
"Supplemental item" an amount sufficient to meet the expenditure
requirements for the fiscal year 1938.
The following table shows the distribution, on a functional basis,
of the expenditure figures contained in this Budget and compares
them with similar figures for previous years.
Actual and estimated expenditures of the Government for the fiscal years 1932-38
(the classifications include expenditures from both general and emergency funds)
(In millions of dillars)
Estimated
Actual
1938
1007
HAM
1935
1934
1033
1932
Régular operating expenditures:
Legislative, judicial, and rivil establish-
ments
771.8
820,0
781.1
MT.T
NLA
607.3
97% 8
National delense
901.00
954.0
911.6
700.9
440.3
667.8
207.6
Veterons' pensions and Fenefits
N77.1
LIMIT
2,331.4
558,9
NRI 2
USLA
Interest un the public debt
BIVLO
719.1
520.0
756.6
689.1
500,3
Total
3,200.9
1,801.6
1,750.5
2,73%
2,120.3
2.017.0
1,270.5
Public works
90%.2
LIMIT
WA 7
7013
$1.9
127.7
129.5
Unemployment relief
Direct relief
13.0
HMLT
241.7
1,914.1
715.8
350.7
Work relief (W. P. A. and C. W. A.)
+,2
1,100,5
1,294.4
11.3
NOS.)
Emergency work
38.0
186,3
(35.5
231.9
Total
11.2
1,573.2
2,342 1
2,360.9
1,832.8
350.7
Leans (wel)
STATE
#175.2
AU.S
788.6
STA.4
IGL.0
Subscriptions to stock
17.2
no.)
156 $
$20.5
110.7
627.0
Agricultural adjustment program
052 4
467.6
512.6
TELO
200.3
Less révenues
76.6
521.4
151.0
Net
0824
467.6
4600
21.6
127
Social security
A36.0
30.6
21
Delu retirement
401.5
804.5
$00.2
2016
330.0
401. 0
112.6
Minellanences
LA
2.0
6.8
21.1
N.7
Supplemental items
4/0.0
730.0
Grand total
49.158.0
5,480.8
5,901.1
6,554.4
6,732.0
AIGLO
A.133.0
To be surreased by any attinum appropristed by Contress he recevery and relief for the fished year
159. Amount indicated in funlget manage as available for appropriation last this purpose is $1,530,000,000.
1. Rom of credits, déduct.
Excess of revenues, deduct.
SS
MESSAGE TRANSMITTING THE BUDGET
XIII
Receipts - Treasury receipts in the fiscal year 1938 are expected to
reach a total of $7,203,607,000, an increase of $1,465,456,000 over
similar receipts for 1937 and $3,177,650,000 over 1936. This gain is
largely due to un increase in income tuxes as a result of improved
business conditions and the operation of the Revenue Act of 1036.
The amount expected to be collected in 1938 from income taxes is
$3,365,300,000, a guin of $992,400,000 over the fiscal year 1937.
Miscellaneous internal revenue will produce $2,508,332,000, or
$233,364,000 more than is expected from this source for 1937. The
tnx on unjust enrichment and the taxes on carriers and their em-
ployees from which $82,000,000 and $134,552,000, respectively, will
be derived in 1937, will produce no revenue in 1938, since under
existing law these taxes expire during 1937. The first full year of
tax collections under the Social Security Act will result in revenue
of $774,800,000 in 1938, which sum is $450,200,000 greater than the
anticipated revenue in 1937, and represents one-half year's collections
only. It is believed that customs' revenues will rise from $446,800,000
during the present fiscal year to $463,000,000 in 1938, a guin of
$16,200,000. Miscellaneous receipts, however, will decrease $8,949,-
000, the 1938 collections being estimated at $151,551,000, as com-
pared with $160,500,000 during 1937. From realization upon nssets
$30,625,000 will be received, while in 1937 receipts from this source
will amount to $31,830,000.
Erpenditures:-The expenditures for 1938 contemplated under this
Budget (exclusive of those from postal revenues) will total $6,157,-
999,000, or approximately $2,323,000,000 less than is now estimated
for 1937. General expenditures for regular activities amount to
$5,841,968,000, as compared with $5,664,647,000 in 1937, nn increase
of $177,321,000. The 1937 estimate, however, contains an amount of
$563,500,000 for completion of adjusted compensation payments to
veterans, 50 that the comparable increase over 1937 is $740,821,000.
For recovery and relief there is included in the expenditures for 1938
the amount of $316,031,000, which, of course, is not the full amount
that will be required for relief during that year. As previously
indicated, it is our present hope that the additional amount to bé
requested for this purpose will not exceed $1,537,123,000. Thus the
total expenditure for recovery and relief during 1938 would be
$1,853,154,000, or $063,003,000 less than the amount estimated for
1937. Again 1 emplosize the contribution which employers can
make to this attainment.
The general expenditures include $860,000,000 for interest on the
public debt, nn increase of $25,000,000 over the amount for the
present fiscal year, and $401,515,000 for statutory debt retirements, a
decrease of $3,010,000. Exclusive of the service on the public debt
and the payment of adjusted compensation to veterans, there is a
77650-36-11
Regraded Uclassified
THE BUDGET, 1938
net increase of $718,831,000 in expenditures for regular activities ns
compared with 1937. This increase is accounted for as follows:
For increased requirements under the Social Security Act, $436,-
337,000; for additional expenditures under the general public works
program, $132,519,000; for national defense to provide for the in-
ercused strength of the Army as directed by Congress and to provide
for replacement of noval vessels in accordance with existing authori-
zations, $92,882,000; for the necessary frinds for the activities of the
Railroad Retirement Board and for rural electrification, $39,566,000;
and for increased needs of other activities, $17,527,000.
Surplus and public debt.-The surplus for the fiscal year 1938, ns
presented in this Budget, is $1,135,000,000, after providing for debt
retirement. Excluding provision for debt retirement, the surplus
will amount to $1,537,000,000. As I have previously stated, it is
hoped the additional needs for relief during the fiscal year 1038 will
not require expenditure of more than this latter amount. On this
basis the est mated gross public debt, on June 30, 1938 with to about
the same amount as at the close of the fisca year 1937. This does
not take into account any change which may occur as a result of the
Treasury policy in holding as "inactive" future nequisitions of gold.
Appropriations.-The total appropriations recommended in this
Budget aggregate $6,830,000,000, including those for the postal serv-
ice, District of Columbin, and probable supplemental items, while the
appropriations already made and prospective supplemental items for
the fiscal year 1937, exclusive of requirements for recovery and
relief, total $6,261,000,000, BIT increase of $578,000,000 for 1038.
This increase is due to additional appropriations amounting go
$309,000,000 on account of the Social Security Act; $80,000,000 re-
quired under the general public works program: and $89,000,000
on account of departmental requirements, including the national
defense. The appropriations mule and contemplated for recovery
and relief for 1937 total $2,215,000,000, whereas it is expected that
corresponding appropriations for 1938 will not exceed $1,537,000,000.
PART IV
THE DISTRICT OF COLUMBIA
The first section of the 1937 District of Columbia Appropriation
Act, approved June 23, 1936 (Public, No. 702, 74th Congress), contains
the following provision:
"Not to exceed $50,000 shall be avail/able for expenditure, under the direction of
the President, for making an Independent study of the fiscal relations between
the United States and the District of Columbia and enabling him to report to
Regraded Uclassified
101
MESSAGE TRANSMITTING THE BUDGET
XV
Contress at the beginning of the next regular sension, what, To his polgment, in is
fair and equilable amount to be paid by the United States as an annual contri-
Dution toward the expenses of the government of the District of Columbia; such
am shall be available for personal services without regard to the civil service
laws and the Classification Act of 1923, as amended, and for such other expendi-
tures the may be necessary in connection with such study."
Pursuant to the above, I appointed D. director and an advisory
committee of three members (n conduct on independent study of the
various elements and conditions affecting the fiscal relations between
the United States and the District of Columbia.
The report contains detailed findings and recommendations with
the supporting data and information collected from the Federal and
District Governments in Washington and from 17 comparable
American cities and the capital cities of 21 foreign countries.
The application of the basic principles and recommendations ns
outlined and detailed in the report is reflected in the following 3-point
formula, which 1 recommend be carefully considered by the Congress
with a view to enacting such legislation at this session as may be
necessary to establish equitable fiscal relationships between the two
governments.
1. Intergovernmental enutractual aereices-Contractoal arrangements shall be
established for the reimbursement of the cost of specific intergovernmental
services supplied either government by the other. Appropriations therefor shall
be included in the respective annual departmental hudgets.
11. Capital outlays of joint interest.-The National Capital Planning Commis-
sion (proposed be the report) shall determine the extent of the respective Federal
and District Interests ju capital outlays and improvements to be included in the
District budget.
III. Per capita governmental costs-Pending the grant of broader powers of
local control over purely local affairs, the eseess of the District governmental
costs per capita over the average of those in comparable citles shall be assumed
by the Federal Government: Provided, however, That such excess District govern-
mental costs shall he assumed only after allowance has been made for reimburse-
ments due to unusual costs occasioned by Congressional enactments.
I also recommend that, concurrently with enactment of any legis-
lation which carries into effect the provisions of this continuing
formula, the substantive law providing for annual Federal contribu-
tions of a fixed percentage of District appropriations be repealed and
that the system of annual Federal lump-sum contributions be
abandoned.
The application of this formula to the 1938 Budget estimates
would provide for a net reimbursement by the Federal Government
to the District of Columbia of $2,533,357, made up as follows:
Net additional
mindoralle
amount
I. Intergovernmental contractual services
$1,996,407
11. Capital outlays
536,950
III. Excess per capita District of Columbia governmental custs.
Total
2, 333, 357
Regraded Uclassified
102
XVI
THE BUDGET, 1938
Since the District budget for the fiscal year 1938 shows a gross
deficit of $11,740,251, the application of the formula will result in a
net deficit of $9,206,924, to be met from such sources of additional
revenue as are indicated in the report.
:
FRANKLIN D. ROOSEVELT.
JANUARY 5, 1937.
Regraded Uclassified
103
GENERAL BUDGET SUMMARY
AND SUPPORTING SCHEDULES
XVII
Regraded Uclassified
104
GENERAL BUDGET SUMMARY
BALANCED STATEMENT AS REQUIRED BY THE BUDGET AND ACCOUNTING ACT (U. S. C., TITLE 31, SEC. 11 (F))
GENERAL AND SPECIAL ACCOUNTS
Estimated, fis-
Estimated, fis-
Actual, fiscal
eal year 1938
cul year 1937
your
I. IDENTIFTS:
1. Revenues (Supporting Schedule No. 1):
Internal revenue
$6,648,432,000
$5,180,000,000
$3,512,551,008.15
Customs
463,000,000
446,800,000
Miscellaneous revenues
151,AN0,529
160,500,485
210,824,951.84
Total. revenues
7,262,982,520
1,706,320,485
4,110,488,153.68
2. Realization upon assets
30,624,666
31,830,234
5,466,461.45
Total. receipts
7,208,607.197
A,828,150,719
4,115,936,618.18
It. EXPENDITURES (Supporting Schedule No. 2):
1. Legislative, justicial, and executive
41.344,300
41,390,550
39,812,725.75
2. Civil departments and agencies
708,392,178
649,535,608
572,580,751.82 R$
3. General Public Works Program
451,108,98
318,590,000
124,428,070.29
4. National defense
980,763,000
887,881,060
764,439,125.94 14
5. Veterans' pensions and benefits
577,324,000
580,771,465
174,092,867.09
Adjusted compensation payment
563,500,000
1,673,492,231.72
6. Agricultural adjustment program
482,400,000
467,610,000
542,003,751.05
7. Civilian Conservation Corps
368,000,000
486,281,110.58
N. Social Security
295,574,000
174,637,500
25,445,202.20 2%,
Old Are Reserve Amount
540,000,000
225,000,000
D. Debt charges:
Interest
800,000,000
835,000,000
740,306,801.68
Retirements
401,515,000
404,525,000
403,240,130.00
10. Refunds
52,146,100
45,201,100
44,185,625.78
R
11. Recovery and relief (Supporting Schedules No. 2-A, 2-B, and 2-C)
316,030,913
2,166,157,100
2,776,796,468.51
12. Supplemental items
$50,000,000
750,000,000
Total, expenditures
6,137,909,254
8,480,804,493
8,579,796,237.61
III. SUBTUTA
1,135,607,943
4,763,841,642.48
Deficit
IV. MEANS of FINANCISG DEFICIT:
1. Decrease in working balance (general and special accounts, Supporting Schedule No. 3)
900,128,774
2. Borrowings (Supporting Schedule No. 4):
401,525,000
403,240,150.00
Replacing debt resirements
1,348,000,000
4,360,601,492.00
Incressing the public debt
2,632,653,774
1, 4,763,841,642.00
Total. means of financing
XIX
Regraded Uclassified
105
XX
THE HUDGET, 1938
SUPPORTING SCHEDULE No. 1
RECEIPTS
(Ordinary revenues and other receipts belonging to gener al and /Decial accounts. excluding postal revenues)
GENERAL AND SPECIAL ACCOUNTS
Estimated. fiscal
Estimated, flacal
Actual, fiscal
year 1938
year 1937
year 1036
1. RECEIVES
E, Internal governme:
(1) Include Tax
$3,365,300,000
$2,372,000,000
(2) Miseellaneous Internal-revenue lases:
Rstate tas
464,100,000
305,100,000
218,780,738.53
our tax
75,000,000
110,000,000
150,058,761.67 n
Capital stuck
142,000,000
139,000,000
94,942,731.74
Alesholie beverage
543,700,000
594,500,000
505.242.797,31
Tobacco taxes
560,347,000
541,548,000
500,785,385.03
Stamp taxes
83,075,000
77,600,000
08,989,885.60
Manufacturers' excire taxes
488,510,000
428, X20,000
382,642,132.90 90
Sundry taxes
82,600,000
78,900,000
72,000,901.95
Total (unsiljusted)
2,508,332,000
24
2,274,968.000
2,004,513,380.53
Adjustment to daily Treasury statement
+5,065,122.63
Total. miscellaneous Internal-reventse taxes
2,508,332,000
2,274,904,000
2,006,878,312.16
(P) Processing and related taxes
76,640,381.41
(4) Other Internal-revenue MIN:
Taxes on curriers and their employees
134,532,000
48,278.74
Social-security tases
774,800,000
224,600,000
Tax on unjust enrichment
82,000,000
Total. other Internal-revenue taxes
774,800,000
541,152,000
48,278.74
Total, internal revenue
6,648,432,000
5,180,020,000
3,512,851,008.15
2. Customs
462,000,000
446,800,000
386,811,593.00
3. Miscellaneons revenues:
(1) Miscellaneous taxes
2,459,000
2,457,500
3,121,219.43
(2) Interest, exchange. and dividends
39.799,639
32,049,231
89,933,433.22
(3) Fines and penalties
2,885,450
2,995,600
1,406,531.08
(4) Fees
15,893,380
15,743,530
13,112,254.41
(5) Forfeitures
HU4,025
996, 375
932,800.96
(6) Assessments
3,321,330
2.981,310
2,772,698.21
(7) Reimilarsements
8,757,060
7,534,480
6,882,000.75
(8) (line and contributions
27,750
52,750
4,954.97
(9) Sales of products
3,301,283
11,870,500
8,854,337.05
(10) Sales of services
30,502,540
29,647,000
30,214,507.75
(11) Renta and royalties
6,371,300
6,170,800
5,778,424.40
(12) Permits, privileges, and licenses
3,710,450
2,800,450
1,800,727.66
(13) Sundry receipts
33,579,400
45,171,100
48,153,280.00
e
Total (unsidjusted)
151,550,529
160,500,485
212,900,271.49
Adjustment to daily Treasury statement
A
-2,144,319.65
Total, miscellaneous revenues
151,550,529
160,500,485
210,824,951.84
Total. revenues
7,362,982.529
5,796,320,485
4,110,488,153.68
II. REALIZATION UPION ASSETS:
1. Repayments of Investments
28,486,548
K
28,200,444
2,198,578.06
= Sales of public lands
60,000
70,000
74,355,41
2,078,120
3,300,710
3. sales of Government property
2,198,427.98
30,624,668
31,830,234
5,408,461.45
Total, realization upon assets
Total receipts, general and special accounts
7,288,607,197
4,115,956,613.13
106
GENERA L BUDGET SUMMARY
XXI
SUPPORTING SCHEDULE No. 2
EXPENDITURES
[Relinisted and actual spenditures from general and special accounts]
Estimated. fiscal
Estimated, fiscal
Actial, fiscal
year 1938
year 1507
year 1936
1. LEGISLATIVE AND EXECUTIVE
11 Legislaire establishment
$23,300,100
$23,472,450
$21,508,892.76
= Judiviary
17,008,000
17,200.000
17,878,461.31
a. Executive Office
435,700
511,100
$25,401.68
Total. legislative. judicial, and assentive
41,344,300
41,390,550
30,812,725.75
it. CIVIL DEPARTMENTS AND MESCRIBE
1. Department of Apriculture
124,881,200
110,691,285
75,822,284.15
2. Department of Commetce
38,506,400
37,301,940
22,707,462.77
a. Department of the Interior
72,944,600
74,485,702
1. Department of Instite (except the judiciary, 1, 2, above)
20,210,000
19,880,000
19,504,590.77
5. Department of Labor
17.123,000
15,065,220
15,254,038.42
6. Department of State
10,419,800
17,520,700
10,179,174.61 ni
7. Treasury Department (evergt deld retirement, interest, Social Sectir ity and refunds, VIII, IX, and x below)
150,411,200
151,654.100
133,159,204.72
8. War Department (nonmilliary)
34,828,200
41,464,100
35,448,882.08
Pueus Canal
10,387.000
11,281,000
11,447,778.98
M. Retirement Board
27,223,000
8,102,500
306,880.64
3
(ii. Rural Kisetrification Administration
21,475,000
V70,000
11 United Plates Muritime Commission
26,000,000
8,188,000
12. Other independent efflees and establishments
63,807,300
42,855,600
51,716,958.22
15. Retirement funds, civil, Canal Zune, Alaska Railroad, and Foreign Service (Government share)
73,254,000
46,735,300
40,002,400.00
11. Post Office Department, deficiency (from Annesed Budget) (see analysis following this schedule)
30,769,478
50,203,181
85,800,012.82
15. District of Columbia, expiribution (froms Annesed Htalget)
(1)
5,000,000
5,787,500.00
Undersified Items
2,067,785.47
Adjustment disbursing ufficer's checks unternading
-4,463,463.07
Total. civil departments and agencies
708,392,178
049,538,608
$71,580,751.82
III. GENERAL Penue Works PROGRA
I. Tennessee Valley Authority
40,000,000
48,000,000
21,016,755.48
2. Veterans' Administration
10,000,000
M,000,000
1,889,226.92
1 Dejartment of Apriculture
(42,000,000
95,000,000
20,736,342.16
4. Department of Commerce
1,000,000
1,000,000
316,756.32
A Department of the Interior
56,052,000
45,V30.000
19,071,676.30
6 Department of Justice
600,000
2,200,000
109,299.18
7. Department of State
4,230,000
3,698,600
637,181.09
A. Treasury Department
45,300,963
30,000,000
14,173,823.32
9. War Department
130.000,000
KT,000,000
37,436,208.12
Total, General Public Works Program
451,108,963
318,500.000
124,428,970.29
IV. NATIONAL DEFENSE:
1. Navy Department
587,302,600
510,280,080
391,424,149.26
= War Department
200,440,400
$77,601,000
373,014,977.68
Total. national defense
148,763,000
764,439,120.94
V. VETERANS* PENNONS AND RESEPITE
1. Veterans' Administration
577,824,000
$80,771,465
674,092,867.00
2. Adjusted compensation payment
563,500,000
1,073,492,531.72
Total veterins' pensions and benefits
$77,524,000
1,144,271,465
2,347,585,398.81
N°
VI. AGENTIFICAL ADDISTMENT ADMINISTRATION
482,400,000
445,110,000
232,534,007.92
Refunds of processing tases
22,500,000
10,081,744.00
Total, Agricultural Adjustment program.
42,400,000
467,610,000
642,005,751.95
VII. CIVILIAN Conservation Coars
366,000.000
666,281,193.58
VIII. SOCIAL SECURITY
1. Administrative expenses
23,749,000
20,867,100
624,574.46
2. Grants
272,225.000
153,750,000
27,820,718.04
3. Old are reserve seconsit
340,000,000
225,000.000
Total Social Security
535,974,000
300,637,500
29,445,202.50
IX. DEBT CHARGES
L Interest
860,000,000
835,000,000
740,300,801.08
2, Refirements:
401,515,000
404,525,000
403,260,150.00
Total debt charges
1,251,511,000
1,299,525,000
1,142,674,001.68
Uclassifie
107
XII
THE BUDGET, 1938
SUPPORTING SCHEDULE No. 2-Continued
EXPENDITURES-Contined
[Estimented and outsual attenditures from reneral and special accounts)
Estimated,
Estimated, fiscal
Actual, Resel
year 1938
your 1937
year IV30
X BEFUNDS
1. Customs
$15,800,000
$18,000,000
1. Internal revenue
36,146,500
30,200,100
Total, refunds
52,946,900
45,203,100
44,183,625.78
XL RECEIVERY AND RELIEF:
1. Agricultural aid:
(1) Commodity Credit Corporation
+30,000,000
+ 125,600,000
(2) Farm Credit Administration
129,715,022.53
* 13,182,687
* 12,508,000
($) Federal land Lanks
-31,223,212.17
21,000,000
69,900,000
Total, apricultural aid
-10,182,687
-67,608,000
2. Relief:
(1) Foiteral Emergency Relief Administration (Including Federal Surplus Relief Corporation)
11,000,000
(2) Civil Works Administration
495,591,980.07
230,000
540,000
(9) Drought-stricken arras (Department of Agriculture)
676,195.79
507.300
2,882,148.90
Total, relief
230,000
12,047,300
499,150,631.66
3. Pathlic works:
(1) Administrative expenses, Public Works Administration
10,000,000
26,000,000
(2) Boulder Canyon project
25,255,459.16
5,354,000
X.835,000
(3) Loans and grants le States, munlelpalitier, etc
10,023,710.53
183,000,000
236,000,000
(4) Loans to milroads
172,116,011.89
* 5,000,000
(5) Public highwyns
127,881,597.33
131,544,000
268,130,000
en River and harbor works
13,195,700
100,001,500
(7) Horal Electrification Administration
152.318,737.00 ())
15,202,400
(M) Wirks Progress Administration
1,402,654.17
1,400,000,000
(M) Other public works (national defense, public buildings, etc.)
1,203,661,400.21 20,
145,417,400
360,077,750.67
Total. public works
$5,053,000
2,600,606,300
2,
4. Alida in home owners
(1) Home-lean system
22,449,000
(2) Emergency housing
12,385,356.20
31.000,000
49,612,700
(R) Federal Housing Administration
24,000,423.42
16,000.000
14,000.000
(4) Resettlement Administration, including substitence homesteads
16/204/000.14
30,100,000
173.054,500
138,015,987.62
Total, aids to home owners
77.900,000
243,116,100
214.812.309.47
5.
(1) Export-import hanks of Washington
3,065,000
10,181,457.76
(2) Administration for industrial recovery
20,000
A,111,371.02
Total. miscellanentas
24,090,824.78
é Reconstruction Finance Corporation
150,000,000
425,000,000
i, Tennessee Valley Authority
238,782,416.78
27,834,668.09
Total. receivery and relief
114,030,913
2,166,137,100
2,776,796,400.31
XII. SUPPLEMENTAL ITEMS:
450,000,000
770,000,000
Total expenditures
6,157,909,254
8,490,804,463
Extens of credits, deduct.
1. Federal contribution to be determined by Congress after consideration of the
report of the Committee on the Study of Fiscal Relations Between the United States
and the District of Columbia. Funds are included in "Supplemental Items" for this
purpose.
108
GENERAL BUDGET SUMMARY
XXIII
SUPPORTING SCHEDULE No. 2-Continued
EXPENDITURES-Contined
Analysis of postal deficiency by classes of mail and special service 1
(In millions of dollars]
Estimated, fiscal year 1938
Estimated. fiscal year 1937
Actual, fisent year 1935
Expendi-
Excess (+)
Revenues
ne defi-
Revenues
Expendi-
Excess (+)
tures
or deß-
Revenues
Expendi-
Exems (+)
elency (-)
tures
tures
of defi-
eleney (-)
cleney (-)
Classes of mall:
First class
415.4
281.9
+132.5
393.2
Second class
271.4
+121.8
365.1
-
263.4
25.6
120.9
+101.7
-91.3
24.5
Thint class
116.4
-91.9
22
113
71.7
-91
92.1
-20.4
67.8
Fourth class
88.6
-20.8
63
M
138.6
-23
149.6
17-
131.2
Foreign
144.1
-129
121.8
139.8
17.1
-18
26.7
-2.6
16.2
34.3
Penalty
-18.3
15.4
47.1
-31.7
13.6
-13.6
Franked
13.1
-13.1
12.7
-127
.6
-6
Free for the blind
.6
-.6
.6
-.6
-1
-.1
Special services and miscellaneous
.1
=.I
.1
86.6
-1
100.3
-13.7
82.1
96.5
-14.4
al
93.6
-15.6
Gross total
755.0
785.8
-30,8
715.0
765.3
Less adjustment to Daily Treasury Statement
-50.3
665.3
756.3
-91
5.1
Net total
755.0
785.8
-30.8
715.0
765.3
-50.3
665,3
756.3
-85.9
1 For details under each classification see table on p. 716.
Uclassified
109
XXIV
THE BUDGET, 1938
SUPPORTING SCHEDULE No. 2-A
FUNDS APPROPRIATED AND ALLOCATED FOR RECOVERY AND RELIEF AS OF OCTOBER 31, 1936
Emergency Appropriation Aet, 1035
National Instrus-
Emergency
Emergency
Specific
trial Recovery
$301,175,00
$325,000,000
Relief
Kulief
Hermstruction
Act
$400,000,000
Emergency
Louns and
Appropriation
Appropriation
Floures Cur-
Total
Public W orks
Relief and
relief in
Act, 1935
Act, 1936
poration
Administration
Public
stricken agri-
Works
cultural area
1, aid:
Commodity Credit Cur-
poration
$3,000,000.00
$549,770,123.34
$302,774,133.34
Farm Credit Admine-
tration
$77,635,000.00
60,000,000.00
$131,079,950.00
$20,000,000.00
316,374,778.64
605,061,737.64
Rederal Farm Mortgage
Corporation
200,000,000.00
200,000,000.00
Rederal land banks:
Capital stock
125,000,000.00
125,000,000.00
Paid-in surplus
199,000,000.00
100,000,000.00
Reduction in internit
raten nn undersignes
62,950,000.00
Total, agricul-
tural aid
454,575,000.00
63,000,000.00
20,000,000.00
1,000,160,010.00
1,734,801,820.08
2. Relief:
Federal Emergency Relief
Administration, instrud-
Ing Federal Surplies
Communities Corpora-
lien
004.938.257.89
152.072.943.94
$114,000,000.00
$1 63,000,000.00
223,500,512.76
935,005,625.00
911.040,000.00
3,083,627,329.58
Civil Works Administre-
tion
$32,481,750.00
400,000,000.00
88, 100, 000.00
821,446,730.00
Department of Agrieul-
ture relief
55,192,500.00
85,192,500.00
Total. relief.
207,400,002.80
152,077,943.04
(14,000,000.00
143, 000,000.00
806,783,012.75
165,000,625.00
1.000,000,000.00
4. Public works (including work
relief)
Boulder Canyon project
44,003,000.00
3,000,000.00
11,500,000.00
71,532,960.03
Loins and grants to
States, etc.
113,201,804.00
130,021,484.70
380,100,747.00
932, 417,125.79
Lunise to railronds
192.170.506.00
192,130,306.00
Public highways
2555,488,217.71
438,041,725.00
2,239.06
499,021,865.00
á
$8,234,009.00
1,201,388,118.74
River and harbor work
254,723,992.39
03.821,100.42
180,947,000.00
16,116,244.00
495.011.027.41
Rural Electrification Ad-
ministration
15,970,876.00
15,970,876.00
Works Progress Admin-
Istration
1,438,841,379.00
903,862,377.00
All ullive public mike
Agriculture:
Administrative
expenses
9,882,710.00
172,000.00
10,221,710.00
Forest Service
15,967,745.00
23,681,625.00
10,160,000.00
51,798,370.00
Plant Quarantine
and Industry
3,539,114.95
40,450.00
5,379,607.95
Soll Krusion
3,006,586.31
3,646,718.14
1,653,304.45
Sell Conservation
19,432,198.00
4,755,000.00
24,157,196.00
Animal Industry
2,045,290.00
237,080.00
1,119,650.00
490,000.00
Wild life refuse
0,000,000.00
1,922,500.00
7,922,500.00
Building, rejuirs,
etc., Washing-
2,717.96
lon
2,717,00
Experiment sta-
4,950.00
tions
4,900.00
19,224.00
200,004.00
Wenther Huresu
183,840.00
Dairy Industry
288,470.00
3,000.00
201,470.00
Chemistry and
150,010.00
Solds
133,910.00
Entomology and
Plant Quaran-
time
2,008,100.00
12,770,008.00
5,050,533.00
21,432,857.30
Biologiest Survey
700,000.00
098,730.00
1,055,000.00
2,550,780.00
Agricultural Rn-
gineering
226,114.00
7,181.00
333,305.00
Home Economics
1,200.00
1,374,000.00
1,376,199.00
Food and Drug
07,400.00
Administration
67, H00.00
147,000.00
Secretary's office
147,000.00
Fortnole on p.
Uclassified
11
GENERAL BUDGET SUMMARY
XX
SUPPORTING SCHEDULE No. 2-A-Continued
FUNDS APPROPRIATED AND ALLOCATED FOR RECOVERY AND RELIEF AS OF OCTOBER 31, 1936-Continued
Emergency Appropriation Act, 19015
National Indus
Emergency
$501,175,000
Emergency
Epecific
trial Recovery
$125,000,000
Relief
Relief
Reconstruction
Act
$400,000,000
Emergency
Loans and
Appropriation
Public Works
Appropriation
Finance Cor-
Total
Relief and
relief in
Act, 1935
Act, 1990
poration
Administration
Public
stricken agri-
Works
cultural areas
a Publieworks (including work
AU other public works-
Continued
Agriculture-Cout'd.
Extension Serv-
ice. including
wind erredon.
$2,001,000.00
$2,004,006.00
Agricultural Een-
number
$1,521,140.00
1,521,140.00
Total, Agri-
culture
$36,753,303.52
$4,000,753.00
$1,922,500.00
72,023,345.00
27.840,072.00
143,172,003.61
Commerce:
Administrative
expenses
205,000.00
180,000.00
475,000.00
5,011,971.60
20,000.00
5,031,971.60
Coost and tien-
derie Survey
8,287,773.00
A,287,775.00
Aeronauties
2,076,717.73
2,076,717.73
Affice of the Ser-
relary
1,000,000.00
1,000,000.00
Buresu of Stand-
and
10,560.81
60,960.07
75,000.00
244,557.78
Navipation and
Steambout lo-
spection
93,033.00
93,033.00
Fisheries
670,420.00
135,996.00
825,415.00
Air Commerce
980,584.00
980,584.00
Census
8,231,948.00
1,974,000.00
10,200,948.00
Industrial En-
notifies
100,000.00
100,000.00
Total. Com-
merce
17,809,478.14
1,000,580.52
8,877,944.00
2,154,000.00
29,022,000.11
District of Columbia,
sewer construction
1,500,200.00
1,500,200.00
Interior:
Administrative
espenses,
2,183,466.00
299,470.00
2,482,000.00
Reclamation
47, MO, 01X 73
10,000.00
33,947,000.00
101,517,913.73
Indian Service
254,530,638.73
261,500.00
1,879,250.00
31,661,388.73
National Parks
$7,000,000.00
37,311,283.70
1,336,630.30
5,252,425.00
7,052,020.00
61,832,467.80
Geolingiesl Survey
0,751,608.46
104,913.00
6,860,521.46
Alaska Road
Commission
1,500,000.00
671,500.00
2,267,500.00
Soll Ereston
7,130,284.44
142,180,86
7,272,563.30
Howard Univer-
sity
3,000,388.00
500.00
3,010,888.00
General Land OF
five
1,750,000.00
129,346.00
1,889,346.00
Alaska Baitroad
210,008.00
210,006.00
St. Elizabeths
Hospital
1.000.206.41
9,451.00
1,108,609.41
Bureau of Mine
302,250.00
190,363.73
793,613.73
Virgin Islands
2,302,850.00
32,114.00
604,600.00
2,939,564.00
Secretary's office
1,249.82
3,500.00
11,780.82
Division of In-
vestigations
0,000.00
9,000.00
Oil regulations
020,870.00
620,870.00
Columbia Insti-
tute for the Dest
10,000.00
10,000.00
Petroleum Ad-
ministrative
Board
$37,071.80
60,000.00
1,825,000.00
2,222,971.80
Perry's Victory
Memorial Com-
missium
20,500.00
20,500.00
Footnote on -
Regraded classified
XXVI
THE BUDGET, 1938
111
SUPPORTING SCHEDULE No. 2-A-Continued
FUNDS APPROPRIATED AND ALLOCATED FOR RECOVERY AND RELIEF AS OF OCTOBER 31, 1936-Continued
Emergency Appropriation Aet, 1935
National Indus-
Emergency
Irial Receivery
$501,175,000
$527,000,000
Emergency
Specific
Relief
Act
$100,000,000
Relief
Reminstruction
Emergency
Loans and
Appropriation
Public Works
Relief and
Appropriation
Finance Cor-
Total
relief in
Aet, 1933
Act, 1936
poration
Administration
Public
stricken aerl-
Works
cultural steas
1 Public works (including work
relief)-('ontintied.
All other public works-
Continued.
Interior-Postinued.
Territory of
Alaska
$175,500.00
$175,300.00
Freedmen's How
pital
85,000.00
83,000.00
Division of Terri-
tory and Island
Possessions
108,280.00
108,280.00
Office of the Chief
Clerk
$2,250.00
2,250.00
Assistance for
educational,
professional,
and clerical
persons
$70,583.00
70,583.00
Office of Eden-
tion
1,800,328.00
$423,530.00
2,283,858.00
Puerto Rien Re
construction
Administrition:
Puerto Rien
special fund
34,868,395.00
+
34,868,395.00
Administra-
live 01-
penses
175,000.00
175,000.00
Other
5,823,000.00
5,825,000.00
Total, In-
terior
$7,000,000.00
(30,986,143.64
2,471,384.30
$1,825,000.00
104,451,013.00
14,675,029.00
270,408,470.53
Justice:
Administrative
expenses
1,532,300.00
1,532,300.00
Prisons
635,024.61
635,024.63
National Training
School for Boys
144,821.75
144,821.75
Administrative
division
7,000.00
5,500.00
12,500.00
Total. Justice.
786,846.38
5,500.00
1,532,300.00
2,324,655.38
Labor:
Administrative
expenses
227,311.00
$0,000.00
267,311.00
Immignation and
Naturalization
1.422.980.00
175,752.00
1,188,732.00
Board of Arbitra-
tion
2,000.00
2,500.00
Secretary's Office
26,000.00
111,000.00
137,000.00
Bureau of Labor
Statistics
8,500.36
148,830.57
1,547,500.00
1,710,209.03
D. 8. Employ-
ment Service
2.100,520.17
1,000,780.08
2,000,000.00
11,803,401.00
9,100,000.00
27,072,084.05
Concilation
Service
64,250.00
04,293.53
National Labor
Relations
Board
709,047.08
709,047.08
National Long-
shoremen's
Labor Board
25,000.00
25,000.00
National Steel
Labor Rela-
tions Board
28,500.00
58,500.00
Testile Labor Re-
Istions Board
00,000.00
208, N2.70
260,532.70
Footnote on p.
Regraded Uclassified
112
GENERAL BUDGET SUMMARY
XXVII
SUPPORTING SCHEDULE No. 2-A-Continued
FUNDS APPROPRIATED AND ALLOCATED FOR RECOVERY AND RELIEF AS OF OCTOBER 31, 1936-Continued
Emergency Appropriation Act, 1983
National Indus-
Emergency
$501,175,000
I
$525,000,000
Emergency
Specific
trial Recovery
Helief
$400,000,000
Emergency
Relief
Reconstruction
Act
Lissins and
Public Works
Appropriation
Belief and
relief in
Appropriation
Finance Cop
Total
Administration
A:1, 1035
Public
Act, 1936
peration
stricken aeri-
Works
cultural area
Publicwerks (including work
All other public works-
Continued
Labor-Continued.
Assistance for ml-
cretime. profer
sional, and clerr
lest persons
$256,350.00
$286,350.00
Total, Labor:
$1,487,086.31
$2,100,700.68
$2,300,383.27
12,492,614.00
$10,687,500.00
32,221,544.29
Navy
Administrative
expenses
257,615.00
180,000.00
Vende
238,000,000.00
437,010.00
Yank and Docks
28.100,238.23
40,001,000.00
238,000,000.00
17.107,561.00
9,600,000.00
Secretary's Office
2,817,657.21
95,460,701.25
Aerinauties
7,500,000.00
2,837,637.21
Engineering
712,500.00
7,500,000.00
Ordinam
327,178.50
712,500.00
Supplies and Ae
327,178.50
counts
205,241.00
205,241.46
Total, Navy
277,682,815 42
40,001,505.00
17,365,176.00
9,780,000.00
345,480,891.42
State:
International
Houndary,
United States
and Mesim
4,734,300.00
1,110,000.00
International
5,544,300.00
Boundary,
United States
and Camada,
Alaskwand
Canada
22,818.18
22,818.18
Total, State
4,757,318.18
1.110,000.00
A,807,318.18
Treasury:
Administrative
expenses
26,700,001.00
14,250,000.00
40,950,001.00
Public buildings
$00,000,000.00
70,546,033.42
7,463,385.00
143,011,420.42
Coast Guant
25,398,925.00
3,496,000.00
8,850,950.00
33,745,875.00
Public Realth
Service
2,236,994.00
2,721,750.00
663,000.00
5,641,744.00
Office of the See-
retary
402,250.00
4,433,035.00
2,673,476.00
7,508,761.00
Treasurer of the
United States,
relief of con-
tractors
100,000.00
100,000.00
Division of Dis-
bursement
2,180.46
919.10
3,099.56
New Interior
Building
12,700,000.00
12,750,000.00
Procurement Di-
vision
265,000.00
1,563,744.00
1,830,784.00
Total, Treas-
ury
. 65,000,000.00
111,721,384.88
10,002,304.10
42,271,520.00
17,566,476.00
247,741,684.96
Footnote on p.
Regraded Uclassified
113
XXVHI
THE BUDGET, 1938
SUPPORTING SCHEDULE No. 2-A-Continued
FUNDS APPROPRIATED AND ALLOCATED FOR RECOVERY AND RELIEF AS OF OCTOBER 31, 1936-Continued
Emergency Appropriation Act. HAS
National Indus-
Specific
$501,175,000
Emergency
$125,000,000
Emergency
trial Recovery
$400,000,000
Relief
Emergency
Relief
Reconstruction
Act
Loans and
Public Works
Appropriation
Relief and
relief in
Appropriation
Finance Cor-
Total
Administration
Art, 1935
Public
stricken nert
Act, 1936
poration
Works
cultural areas
1. Public works (including work
relief)- Continued.
All other public works-
Continued
War:
Administrative
espenses
$1,113,412.40
$38,522.00
Ordnance
$8,300,491.00
$439,000.00
$1,151,034.40
Quartermasion
8,768,401.00
Carja
71,456,022.50
3,381,828.00
10,416,384.00
8,482,408.00
Resirest Deleure
4,904,000.00
98,736,642.50
National Chard
2,236,175.89
6,994,000.00
Air Curja
7,500,000.00
2,234,173.80
Engineers
40,000.00
7,500,000.00
11,442.00
Signal Curps
174,670.00
56,442.00
Territory and In
174,670.00
Insul Pours-
100,000.00
National seme-
160,000.00
letter
33,440.00
Insular affairs
1,485,000.00
625,641.00
Reclamation proj-
1,485,000.00
ret, Virgin In-
lands
100,200.00
Administrative
109,200.00
expenses and
medical and
hospital care of
Injured PIN-
players
11,000.00
11,000.00
Total, War
18,892,520.39
8,983,508.00
10, 240,796.40
8,532,372.00
127,949,196.79
Post Office, Office of
Postmaster General
6,105.00
Panama Canal
900,850.82
6,198.00
Veterans' Adminis-
999,850.82
tration
2,024,761.58
1,238,350.00
Legislative establish-
4,263,111.58
ment
2,600,000.00
251,500.00
316,500.00
Administrative ex-
2,368,000.00
prices, Public
Works Administra-
Lion
71,918,006.26
71,918,966.26
Independent Officer:
Advisory Com-
mittee (IB) Allot-
ments
17,128.00
17,128.00
Civil Service
Commission
120,000.00
120,000.00
Electric Home
and Farm Au-
thirity
1,000,000.00
1,000,000.00
Employees' Com-
pensition Come
mission
17,210,000.00
9,000,000.00
25,210,000.00
Federal Alcohol
Control Artmin-
istration
632,576.04
622,576.04
Federal Counti-
natur of Trans-
portation.
206,376.12
266,576.12
Federal Power
Commission
1,145,000.00
1,145,000.00
Foothots on D...
Regraded Uclassified
114
GENERAL BUDGET SUMMARY
XXIX
SUPPORTING SCHEDULE No. 2-A-Continued
FUNDS APPROPRIATED AND ALLOCATED FOR RECOVERY AND RELIEF AS OF OCTOBER 31, 1936-Continued
Emergency Appropriation Act. 1935
National Indus
Emergency
$501,175,000
$525,000.000
Emergency
Specific
trial Recovery
Relief
Relief
Recomstruction
Act
Emergency
Loans and
Public Works
Appropriation
Relief and
Appropriation
Finance Cor-
Total
relief in
Act. HAS
Public
Act,
porstion
Administration
stricken agri-
Works
cultural areas
I. Public works ringluding work
All other public works-
Contanued
Independent Offices
Continued
Control Account-
Imp Office
$200,000.00
$3,000,000,00
$5,000,000.00
National Advis-
$10,506,000.00
any Committee
for Ammunties
725,563.34
National Enver-
725,583.33
prov) Conneil
385,779.70
$667,234.30
2,146,950.00
Expenses of
3,190,073.15
Commis-
shin Mak-
institudynt
Executive
Agencies
100,000.00
National Labor
100,000.00
Boand
222,834.71
National Re-
222,334.71
sources Com-
mittlee
233,207.00
1,000,000.00
1,643,704.00
Office of Counti-
2,877,031.00
nator for Indus-
trial Coopers-
tion
182,650.00)
Office of Special
182,630.00
Adviser to the
President on
Foreign Trade
340,304.00
$10,304.86
Prison Industries
Reorgaciration
Administration
213,541.00
213,541.00
Federal Trade
Commission
47,821.07
$53,500.57
101,321.64
National Labor
Relations Bourd
218,261.86
318,501.88
Total, in-
dependent
offices.
A.821,804.80
1,067,234.36
43,500.57
26,634,042.00
$14,000,000.00
48,175,581.78
Total: all
other pub-
We works
$72,000,000.00
778,991,008.33
27,442,028.09
46,856,288.84
304,279,700.00
105,372,849.00
1,735,141,042.68
Total, pub-
lie works
340,828,178.34
2,121,283,185.74
254,286,942.26
46,856,288.84
2,787,665,377.00
1,041,785,539.00
4. AND to home owners:
Home loss bank stock
$125,000,000.00
125,000,000.00
Home Owners' Loan Cor-
poration
200,000,000.00
200,000,000.00
Federal Savings and Loan
Amoriations
50,000,000.00
30,000,000,00
Emergency housing
29,471,200.07
195,775,483.00
135,286,743.67
Federal Housing Admin-
Istration
1,000,000.00
44,000,000.00
45,000,000.00
Resettlement Adminis-
tration
21,388,625.88
$1,381,487.25
228,157,679.00
75,838,753.00
328,774,545.13
Subsistence homestends
€ 403,454.30
6,402,484.30
Total aid to home
owners
40,000,000.00
58,263,370.55
3,349,487.25
$33,933,162.00
75,838,753.00
309,000,000.00
890,424,773.19
on D.
Regraded Uclassified
115
THE BUDGET, 1938
XXX
SUPPORTING SCHEDULE No. 2-A-Continued
FUNDS APPROPRIATED AND ALLOCATED FOR RECOVERY AND RELIEF AS OF OCTOBER 31, 1936-Continued
Emergency Appropriation Aet, INXIA
National Indus-
Emergency
Emergency
$501,175,000
$525,000,000
Relief
Relief
Reconstruction
Specific
trial Recovery
$400,000,000
Emergency
Loans and
Apprepriation
Appropriation
Finance Cop-
Total
Act
Public urks
Belief and
relief in
Act, 1935
Aet, 1936
puration
Administration
Public
stricken meri-
Works
cultural unous
5.
Export/import tenks of
Washington
$1,250,000.00
$13,000,000.00
$36,250,000.00 00
Federal Deposit Their
size Corporation
$178,000,000.00
150,000,000.00
Administration fut Indus
trial Nevery
19,378,000.00
$4,993,468.80
21,371,465.80
Finance
Corporation. direct
hans and expenditures
1,767,681,337.47
3,747,681,527.42 42
Tennessee Valley Author-
By
50,000,000.00
$25,000,000.00
75,000,000.00
Total miscellaneous
150,000,000.00
70,08,000.00
4,093,468.50
25,000,000.00
3,802,081,527.42
- R
373,280,401.06
214,856,288.84
$443,252,470.00
$4,076,694,164.00
$1,130,024,2902.00
fi, 237.828.439 40
17,263,501,741.00
funds
10,766.85
1,486,800.10
127,541.00
17,265,743.51
285,375,708.00
304,206,520.46
Total, recovery and relief
2,861,263,267.38
374,767,211.16
214,856,288.84
443,380,000.00
1,425,000,000.00
4,287,526,430.40
17.067.708.300.02
Apricultural Adjustment Ad-
missirition
200,000,000.00
37,554,000.00
297,554,000.00
Kmergency Conservation Work
08.101.620.25
315,740,792.02
267,356,000.00
52,615,000.00
500,044,931.00
1,326,806,313.87
Total (see note)
2,285,004,810.48 48
1,220,364,000.00
471,767,211.16
482,214,286.54
$95,005,000.00
4,689,914,838.51
1,425,000,000.00
0,237,528,439.40
19,212,188,614.39
I Includes $1,760,000 Petrolvem Administration.
Non The items "Agriestrand Adjustment Administration" and "Enserency Conservation Work" are curriel under the items "Agricultural Adjustment Program" and
Civillan Comperation United requestively, in the General Budget Summary and Supporting Schedule Nn 2, and are pul included in the total for Recovery and Relief on those
cratements They un included in this statement only for the purpose of reconciling the totals with those shown - p. 4 of the daily Treasury statement, which classifies these items as
"Recovery and
Regraded Uclassified
116
GENERAL BUDGET SUMMARY
XXXI
SUPPORTING SCHEDULE No. 2-B
MONEYS AVAILABLE AND EXPENDED FOR RECOVERY AND RELIEF
Expenditures
Totalamounts
Organization imits
visted to Onl 4),
HOW
Finen) your 1987
to Del. 31. KAMS
Final year 1003
Fiscal year TMM
Unexpended
Total to OCL 11.
and prior years
HAS
Apricultural abli
Community Credit Corporation
$104,197,800.00
$172,065,837.27
005.081.737.01
$381,104,200.07
Persis Credit Administration
0,22,227
Federal Form Medical Corporation
200,000,000.00
200,000,000.00
200,000,000.00
Federal lived tento
Capital stock
125,000,000.00
153,500.00
(24,058,812.00
121.005.135,00
933,865.00
Paid-in
149,000,000.00
9,492,601.94
116.454,310.32
Reduction in interest raim un
52.950.000,00
7,872,309.48
20,061,991.00
19,000,001.74
Total, agrivultural ust
1,711,801,670.06
176,078,580.79
1,650,654,488.52
084,147,384.44
= Relief:
Federal Environment Relief Administration
$57,427,620.63
2,947,353,141.79
Federal surptux Commodities Corporation
1,323,634.59
8,104,306.34
116,424,322.74
126,310,223.07
13,961,674.12
Chil Works Administration
821,446,750.00
134, 022.56
676,193.79
$16,458,155.96
4,183,775.09
Department of Approditure, relief
53,192,500.00
236,847,49
2,882,408.90
80,561,246.99
83,660,546.78
1,511,953.62
Total, relief
WWW.120,631.06
19,043,400.43
I Police works (including work relief):
Bondiles Convon project
71,102,000.63
$ 962,402.00
10.021.710.23
43,265,588.00
$6,262,001.23
13,670,959.42
Loom and provis to States, inunicipalities, do
Loous to reitrond=
72,108,419,34
44,234,011.56
351,273,400.10
409,006,234.06
854,500,397.64
Public bighways
1,201,388,116.76
215,095,581.31
788,236,907.71
025,687,344.54
275,700,772.22
Niver and hatbor work
54,074,120.07
152.318.737,00
Kirst Electrifination Administration
15,970,820.00
1,451,882.71
1,402,654.17
16,820.00
2,671,012.61
13,099,813.19
Works Progress Administration
1,20,661,690.21
448,141,170.43
All other
605,338,214.63
400,040,302.40
1,000,371,240.25
Total, public works
1,361,300,000,12
1,808,314,800.87
. And in hume owner
Home/Inan agreem
hank stock
125,000,000.00
5,777,400.00
17,006,300.00
81,015,700.00
108,110, $00.00
16,880,000.00
Home Owners' Lism Corporation
200,000,000.00
200,000,000.00
200,000,000.00
Federal and loan
50.000,000.00
2,970.48
19,680,054.26
30,241,584.06
06,07.98
Emergency housing
135,246,743.67
24,906,423.42
0,840,136.80
41,324,848.93
01.721.894,76
Federal Honsing Administration
45,000,000.00
14,504,000.14
35,918,551.88
Reventement Administration
1,761,063.00
188,363,480.81
homestends
108,264.37
n,634,250.40
6,142,814.77
200,000.53
Total, aid til beime owners
800.424.773.10
214,812,200.47
5.
Experisimport thanks of Warkington
26,250,000.00
$7,827.32
18,794,211,34
17,475,786.46
Federal Deposit Insurance Corporation
120,000,000.00
1,50,000,000.00
150,000,000.00
Administration for Indistrial Receivery
24.371,466.60
4,344.32
A,111,371.02
19,123,222.30
24,241,137.69
120,321.11
Renustruction Finance Corporation, direct limits and
expenditures
238,722,418.78
Valley Authority
25,000,000.00
47,185,301.01
75,000,000.00
Trial,
- 210,167,500.00
2,486,270,024.00
2,000,887,715.09
funds
Total record and relief
17,587,768,300.32
5,040,305,874.36
Applicational Adjustment Administration
207,554,000.00
120,610,800.96
116,491,413.52
Emergency Commervation Work
1
11.283.224,78
Total (my note)
1,528,458,272.00
14,000,014,191.73 Ta
5,176,172,312.06
Rune of credita, deduct
Includes expital stock sutseription of $500.000,000
Note The items "Agricultural Adjustment Administration" and "Kunergency Conservation Work" are carried under the tiems "Agriculiural Adjustment Program" and
"Civition Conservation Corps", importively, in the General Protect Summary and Supporting Schedule No. 2, and are net included in the total fur Reservery and Relief in those
statements They are included in this statement only for the purpose of reconeiling the totals with those shown on page - of the daily Treasury statement, which classifies these
Dems - "Renvery and Relief".
Uclassifie
117
XXXII
THE BUDGET, 1938
SUPPORTING SCHEDULE No. 2-C
MONEYS FOR RECOVERY AND RELIEF CLASSIFIED AS TO PROVISIONS FOR REPAYMENT
Total appointe
provided to Oct
31,
Fined year HRIZ in
Fiscal year HIM
Fiscal year 1935
Total to Oil 31,
Unexpenied
Oet 31. you
and prior years
the
I NONERMATION
I. Circula 10% and expersed
Exderal Environcy Itellet Administra-
Non
$3,050,027,200.08
$2,948,355,411.79
Federal Purplaises Comprodities Corpora-
R,104,300.34
110.024.322.74
$13,911,076.13
time
Civil Works Addition
$21,448,750.00
676,195.78
$17,200,974.31
4,145,775,00
Department of Apriculture n.
lief)
85,192,200.00
230,847.10
50,561,240.00
83,660,360.38
1,311,968.62
Priblie Works Administration
Administrative expenses
21,018,066.20
10,700,549.00
25,255,959.16
21,100,317.76
15,193,640.29
Public Exallee
644.100,180.35
218,788,024.39
40,718,408.31
342 192 092 04
Funks creduction in interes mian)
82,950,000.00
29,064,961.00
30,204,727.74
Einence Corporation
133,471,701.04
(4)
Reginnal registrations credit corporations
16,376,778.64
* 64,920.98
1,720,054.20
14,700,021.01
12,356,054.05
1,020,721.00
Administration for Industrial Heavery
$4,351,468.60
one
5,111,371.02
19.12.222.10
24.245.137.46
126,201.11
Receittement Administration
04.070.041.72
122,787.30
84,670,075.23
Himit Electrification Administration
94/645,00
228,024.18
077,444.14
10,820.0%
922,680.25
25,164.73
Works Progrem Administration
1,922,062,765.57
145.141.170.02
Total. ete
7,000,063,704.40
2,045,419,678.47
3,770,235,007.72
$51,467,331.26
2. Federal publiowerks perjects:
Tennessee Valley Ausberity
73,000,000.00
27,614,008.00
47,185,331.91
75,000,000.00
Public highways
215,005,5et.31
585,206,957.71
275,700,772.33
Riven and barbers
$61,001,027.41
54,074,181.57
132,315,737.09
425,768,001.17
68,243,023.21
Other
Expisitive establishment
2,386,000.00
1,001,040.42
000,494.00
3,050,244.88
267,435.12
State Department
48,945.02
550,636.83
3,400,186.09
4,383,767.04
Treasury Department
Public building overstruction and
sites
22,942,371.69
35,947,200.12
[10,180,064.00
45,574,315.42
All other
01,780,264.50
(1,585,096.12
35,846,747.42
24,534,071.95
72,275,973. W
War Department (nummilitary)
2,319,501.00
21,428.37
- 391,632,79
2,263,853.45
1,893,740.00
437,091.97
National delense
Army
125,629,318.79
6,117,101.94
9,639,100.49
Navy
22,254,481.62
137,607,516.08
137,678,234.50
257.641.232.80
17,018,060.02
Patenta l'anal
960,610,82
4,950.00
994,100.02
Department of Justive
2,324,654.36
204,146.19
781,695.11
609,275.31
1.715.110,01
000,038.77
Pan Ciffire Department
6,195.00
6,198.00
6,198.00
Interior Department (exclusive of
subsidence Poulder
Canyon persons, and offier recluma-
Lieu projects)
108,00,200.00
20,544,800.20
101,706,383.61
07.184.171.19
Department of Agriculture (exclusive
of highways)
143.172.065.01
34,809,540.72
106,000,114.33
87,216,851.00
Department of Considerve
29,022,001.11
9,866,746.16
2,347,732.49
Department of Labor
32,221,344.29
11,068,302.05
5,149,102.13
24,000,803.00
8,140,620.30
Veteraps' Administration
4,203,111.58
325,502.00
1,008,467.75
1,892,483.07
4,126,014.42
136,100.00
Independent offices and entrational
15,080,831.36
30,118,720.37
District of Columbia
1,200,500.00
1,139,612.20
1,436,013.30
73,680.04
Unclassified items
26,257.00
142,306.33
-142,300.35
Total, Federal public-works proj-
velo
2,100,104,200.00
201,202,018 02
750,722,811.89
1,273,000,018.20
2,315,618,156.01
677,465,022.85
Total. nonrepayable
Kries of credits, destrict
Additional Tumbi available for this pargone am invisided in unexpended balance under "Lass. Public Warks Administration
Exper of mrsings live espenditures, deduct.
I Invoice dishnamments un anount of advances to States and Territories under the Equipency Helief and Comparation Act of 1002. treated - grant in accord-
with - " of the Art of June is, 1934.
I Additional Turnis available for this purjume are included in unexpended balance under "Lass, Recomstruction Finance Corporation."
Regraded Uclassified
118
GENERAL BUDGET SUMMARY
XXXIII
SUPPORTING SCHEDULE No. 2-C-Continued
MONEYS FOR RECOVERY AND RELIEF CLASSIFIED AS TO PROVISIONS FOR REPAYMENT-Contined
Expenditives
Total amounts
Classification
provided for Oil
31, une
Fiscal year 197 to
Oct. 31, 1906
Paral year HAVE
Fiscal year 100A
Unexpended
Total to Det 31.
and prior years
1035
11. REPAYABLE
1. nublic-werks projects:
Banilder project
$4,972, 002.00
$10,023,710.33
$43,265,588.08
$54,262,901.21
Other reclamation projects
101,517,018 73
$13,470,950.12
12,062,434.70
24,704,130.07
40,004,799.75
Total Federal potille-works projects
17,134,846.76
54.007,840.00
39,700,778.17
2. Londo
Comminity Credit Corporation
61,247,004.26
172,648,107.27
R
280,194,254.07
Joint-stock land banks
100,000,000.00
$ 61,737.90
- 110,210.04
30,710.20
100,117,200.34
Cimi and freil lunes. eie (Form United
Administration)
4,400,230.06
43,150,183.64
12,283,130.27
02,019,822.43
Public Works Administration:
PobliNo Indian
16,874,100.10
+30,483,012.50
Itailrunds
137,950.78
0,245,706,40
352,982,300.73
Emergency housing
135,206,748.07
24,900,423.42
41,424,848.91
93.721.894.76
Federal Housing Administration
45,000,000.00
X,400,080.72
14,504,600.14
9,081,446.12
homestends
108,264.37
6,104,250.40
a
250,000.53
Reconstruction Finance Corporation
1,131,809,823.78 78
167.223.297.73
1,371,248,603.76
1,945,833,161.16
Expertatimport Banks of Washington
20,250,000.00
* 825,073.74
19,381,402.76
37,627.62
18,704,211.54
17,453,788.40
Reval Bierirification Administration
10,02%,02% 00
1,23,163.53
725,210.00
1,948,373.56
Administration
176.108.332.00
77,831,681.56
1,638,875.67
72,489,926.42
Total. Issue
1,824,302,000.00
2,005,717,291.91
3,078,043,537.06
3. to raplial stock, ete.,
Production mill expersations
120,000,000.00
120,000,000.00
120,000,000.00
Druks fie organizatives
149,000,000.00
$6,000,000.00
20,000,000,00
(25,000,000.00
139,000,000.00
Regional agricultural prodit corporations
$4,500,000.00
€7,500,000.00
19,200,000,00
$4,500,000.00
17,600,000.00
27,000,000.00
Federal Firm Muripage Corporation
200,000,000.00
200,000,000.00
200,000,000.00
Federal internediate predit hunks.
40,000,000.00
00,000,000.00
40,000,000.00
Federal land tanks
204,000,000.00
9,646,100.34
31,421,809.63
100,452,477.75
240,520,454.32
33,479,543.00
Home loan banks
125,000,000.00
6,777,400.00
17,600,300.00
81,645,200.00
106,113,400.00
16,880,600.00
Home Owern' Loan Corporation
200,000,000.00
200,000,000.00
200,000,000.00
Federal savings and has unneiations
50,000,000,00
2,919,18
19,688,058.20
49,933,542.02
06.07.08
Federal Deposit Insurance Corporation
150,000,000,00
150,000,000.00
150,000,000.00
Recomination Finance Corporation
500,000,000.00
400,000,000.00
500,000,000.00
Total subscriptions, etc
1,882,500,000.00
60,307,107.50
1,745,023,416.34
97,421,581.04
Total, repayable
7,625,130,948.31
III PENIS
Towil, recovery and relief.
809,177,980.16
2,776,706,406.51
5,101,307,977.40 as
12.547.372.426.16
$ 040,195,874.36
Nonteparyable
Agricultural Adjustment Administration
27,551,000.00
27.630,207. €
179,010,800.06
181,042,586.46
116,491,413.52
Conservation Work
1,307,181,089.09
10.285.221,79
Total (see (inte)
916,623,959.33
1,200,027,800.00
9,828,458,272.00
11,000,010,101.73
1,176,172,512.06
Kires of credits, deduct.
Num The Items "Agricultural Adjustment Administration" and "Emergency Conservation Work" are carried under the Items "Agrientional Adjustment Program" and
'Cirdian Conservation requiredy. in the Contral Thurtpet summary and Supporting Schedule No 2 and are not included in The Intal for Recovery and Relief on the
They are included in this statement only for the purpose of remeiling the totals with those shown PRI) D. # of the daily Treasury statement, which classilles these items
"Reversary and Relief."
Regraded Uclassifie
119
XXXIV
THE BUDGET, 1938
SUPPORTING SCHEDULE No. 3
GENERAL FUND BALANCE
|The general fund Inslance, as shown nn the Daily Statement of the United States Treasury, comprehends the balance, in the general, special, and trust accounts combined. The
schedule sets forth these balances and indicates how the working balance in the General Budget Summary is ascertained)
Estimated. the
Estimated. fis-
Actual, fism,
cul year 1938
cal year 1937
year 1986
Balance in general fund at beginning of year:
Working bulance:
General and special accounts
$622,500,221
$1,522,727,005
BHOK, 256, 138. 30
Other securits
540.654,723
202,384,355
1,146,830,128.07
Total, working balance
1,183,253,941
2,225,112,350
Increment on cold
140,496,997
140,496,997
146,118,831.63
Seigniorage
355,500,857
315,900,857
140.111,441.47
Total. reneral fund balance
1,670,631,798
2,681,510,204
1,841,343,539.47
Intrease (+) or decrease (-) in general fund balance during year:
Working balance:
General and special accounts (Supporting Schedule No. 0
-900,128,774
+1.114.471.836,72
Other accounts
-25,000,000
-141,729,632
-444,474,772.82
Total, increase (+) or decrease (-) in working balance
-25,000,000
-1,041,858,406
+600,007,083.90
Increment on gold
-5,621,K34.90
Seignlorage
+10,000,000
+175,780,415.49 49
Total. increase (+) or decrease (-) in general fund balance
-25,000,000
-1,001,858,406
+840,104,004.49
Balance in general fund at end of year:
Working balance:
General and special nermants
622,500,221
622,590,221
1,522,727,905.02
Other persunts
335,654,723
500.654,723
702,384,355.25 702,
Total working Inlance
1,158,253,944
1,183,253,944
2,225,112,350.27
Increment on gold
140,496,997
140,896.997
140,496,906.73
Seigniorage
355,900,837
355,900,857
315,000,856.96
Total. general fund balance
1,654,651,798
2088
1,079,651,798
2. 681, 510, 203. 96
Regraded Uclassified
120
GENERAL BUDGET SUMMARY
XXXV
SUPPORTING SCHEDULE No. 4
EFFECT ON THE PUBLIC DEBT OF FINANCING THE DEFICIT
Estimated, fis-
Estimated, fis-
Actual, fiscal
cal year 1938
enl year 1937
year 1936
Public deht at beginning of year (Supporting Schedule No. 5-A)
$35,026,543,404
$33,778,543,494
$28, 700, 892, 624. as
Increase in public debt during year:
To meet deficiency in revenues and receipts, general and special accounts
' 401,515,000
2,632,653.774
4, 763, 841, 642, 48
Less debt retirements included in deficit
401,515,000
464,523,000
403, 200, 150, 00
2, 248, 12%, 774
4, 300, 601, 492, 48
Eyerease in working Infance (+) decrease (-) general and special accounts (Supporting Schedule No. 3)
-900,128,774
+1, 114, 471, 856. 72
Total increase in public debt during year
1,348,000,000
5, 475, 073, 342. 20
Decreise in I ablie debt during year due to retirement of national bank notes, chargeoble to working belance-other accounts
(Supporting Schedule No. 3)
-25,000,000
-100,000,000
-397,422,480.00
Net increase in public debt during year
1,245,000,000
5,077,600,809.20
Net decrease in public debt during year
25,000,000
Public debt at end of year
35,001,543,494
35,026,543,404
33, 778, 543, 403. 73
As stated in the Budget Message there will be additional expenditures for recovery and relief which is is hoped will not exceed $1,537,000,000. the smount of the surplus shown
is the General Builget Summary and debt retirement.
12
XXXVI
THE BUDGET, 1938
SUPPORTING SCHEDULE No. 5-A
PUBLIC DEBT OF THE UNITED STATES GOVERNMENT
Outstanding debt
Increase during
fiscal year 1506
Outstanding debt
June 30, 1936
June 30, 1935
June 30, 1930
I. INTEREST-BRARING DENT:
I. Pre-wat bunds, including postal savings bonds
$190,573,520.00
$855,263,470.00
2 Liberty Inan bonds
il $655,687,950.00
1,334,967,600.00
$772,544,550.00
1 Tressury bonds
1,331,967,600.00
17,167,938,100.00 (i)
8,201,503,900.00
1. United States Savings bunds
12,681,570,300.00
4,454,359,800.00
316,124,811.50
3,136,986,600.00
& Adjusted service bonds
02,047,818.75
254,076,963.75 75
944,516,630.00
944,516,650.00
Total bonds
18,025,147,084.50
n. Tressury notes
14,935,849,188.75
3,692,297,805.73
11,861,418,000.00
12,111,333,350.00 no
7. Contificates of indebtedues
10,500,003,900.00
1,300 424,150.00 (i)
147,709,000.00
5. Tressury bills (matterity value)
155,500,600.00
F9,791,000.00
2,353,516,000.00
1,264,354,500.00
2,052,898,000.00
300,015,000.00 (X)
154,916,000.00
Total interest-becriting debt outstanding
32,988,700,134.50
If MATURED DERT us with INTEREST HAS CEASED (PAYABLE ON PRESENTATION)
27,045,241,088.73
5,343,549,045.75
199,363,395.26 395
15,921,892,350.00
III DEBT BEARING so INTEREST (PATABLE ON PRESENTATION)
230,682,135.26 1952,
61,205,760.00
020,389,063.97
31,710,870.26
824,989,380.52
204,709,416.55
231,700,611.17
Total Time debt
33,778,543,493.73 73
Les balance beht by Treasurer, United States, June 30.
25,700,892,624.53 28,
5,077,450,849.20
2,081,310,203.96
10,185,300,831.43
1,841,345,532.47
840,164,044.40 40
318,007,108.11
(tros delit less net balance in general account, on basis of daily Treasury state-
thent, unrevised
Matured Interest obligations, etc
31,002,033,289.77 17
26,850,547,085.06
4,237,486,204.71
14,866,702,663.32
Reduction in baloney held by Treasurer, United State, June 30, due to escres of disbursements
745,325,360.19
139,897,207.36 39,
112,837,444.56 56
over receipts in reports subsequently received
258,579,702.18
29,324,273.21
229,065,428.97
5,824,253.08
Add excess of meipts over redemptions in transit, etc. June 30.
32,002,042,141.78
4,427,644,436.32
14,985,384,360.96
Les Paress of redemptions over receipts in transit, etc., June 30
274,467.25
1274,467.25
233,158,871.50
E
233,158,871.50
512
Net debt, en fines of daily Treasury statement revised
24
27,634,672,185.71
4,191,211,087.37
18,955,382,828.71
Decrease
Regraded Uclassifie
122
GENERAL BUDGET SUMMARY
XXXVII
SUPPORTING SCHEDULE No. 5-B
CONTINGENT LIABILITIES OF THE UNITED STATES GOVERNMENT
Amount of continuent liability on June 30, IVIS
Authorizing act
Principal
Interest
Total
1. CIGARANTEED BY THE UNITED STATES:
E Federal Form Mortesive Corporation
Jan. 11. HM4 (4% Stat. 3447, as smended
$ 81,422,185,100.00
$8,012,380.30
$1,431,137,499.50
2. Federal Himmine Administration
June 27, 1911 (48 Stat 1245), as amended
3. Name Owners' Loun Corporation
Tune IL 1931 (18 Stat. 128), as amended
(2,044,215,473.00
21,666,951.42
4
3,061,885,420.82
4. Recommentation Finance Curporation
Isn. 22, 1932 (47 Stat. M. as amended
972,375.36
& Tennemer Valley Authority
May 18, (4M Stat. (A), - amended
Twial based upon guarantees
1,718,003,241.67 67
31,501,716.08
11. ON FREDIT OF THE UNITED STATEM
E Remetary of Apricidize (cotton)
Sec. 4, May 12, HAS (48 Rist. any
7. Protal Sovinus Fratem. funds due depenitors
Tupe 25, 1920 (7M) Stat sun, as
25.408,300.18
$ 1,243,673,495.65
Total haved upon credit
28,408,300.14
1,233,673,405.65
III. OTHER OREGATIONS
4. Federal Reserve notes (Ince amount)
Dec 2% 1013 (38 Stat. 2001, AM amended
$ 4,021,132,607.00
MEMORANDUM
Maximum
authorized tssue
CONTINUENT LIABILITIES WITH DEPINITE LIMITATION:
of obligations
Federal Farm Mortgage Corporation (see 1 above)
$2,000,000,000.00
Home Owners' Loan Corporation Isse If above)
4,730,000,000.00
Resonstruction Finance Corporation after deduction of $4.000,000.000 face amount of notes and secrued interest thereon, held by IT. 8. Treasury and reflected
in the public debt in supporting schedule I-A (see 4 almve)
1,520,000,000.00
Tennessime Valley Authority (seet & above)
50,000,000.00
CONTINGENT LIABILITIES WITHOUT DEFINITE LIMITATION:
Federal Himsing Administration (see 2 above).
Reconstruction Finance Corporation Der - above).
Purchase of preferred stock, etc., tinnks and trust companies.
Fir sec. A. Apricultural Adjustment Act.
For see 1, National Housing Act.
Secretary of Atriculture:
Hornwing for leans en rettion (see & above).
Alter deducting amounts of funds deposited with the Treasury to meet interest payments.
Includes only hunds usued and outstanding.
. In addition to $4,030,000,000 face amount of notes and accrued interest thereon held by the Treasury and reflected in the public debt in supporting sebedule FA
# Figures as of Ajir. 30. figures as of June 30 not available. Offset by cash in designated depository tranks and accrued interest amounting to $218,195,28.14 which is
secured by the pledge of collateral as provided in the Regulations of the Postal Savings System having a face value of $223,627,612.60; cash in possession of system amounting to
and (Tokernment securities with a face value of $915,253,600 held as investments, and other assets.
In actual circulation, exclusive of $12,948,176 redemption fund deposited in the Treasury and $261.828,475 of their own Federal Reserve notes held by the issuing banks. Federal
Reverve notes issued are secured by gold certificates and credits with the Transurer of the United States payable in gold certificates in the amount of $1,200,523,130, United States
Government securities of a face value of $61,000,000, and commercial paper of A face amount of $2,605,000.
Regraded Uclassifie
123
CONFIDENTIAL
To be held in STRICT CONFIDENCE and no
portion, synopsis, or intimation to be published or
printed until the morning papers WEDNESDAY, SEPTEMBER
2, 1936.
D. W. BELL
Acting Director of the Bureau of
the Budget.
STATEMENT BY THE PRESIDENT
ON THE
SUMMATION OF THE 1937 BUDGET
124
STATEMENT BY THE PRESIDENT ON THE SUMMATION OF THE 1937 BUDGET
Continuing the practice inaugurated last year, the at-
tached summation revises the Budget for the fiscal year 1937
by reflecting the changes affecting the estimates of revenues
and expenditures which have occurred since the 1937 Budget
was transmitted to Congress in January 1936.
Two
outstand-
ing events have taken place since that time which have mater-
ially affected the receipte and expenditures of the Government.
The first of these was the decision of the Supreme Court declar-
ing the Agricultural Adjustment act unconstitutional, as a
result of which the Government lost substantial revenue from
processing taxes. The second was the passage by the Congress
of the Adjusted Compensation Payment Act providing for the
immediate payment at their face value of the Veterans' adjusted
service certificates, which by their terms were not due until
1945.
As & result of the Supreme Court decision the estimated
revenue from processing taxes for the fiscal year 1936 was
reduced by $452,000,000. Up to the time of that decision
the Agricultural Adjustment Administration had expended in
accordance with law the sum of $325,000,000 and had made
substantial commitments for additional expenditures in antic-
ipation of revenue from this source. To provide for carrying
125
- 2 FR
out the moral obligation of the Government with respect to
the commitments already entered into with farmers and which
on their part had been at least partially performed, Congress
appropriated $296,000,000.
By the enactment of the Soil Conservation and Domestic
Allotment Act, which included authority for an annual appro-
priation of not to exceed $500,000,000, Congress provided
a new farm program to preserve to the farmers the benefits
of fair and adequate prices for the product of their labors.
The passage of the Adjusted Compensation Payment Act
caused an increase in payments to veterans for the past year
of $1,674,000,000 and will result in further payments
estimated at $560,000,000 on this account during the present
fiscal year.
To meet the additional requirements of the Treasury on
account of these expenditures the Congress was requested to
provide sufficient additional revenue, (1) to make good the
loss of processing taxes in the fiscal year 1936, (2) to
defray the annual cost of operation of the new fara program, an
(3) to amortize over & period of nine years the cost of payment
of the adjusted service certificates.
The Revenue Act of 1936, enacted by the Congress in
response to this request, will produce, on the basis of
126
- 3 -
estimated business conditions for the calendar year 1936, annual
revenue in the amount of $652,000,000. For the fiscal year 1937
the amount of this revenue will be only $328,000,000, since only
the first and second of the quarterly payments of income taxes
under this Act will be made to the Treasury within that year.
For the same year, however, there will be & non-recurring rev-
enus of $82,000,000 from the so-called windfall taxes.
Review of the Fiscal Year 1936
The total receipts amounted to $4,115,956,615 against
the estimate in the 1937 Budget of $4,410,793,946. & net de-
crease of $294,837,331. After taking into consideration the
loss in processing taxes of $452,000,000. receipts from other
sources amounted to $157,000,000 more than was estimated.
Total receipts showed a net increase of $316,000,000 over those
for 1935, and receipts from sources other than processing taxes
showed an increase over 1935 of $760,000,000.
The total expenditures of the Government for the fiscal
year ended June 30, 1936, amounted to $8,879,798,258. The
estimated expenditure shown in the Budget of last January of
$7,645,301,338 did not, of course, include $1,674,000,000
for adjusted compensation payments. Except for these payments
the expenditures would have been about $439,000,000 less than
the January estimate.
Regraded Uclassified
127
- 4 -
The deficit for the year amounted to $4,763,841,642.
which included $403,240,150 for statutory debt retirement.
Deducting this amount leaves a net deficit of $4,360,601,492.
The estimated net deficit as shown in the Budget of last Jan-
uary was $2,682,482,392. Had it not been for the invalidation
of processing taxes and the passage of the Adjusted Compensation
Payment Act, the net deficit would have been less than the Jan-
uary estimate by more than $400,000,000.
The public debt increased during the year $5,077,650,869.
but in that time the balance of cash in the general fund of the
Treasury likewise showed an increase of $840,164,664.
Forecast for the Fiscal Year 1937
Total receipts in the fiscal year 1937 are now estimated
at $5,665,839,000, a net increase of $12,000,000 over the amount
of the 1937 Budget estimate. The estimated increases in general
revenue more than offset the revenue losses, due in part to the
invalidation of the special taxes levied under the provisions of
the Agricultural Adjustment and Bituminous Coal Conservation Acts,
and in part to the method finally adopted for collecting taxes under
the Social Security Act which will defer to the fiscal year 1938 the
collection of a portion of these taxes. The losses from these
causes amount to $668,000,000. which are alightly more than off-
set by the following estimated increases in revenue: $410,000,000
Regraded Uclassified
128
- 5 -
(including $82,000,000 from the windfall taxes) resulting from
the Revenue Act of 1936; $33,000,000 from delayed collections
of taxes on carriers and their employees; and $237,000,000 con-
stituting an upward revision of revenue estimates due chiefly
to improvement in business conditions.
The expenditure requirements for the fiscal year 1937
are now estimated at $7,762,835,300, which includes $560,000,000
to complete the payments of adjusted compensation to veterans
and $580,000,000 for statutory debt retirement.
Some of the principal items included in the expenditure
requirements are as follows: The Agricultural Adjustment Ad-
ministration will require $585,000,000 and the Civilian Con-
servation Corps $300,000,000. The requirements of the Agricul-
tural Adjustment Administration will be greater for 1937 than
for 1936 due to the interruption of that program in the past
year by the Supreme Court decision and the consequent postpone-
ment of expenditures. The expenditures for the Civilian Con-
servation Corps for 1937 will be less than those for 1936 due
to the reduction made in the number of enrollees as compared
with the number for 1936.
The operations of the Social Security Board and the estab-
lishment of the Old Age Reserve Account will require an addition-
al $405,000,000. The Board commenced operations late in the
Regraded Uclassified
129
- 6 -
fiscal year 1936 and its expenditures, therefore, were not large
during that year. The Old Age Reserve Account will require an
initial contribution in 1937 of $265,000,000.
For interest on the public debt $825,000,000 will be re-
quired. In view of the general improvement in business condi-
tions, it is estimated that there will be required & net amount
of $1,835,000,000 for recovery and relief, an amount materially
less than that for the fiscal year 1936.
The estimated expenditures for the other establishments
are $448,986,000 greater than the expenditures for 1936, due
principally to the development of the regular annual public
works program and to increased expenditures for national de-
fense.
The estimated deficit for 1937 is $2,096,996,300. which
includes $580,000,000 for statutory debt retirement and
$560,000,000 for further payments under the Adjusted Compense-
tion Payment Act. Deducting the amount of the statutory debt
retirement leaves a net deficit of $1,516,996,300. This does
not mean that there will be an increase in the public debt
of this amount for the reason that it is contemplated during
the year to reduce the working balance of the general fund by
approximately $1,100,000,000. The following statements show
the contemplated changes during the year in the working balance
of the general fund and in the grows public debt.
- 7 -
130
GENERAL FUND
Working balance June 30, 1936
$2,225,112,350
Receipts from taxes and miscellaneous sources
5,665,839,000
Receipts from sale of new public debt obligations (net after
deduction of refunding issues and of statutory debt re-
tirements)
750,000,000
Funds available fiscal year 1937
$8,640,951,350
Expenditures
$7,762,835,300
Less:
Statutory debt retirements
.$580,000,000
Veterans' bonds to be issued 560,000,000 1,140,000,000
Cash required to meet
ordinary expenditures
$6,622,835,300
Cash required to meet
redemption of veterans'
bonds
800,000,000
Cash required to meet
redemption of national
bank notes
100,000,000
Total cash required during fiscal year 1937
7,522,835.300
Estimated working balance June 30, 1937
$1,118,116,050
PUBLIC DEBT
Gross public debt June 30, 1936
$33,778,543.494
New public debt obligations:
(a) To be sold to the public (net as above)
$750,000,000
(b) To be issued to veterans
560,000.000
Total new public debt obligations
$1,310,000,000
Less redemptions:
Veterans' bonds
$800,000,000
National bank notes
100.000.000
900,000.000
Net increase in debt
410,000,000
Estimated gross public debt June 30. 1937
$34,188,543,494
131
- 8 -
The following table shows total receipts and expend-
itures for each of the fiscal years 1934, 1935. 1936 and re-
vised estimates for 1937. It will be noted that there is a
substantial reduction in the deficit (excluding debt retire-
ment and veterans' bonds) for each of the years following the
peak of 1934.
(In millions of dollars)
1934
1935
1936
1937(est.)
Receipts
3116
3800
4116
5666
Expenditures
7105
7375
8880
7763
Gross deficit
3989
3575
4764
2097
Deduct-
Debt retirement
360
573
403
580
Veterans' bonds
-
-
1674
560
Deficit (excluding
debt retirement
and veterans'
bonds)
3629
3002
2687
957
In my message to Congress on March 18, 1936, requesting
an appropriation of $1,500,000,000 for relief of unemployment,
I stated that that request, together with those previously sub-
mitted to the Congress to provide for the Civilian Conservation
Corps and certain public works would, if acted upon favorably
TEL
Regraded Uclassified
132
- 9 -
by the Congress, give security during the next fiscal year to
those most in need, on condition, however, that private
ployers hire many of those now on relief rolle. I further
stated that should industry cooperatively achieve the goal of
reemployment, the appropriation of $1,500,000,000, together
with the unexpended balances of previous appropriations, would
suffice to carry the Federal works program through the fiscal
year 1937, and that only if industry failed to reduce sub-
stantially the number of those now out of work would another
appropriation and further plans and policies be necessary.
The unemployed are continuing to be absorbed in industry, and
I believe that there will be a further substantial increase of
such employment during the coming months. Whether it will be
sufficient to permit such a reduction in work relief rolls as
will bring them within the amount appropriated by Congress is
a matter that cannot be determined for several months.
In estimating, moreover, the amount that would be noc-
essary to care for a reduced number of unemployed during the
current fiscal year, no account could be taken of the serious
drought which has affected large sections of our country. To
relieve this serious situation in the drought areas will require
the expenditure of substantial amounts from the emergency relief
appropriation. although the total amount that will be needed for
133
- 10 -
this purpose cannot be determined at this time.
Another survey of the unemployment problem and the amount
required for drought relief will be made early in the coming cal-
endar year, and if additional appropriations for these purposes
are found necessary, the amounts expended therefrom will, of
course, increase the estimated expenditures shown in this suma-
tion. It is confidently expected that any such requests for ad-
ditional funds will amount to less than $500,000,000.
September 2, 1936.
134
CREDITAL REDUCT
BALANCES STATEMENT M EXPIRED IT TEE - AND ACCOUNTING ADT. 1921 (U.S.C., time 5. ac. L' (t))
Revised vetimate,
Actual, flood
actual, fiscal
AND SPECIAL ACCOUNTS
fiscal year 1937
year 1936
year 1935
1. EXCELPTE
1. (Supporting Schedule So. 1)1
Internal referse
5,074,691,000
3,512,851,608.15
3,277,690,027.82
Castoms
402,000,000
386,811,593.69
343,353,033.56
Miscellaneous
166,069,000
216,193,413.29
169,002,670.88
Total revenues.
5,642,760,000
4,115,956,615.13
3,790,045,732.26
2. sealization upon masate
23,079,000
(1)
10,421,469.70
Total receipts.
5,665,839,000
4,115,956,615.13
3,800,467,201.96
II. EXPENDITURES (Supporting Schedule No. 2):
1. Legislative end executive
29,100,000
21,941,636.11
20,081,420.72
2. Civil departments and agencies, not the juliciary
991,735,300
717,300,755.69
529,501,937.22
1. National defense.
$20,000,000
764,439,126.94
533,597,243.04
5. Teterans' pensime and benefits
Telerans' Administration
600,000,000
675.982.094.01
605,573,772.32
Adjusted Compensation Payment
580,000,000
1,673,492,531.72
5. Agricultural Adjustment Administration
585,000,000
542,605,751.95
743,027,311.87
6, Civilian Conservation Corps
300,000,000
486,201,193.56
435,508,043.05
7- Social Security
105,000,000
24,136,121.62
1
8. Debt darge:
Interest
$25,000,000
749,396,801.68
$20,926,353.45
Retirements
580,000,000
403,790,150.00
573,558,250.00
9. Refunds.
47,000,000
44,185,625.78
45,247,679.31
10. Recovery and relief
1,835,000,000
2,776,796,468.51
3,068,803,053.20
11. Pupplemental time (for above 1 to T. inclusive)
90,000,000
--
-
Total expenditures
1,762,635,300
4,879,798,257.64
1,375,825,165.57
III. DEFICIT
2,096,994,300
4,763,041,642.42
3,575,357,963.61
IV, MEANS OF FIRANCING DEFICIT:
L Decrease in working balance (2)
1,006,996,300
:
1,762,632,853.56
2. Berrowings (Supporting Schedule No. 3):-
(a) Replacing statutory data retirements.
580,000,000
403,240,150.00
573,558,250.00
(%) Increasing public
510,000,000
4,360,601,492.48
1,739,106,860.05
Total MARCA of fisancing
7,096,996,300
4,753,841,642.48
3,575,357,963.01
(1) Included is miscellament reseipts.
(2) There will be . further reductive is the general fund balance of $100,000,000
for the parpose of retiring national bank notes, this effecting . reduction
in the public Saht of this
135
SUPPORTING SSHULE NO. 1
issues
(ordinary revenues and other receipts belonging So general and special accurtte arriving postal revenues)
Revised otimis,
Actual, Floral
actual, Tismi
fiscal year 1937
year 1930
year 1955
.
1. Internal revenues
(1) Income tax
2,303,363,000
1,425,575,433.84
1,099,115,637.90
(2) Missellanenue dermal-revenue transi
Setate tax
268,000,000
218,780,751.53
140,160,682.34
are tu
110,000,000
160.058.761.47
71.671.276.89
Capital stock and *******profite tasse
121,000,000
109.152.062.21
96,060,005.93
Alsoholts beverage taxes
589,200,000
505,464,037.10
411,021,772.35
Tobacco taxes
531,650,000
501.165.728.39
Stamp taxes
60,900,000
60,989,865.60
43.133.373.65
exclus taxes
406,820,000
302.052.152.90
$1,000,395.97
Fundry Taxes
94,600,000
88,092,012.66
108,469,100.85
Total (unadjusted)
2,204,170,000
2,03,,855,374.00
1,673,982,831.26
Adjustment to delly Treasury statement
26,005,000
- 25,006,079.60
- 14.791.312.54
Total Internal-resse taxes
2,230,176,000
2,008,849,294.18
1,657,191,518.70
(§) Processing taxes (Agricultural Adjustment Administration)
-
75,469,383.21
521,379,871.22
(4) Other internal-revente TAXASI
Tax - unjust
82,000,000
-
Taxes un carriers - their employees
134,552,000
40.270.74
-
roal tax
:
729,217.60
--
Sunial assurity taxes
$2,600,000
:
--
Total other Internal-revente taxes
541,152,000
777,450.12
--
Total
5,074,691,000
3,512,851,608.15
3,277,690,027.82
2. Customs
402,000,000
386,811,593.69
343,353,033.50
3. revenues
(1) Missellansous taxes
2,385,000
6,667,954.90
(2) internat, exchange. and dividends
57.315,100
32,797,013.42
(4) Finas and penalties
1,825,500
6,650,214.55
(4) Fesa
14,093,200
12.354.030.03
(6) Perfecture
1,191,100
1,947,744.64
(6)
2,214.900
(7) Relabursemente
14,258,900
(1) 216.293.413.29
5,620,909.79
[6] Gifta and contributions
5,100
113,302.27
(9) Sales of products
3,022,300
2,392,756.70
(10) Sajes of services
29,619,200
27,467,008.00
(11) Rants and royalties
8,036,500
5,159,31.59
(12) Parmite, privileges, sal licenses
2,034,700
1,820,536.54
(19) Sentry receipts
29,371,900
Total (unaljusted)
160.009,000
216,293,413.29
170,316,407.42
by daily Treasury statement
:
-
- 1,313,736.54
Total miscellaneous PAYMENTS
160,089,000
210,293,413.29
109,002,670.88
Total revenues
5,642,750,000
4,115,956,615.13
3,790,046,732.26
11. FALIENTION DPON ASSETS
1. Repaymente of Lovestments
21,200,300
1,320,403.17
2. Sales of public lands, Department of the Interior
I
(2)
56,757.26
5. Sales at property
1,878,700
3,014,308.57
Total realisation upon ******
23,077,000
(2)
10,421,469.70
Total receipts, general AND special encounts
5,665,837.000
4,115,955,615.13
5,800,467,201.96
(1) Teparation son per evailable
(#) Indiated obder revenues, separation not get svailable.
136
PUPPORTING - 2
EXPIRE
(Rettanted and email free general - special
Arriand sotimate,
Adval, fiscal
Actual, fiscal
fiscal year 1937
year 1935
par 1955
1. LICENSIVE AND SIGNATURE:
1, Legislative astablishment
23,600,000
21,26,139.43
2. Office.
15,483,726.95
500,000
425,401.64
457,693.77
fotal. legislative, and commitive
29,100,000
21,941,636.11
20,081,220.72
u. CIVIL AND ASSICIES, AND YES JUNICIARY:
1. Department of Agriculture.
185,000,000
68,036,811.90
2. Department of Comeros
33,000,000
23,070,569.09
3. Department of the Interier.
10,967,483.76
95,000,000
16,000,526.31
Deagres project
55,211,496.12
13,000,000
N. Department of Pravice (including the juliciary)
13,889,113.53
38,000,000
17,002,352.06
5- Department of Labor
32,278,677.50
21,000,000
17,131,185.78
e. Department of State
13,012,157.65
18,500,000
16,016,356.30
15,850,779.62
1. Treasury Department (excapt dabs reilevent, laterest, old age Passive
amount, and refunds, vii, VIII and IX bulow)
195,000,000
1, far Department (montition)
157,132,381.64
130,000,000
72,885,090.00
57,296,869.33
Deal
11,500,000
11,487,778.95
6,766,204.74
% Offices and Ertablishments.
$5,000,000
52,016,467.19
10. Valley Anthority.
$5,000,000
21,014,755.40
1
11. Natiresent frada, dril, Danal Sean, and Persign Service (Goversment share)
N6,735,300
40,662,400.00
21,005,100.00
12. office Department, deficiency.
10,000,000
85,06,512.32
63,956,146,64
13. of Crimatia,
5,000,000
5,707,500.00
Teclassified
1,535,795.00
1
2,067,785.47
$ 30,355.10
Adjustment distersing officer's checks outstanding
I
-4,403,453.07
-6,106,302.63
Total, dril departments and agencies, and the Juliciary
991,735,300
717,300,705.69
III. NATIONAL mom.
1. Bary Department
590,000,000
321,440,530.43
2. far Department
570,000,000
373,014,977.60
212,186,712.61
Notal, national defense
$29,000,000
789,439,126.34
IV. - PERSIONS AND
3a Telerans' Administration.
600,000,000
675,962,094.01
605,573,274.31
2. Adjusted Compensation Payment
560,000,000
-
75tal, Tetermas' passions and
1,160,000,000
605,573,274.31
7,
550,000,000
532,589,007.92
711,033,102.95
Exfends of processing texas.
35,000,000
10.081,784.03
31,201,204.32
Total, Apinitual Adjustment Administration
543,000,000
540,605,751.95
793,027,311.27
FL. CIVILIAN cumps,
300,900,000
435,504,643.05
VII. SOCIAL occurrey:
is Social fecurity Bard
190,000,000
-
N 214 4ge Insure Address
265,000,000
-
Total, social security
405,000,000
I
vill. DOT CRASGES:
1. Internet
$25,000,000
749,396,801.64
= Retirements
580,000,000
103,280,150.00
571,954,290.00
Total, daht charges
1,405,000.000
11.
1. Costome
17,000,000
2. Internal
30,000,000
Total, refunds
47,000,000
44,175,685.78
Income of credits,
137
SUPPORTING SCHEDULE no. 2 - CONTINUED
CONTINUED
Verized estimate,
Antaal, fissal
Actual, fiscal
fiscal year 1997
year 1956
year 1935
I. RECOVERY ARI
1. Agricultural aid/
(1) Community Credit Corporation.
2175,000,000
129,715,022.53
560.164.064.06
(2) Purs Cradit Administration (iscluding Federal Para Mirtgige
Corporation)
$ 20,000,000
133,223,252.37
141,500,814.96
(5) Federal land hanks
64,000,000
60,686,790.63
14,107,060.54
Total, agricultural side
$ 131,000,000
156,978,580.79
127,064,610.64
2. Relince
(1) Federal Emergency Belief Administration (tasluding Federal Surplum
Selief Corporation)
7,300,000
495,591,986.97
1,814,312,306.07
(2) Civil Works administration
500,000
676,195.79
11,327,263.67
(1) Drought-stricken areas (Department of Agriculture).
1,000,000
2,682,148.90
60,561,2129.99
Total, relief
9,000,000
499,150,631.66
1,906,250,820.53
:- Public works)
(1) Administrative expenses, Public Works administration
20,000,000
25,255,459.16
14,561,002.60
(2) Boulder Deagres project.
9,000,000
10.023.710.53
13,880,507.00
(5) Loans end grants to States, municipalities, etc.
250,000,000
172,116,011.89-
1
(4) Loans to railroads
: 127,001,597.33
66.250.752.95
(5) Public highways
220,000,000
215,095,581.31
517,350,960.05
(6) River el herbor works
85,000,000
152,318,737.09
147,984,751.64
(7) Works Progress
1,350,000,000
1,263,661,400.21
---
(8) Other public works (cational defense, public buildings, str.)
250,000,000
581,680,613.66
312,810,468.76
Total, public vario
2,184,000,000
2,092,069,806.50
1,020,411,860.50
4. Alda to loss -
(1) the loan system.
3,000,000
37,385,358.26
75,686,764.00
(D) Surgery housing
40,000,000
24,906,123.42
6,479,835.47
(3) Federal Bruting Administration
15,000,000
14,504,600.16
15,963,873.02
(4) Resettlament
150,000,000
137.907.725.28
1,761,663.06
(5) Indelstance
I
100,264.37
3,661,937.71
Total, aide 16 has mare
168,000,000
214,812,569.47
105.554.093.34
5.
(1) Export-Import Person of mainington
10,000,000
19,581,457.76
2,616,186.63
(2) Padara) Deposit Insurance Corporation.
---
---
497,050.55
(3) Administration for industrial recovery
i
5,111,371.00
12,106,730.81
Total, miscallaneous.
10,000,000
24,602,826.78
10,378,084.53
où Reconviration Please Carporation
£ 625,000,000
258,722,L16.79
135.504.953.60
7. Tennessee Valley Authority
---
27,814,668.09
56,110,537.34
Total, recevery and relief.
1,685,000,000
2,775,796,160.51
3,068,803,053.20
XI. SUPPLEMENTAL ITEMS
90,000,000
I
-
Total, expenditures
7,762,835,300
8,879,798,257.61
7,375,885,166.57
= Excess of credite, deduct.
Regraded Uclassified
138
SUPPORTING NO. 3
EFFROT OF TER PUBLIC REDT or FINANCING THE DEFICIT
Revised ostimate,
Actual, fiscal
Actual, fiscal
fiscal year 1937
year 1936
year 1935
Public debt at beginning of year
33,774,583,193.73
28,700,092,624.53
Increase is public dabt. during years
to neet deficiency is INTERNAL and receipts, general and special accounts
2,096,996,300.00
1,763,001,642.48
1,515,357,963.61
Loss debt retirements included is deficit
580,000,000.00
403,240,150.00
573,554,250.00
1,516,996,300.00
4,350,601,492.44
Increase is working balance (+) decrease (-) general and special accounts
3,001,799,713.61
-1,006,996,300.00
+ 1,114,471,056.72
-1,262,632,853.56
Total Increase in public debt during year.
510,000,000.00
5,375,073,349.80
1,739,166,860.05
Decrease la public dell' during year the so retirement of mational task notes:
(a) Chargeable to working balance
- 100,000,000.00
. 397,422,480.00
-
(b) Chargesble to Increment - gold.
1
,
- 91,415,650.00
Net increase is public debt during year
410,000,000.00
5,077,650,869.20
1,647,751,210.05
Public debt at and of year
34,188,583,493.73
33,778,583,493.73
20,700,092,624.53
THE BUDGET
OF THE
UNITED STATES GOVERNMENT
FOR THE FISCAL YEAR
ENDING JUNE 30
1938
I
Budget Message of the President
and
Summary Budget Statements
WASHINGTON, D.C.
1937
THE BUDGET
OF THE
UNITED STATES GOVERNMENT
FOR THE FISCAL YEAR
ENDING JUNE 30
1938
-
Budget Message of the President
and
Summary Budget Statements
UNITED STATES
GOVERNMENT PRINTING OFFICE
WASHINGTON : 1937
Regraded Uclassified
TABLE OF CONTENTS
Page
1. BUDGET MESSAGE OF THE PRESIDENT
V
11. BUDGET STATEMENTS:
General Budget Summary
XIX
Supporting schedules:
No. L Receipts
XX
No. 2. Expenditures
XXI
No. 2-A. Moneys appropriated and allocated for recovery and relief.
XXIV
No. 2-B. Moneys expended for recovery and relief
XXXI
No. 2-C. Moneys expended for recovery and relief classified as to provisions for repayment
XXXII
No. 3. General fund balance
XXXIV
No. 4. Effect on the public debt of Boancing the deficit
XXXV
No. 5-A Public debt of the United States Government
XXXVI
No. 5-10 Contingent liabilities of the United States Government
XXXVII
nt. ESTIMATER OF REVENUES AND RECEIPTS:
Statement No. 1. Estimates of revenues and receipts
Al
Analysis of revenue estimates
A12
IV. ESTIMATER OF APPROPRIATIONS AND EXPENDITURES:
Statement No. 2. Estimates of appropriations and expenditures
A17
Analysis of appropriation estimates
AS6
V. ESTIMATES OF APPROPRIATIONS IN DETAIL (see pp. 1-709 of the complete Hudget).
VI. ANNEXED BODORTS:
Post Office Department (summary statements only)
713
Reconstruction Finance Corporation (summary statements only)
737
Tennessee Valley Authority (summary statements only)
743
District of Columbia (summary statements only)
751
V.II. INFORMATIONAL TABLES:
No. 1. Estimates of appropriations for the fiscal year 1938 compared with appropriations for the fiscal years 1937 and
1936, and estimated receipts and expenditures for the fiscal years 1938 and 1937 compared with actual receipts
and expenditures for 1936
821
No. 2. Permanent appropriations included in Statement No. 2
825
No. 3. Summary of estimated expenditures for Federal public works, fiscal years 1938 and 1937, compared with actual
expenditures for the fiscal year 1936
830
No. 4. Summary by character and objects of expenditure of estimated obligations under estimates of appropriations for
the fiscal year 1938, compared with estimated obligations under appropriations for 1937 and actual obligations
under appropriations for 1936, exclusive of those for Postal Service
841
No. 5. Statement of expenditures under general heads, fiscal years 1930 to 1930, inclusive
843
No. 6. Statement of balances of appropriations June 30, 1936, and of appropriations for the fiscal year 1937 (including
permanent and indefinite appropriations), as of November 1, 1936, reported by the Secretary of the Trensury.
855
No. 7. Securities owned by the United States Government June 30, 1930, and June 30, 1935
850
III
Regraded
Uclassifie
BUDGET MESSAGE OF THE PRESIDENT
To the Congress of the United States:
Pursuant to provisions of law I transmit herewith the Budget of
the United States Government for the fiscal year ending June 30,
1938, together with this message, which is IL part thereof. The esti-
mates have been developed after careful analysis of the revenues,
obligations, and reasonable needs of the Government, and I recom-
mend appropriations for the purposes specifically detailed herein.
PART I
The programs inaugurated during the last four years to combat the
depression and to initiate many needed reforms have nost large sums
of money, but the benefits obtained from them are far outweighing
all their costs. We shall soon be reaping the full benefits of those
programs and shall have at the same time a balanced Budget that
will also include provision for reduction of the public debt.
The fiscal plans of the Federal Government for these four years
have been formulated with two objectives in mind. Our first was
to restore B. successful economic life to the country, by providing
greater employment and purchasing power for the people, by stimu-
lating a more balanced use of our productive capacity, and by in-
creasing the national income and distributing it on a wider base of
prosperity. Our second was to gain new advantages of permanent
value for the American people. Both of these objectives can be
accomplished under a sound financial policy.
Business conditions have shown each year since 1933 a marked
improvement over the preceding year. Employment in private
industry is increasing. Industrial production, factory pay rolls, and
farm prices have stendily risen.
These gains make it possible to reduce for the fiscal year 1938
many expenditures of the Federal Government which the general
depression made necessary. Although we must continue to spend
substantial sums to provide work for those whom industry has not
yet absorbed, the 1938 Budget is in balance; and, except for debt re-
duction of $401,515,000, it will remain in balance even if later on there
are included additional expenditures of as much as $1,537,123,000 for
THE SUDGET, 1938
MISSAGE TRANSMITTING THE BUDGET
YII
monvery and relief. We expect, mononver, if improvement in 000-
cultural activities to which they am related espand in volume. The
nomin continues at the prosent rate, to be shle to attain
cust. of new functions and duties can be substantially reduced only
is 10/20 a emepletely balanced Bodget, with full provision for meeting
by curtailing the function or the duty. I propose abortly to submit
the statuary - for debt reduction
to the Congram & broad plan for placing the Executive Branch of the
To currying mill this policy the American people nze obtaining lasting
Government on B sunder and more responsible basis of management.
Envernic protection of the aged and physically bandi-
The carrying out of such a plan will undoubtedly result in some HA ving
requed is heing secured through the operations of the Social Security
in expenditures; but it must la rumembered that what is generally
Art. Millity of the fatwer to obtain a more constant livelihood loss
known as overhead represents only - small fraction of total expendi-
home enhanced by the reactment of Ingislation capecially designed
turos in any large business, Government ne private.
for Birth purpose. The boese owner has boon benefited through the
Expenditures must be planned with a view to the national needs;
linancing vil invigage at ressonable tites of interest. Investora in
and no expansion of Government activities should be authorized
sendition are being piver 6 larger measure of protection by the
unless the necessity for such expansion has been definitely determined
Familities and Evchange Act. The market for eurporate securities
and funds are available to defray the cost In other words, if new
has have returned and industry Two have able to finance its long-
logislation imposes any substantial increase in expenditures either
the requirements en e favorable linés. The rights of labor am
in the expansion of existing or the creation of now activities, it becomes
leing materially advanced through operation of the National Labor
a united of sound policy simultanoously to provide new revenue
Relations Ant
sufficient to mest the additional cost. The of such a publicy
1. plan to submit at . Inter sinte an entimate of appropriation for
can be assured only through the full and friendly cooperation of the
additional relief for the fined year 1038, which I hope will not erceed
Congress and the Executive. Of this cooperation I am confident.
the of $1,037,122,000, previously mentioned, This hope is
license im the assumption that industry will cooperate in employing
- and WHILED from Min relief rolls in largue numbers than during
PART II
part your Many of Unage in charge of industrial management,
their obligation las the Nation, have furnished a large-
RECOMMENDATIONS
of employment to the jobless, Today, while it is true that
Temporary miscellaneous internal-repensive taxes.-I recommend that
in - mentions of the country certain types of skilled workers are
the Congress take steps by suitable legislation to extend the miscel-
and weiling employment, is is novertheless a fact that the great
laneous internal-revenue taxes which under existing law will expire
imajoring 11 of Hinan now moving relief Indung to the smokilled
next June and July, and also to maintain the current mis of three
will - my convinting Cash if every employee or potential employer group.
taxes which would otherwise be reduced next June. I consider that
5 underwishe during Mie uny) six months to give employment
the revenue from such taxes or its equivalent in Becessary for the
un the be kept diffinitely in belence, Without such cooperation can
therefore Inver receiving Government help, the national Budget
financing of the Budget for 1938.
Postal recipts-The vetimates of appropriations for the Postal
100ml of pert of employers, the question of B balanced Budget for 1938
Service included in the 1938 Budget are prodicated upon the contin-
this arronality minim so open cae, for the Tery good réumo that
usnoo during that fiscal year of the S-cent postage rate fur first-class
the Government have does dut propose next year, any more then during
mail other than for local delivery. While the Government maker a
To sean, to allow American families to starys.
profit on first-class mail, the Postal Service is not self-aupporting
Redget, the puso RP are making and to accomplish in the
because it carries other clames of mail at . considerable loss, as aboven
final policy. reduction. We Thousa now lay the groundwork of our includ- future
the della . memplete balance between receipts and expenditures 1039
in the tabular footnote on page XXIII. It should be the definite policy
of the Government to operate the Postal Service out of postal receipts,
While the mint memal expenditions should decline with greater
and a continuation of the 3-cent rate will be A necessary step forward
num showth of Use Country naturally relects recomploy-
the accomplishment of this purpose.
Civilian Omernation Corps.-The Civilian Conservation Curps has
distime et of Government. Many of the old itself in
demonstrated its usefulness and has met with general public approval
Government naturally Cost more as the industrial functions and agó- and
It should be continued. I intand abortly to enbmit a supplemental
estimate of appropriation to carry the Corps from March 31, 1937, to
Regraded Uclassified
THE BUDGET, 1938
MEBIAGE TRANSMITTING THE SUDGET
you
IT
the ml of the current fural year, and I sinualy recommend that Con-
latter amount did and however, include 81,073,403,000 for adjusted
yms met during its promit senten the commary legislation to
compensation payments to veterans. The expenditure for the year,
the Corpo OF . permissions agency of the Government
excluding those payments, ware, therefore, about $439,000.000 less
of energency are included in the 1038
than the estimate.
purment to the direction of Congress al its last unsion,
The total expenditures for recevery and milit were $2,770,796,469
entimate of appropriations for the administrative expenses of certain
against an estimate of $2,809,008,187. For the operation and main-
agencies and corporations. Such of the emergency ages-
tenance of the regular departments and establistments of the Govern-
de and corporations be may be continued by Congress should
ment the expenditures amounted to $3,276,972,306 ne compared with
base all of their expenditions requirements made subject to the some
retirnates of $3,482,205,151. For statutory debt retirement there
that is givin by the Barreri of the Budget to the expenditure
was expended $403,240,150, and for interest un the public debt
miguirements of the regular departments and establishments; and I
5749,396,803, the amounts budgeted for theme items being $555,025,000
proventional that - provision to that effect be included in any future
and $742,000,000, respectively.
Tegislation for the continuance of any arreh agency or corporation.
Deficit and public deld-The grime deficit the the final year 1938
amounted to $4,763,841,642. Excluding $403,240,150 for statutery
debt retirement, there was a not deñois of $4,360,601,492. The all-
Pare III
mated not deficit na contained in the Budget submitted 6 year agy.
REVIEW OF THE FIRCAL TEAMS THE AND 1997, AND non FISCAL PROGRAM
was $2,682,482,302, a difference of $1,678,119,100 As previously
FOR 1938
indicated, the original estimate has bever afforted to the extent of
$447,000,000 as a result of the invalidation of taxes lovied under the
This mears Haelf with the cash actually received and
Agricultural Adjustment and Bituminous Coal Acts and by the addi-
past ont by the Treasury in the fiscal year 1020, with the estimates
tional expenditure of $1,673,493,000 under the Adjusted Compensa-
of receipts and expenditures for the fiscal year 1937, and with the
tion Act. Ira had not from for the increase in the deficit due to these
fined program for 1038.
cause, the ses definit for the fiscal year 1936 would have been about
Fieral year 1950
$452,000,000 less than that originally estimated.
The increase in the gree public debt during the year amounted to
Trienury monipos for the year ended June 30, 103A,
$5,077,650,660, but this sum included an interese of the balance in
to about $205,000,000 less than milmated
the general fund of the Treasury of $840,164,604. The grown publie
a year 4gh As " mill of Supreme Court decisions, the Govern-
- frest about $437,000,000 in from faxes levied under
debt on June 30, 1936, was $33,778,543,404.
the Agriestment Adjustment Art and the Cost Aet.
Fiscal year 1957
Ited it et have for the invalidation of these farm, the trial revenues
moved during the fines) year 1996 would have excended the revenue
Recripts -The income of the Federal Government during the
retirnalism of - year apr by $1A2,000,000
fiscal year 1937 will increase sharply over that of 1936. It in expected
The collection of los - curriors and Unit employees, estimated
that the total revenue from all (esclusive of postal revenues)
product Wightim The recipts freer income taxes were about
has has deferred to the fises] year 1937 beenuan of at
will amount to 85,828,151,000. This represente an increase of
$1,712,194,000 over the actual receipts for the Fiscal year 1936 and
In this last year's estimate
an increase of $173,033,000 over the entimates contained in the 1017
Che the Mine hand, internal-revenue taxes produced
Budget ne submitted a year ago,
than 9as anticipated: evitome revenue,537,521,000
The granned improvement in business conditions and the mantment
- mindiagemes $1,450,000 ison, receipts, $12,002,000 theirs; and realization upon
of the Revenue Act of 1936 have resulted in additional revenues from
taxes which will not only make up the loss in revenue dos to the
June m, total expenditures for the fiscal
Supreme Court decisions invalidating the taxes livied under the
unnected 1935 (medusive of organditions from postal year ended
Agricultural Adjustment and the Bituminous Coal Anta, lost will
in 09,670,709,228, " compared with the revenues),
produce additional insume of approximately $174,000,000.
above in the Bodget submitted a year entimate ago. This of
Since the Havenue Ant of 1936 materially changes the (as structure,
the individual Hems of revenue as contained in the original 1987
Regraded Uclassified
TUE DEDGET. 1038
MESSAGE TRANSMITTING THE BUDGET
21
Budget will not be exectly comparable with the individual items in
Deficit and public delt-The current estimates for the finest year
the (057 Hoolget as revised is this manager.
Income insm STP expected to yirld $9,373,900,000, or $940,325,000
1937 show a grow deficit of $2,652,654,000. Deducting public debt
- than was presived from this anuren last year;
retirementa, the Det deficit will be $2,248,129,000.
internal revision, €2,274,905,000. an increase of $265,350,000; eur
The increase in the public debt on account of the delicit, bowever,
toma datine, $446,800,000, an incresse of $59,988,000; and realization
will be only $1,348,000,000 únce it is anticipated tbst $000,000,000 of
upon america, E11,870,000, an increase of $20,362,000, In addition, is
the deficit will be financial from cash un hand. The working balance
is experied that the new las on unjust coriclment provided by the
will be further reduced by net expenditures of about $42,000,000 for
Revenue Act of 1936 will amount to $82,000,000 and that the tax on
tmail accounts and $100,000,000 for the retirement of national bank
varders and their employers will be $134,552,000, including $3,000,-
polas new a part of the public debt. This will reduce the working
non deferred Truen the previous finend year. The collection of tasns
balance from $5,225,000,000 on June 30, 1936, to $1,183,000,000 on
levind under the Social Security Act will begin in the last half of the
June 30, 1937. The grow public debt at the end of the current fiscal
liscal year 1937, and il is expected that their tases will produce
year is estimated at $35,026,000,000, an increase over 1930 of $1,248.-
000,000.
additional revenue in the amount of $334,600,000.
The only item of revenue showing any decrease is that of miscel-
The estimated debt at the and of the fiscal year is bused un con-
receipts, in the amount of $50,325,000, which is due to redue-
templated expenditures set out in this Budget and does not take into
time in internet payments tuade to the Treasury by the Recometric-
account any change which may occur M a result of the Treasury policy
Lion Finance Corporation
in holding as "inuctive" future sequisitions of gold.
Expensitions - Prom present indications expenditures for the fiscal
Final program for 1038
your 1937 (exebusive of expenditures from postal will
amount to $8,480,604,000 Exclusive of statutory debt retirement
The expected increase in revenue and decrease in expenditure for
and adjusted rempensation payments, the total expenditures will
relief both reflect the general improvement which bee taken place in
amount to 87,512,779,000, sur increase over comparable expenditures
the economic conditions of the country. The Revenue Act of
for 1020 of 3700,714,000
which mail designed for the purpose of replacing revenue lost through
This amount is made up of increases of $371,192,000 OD account of
the invalidation of processing lasse, of providing sufficient revenue to
the Social Security Ant, $85,603,000 on account of interest on the
amortize the not of the adjusted compunsation payments, and of
public debt, $104,161,000 for the ground public works program,
equalizing las burdens, given every indication of estisfactorily accero-
$123,142,000 for national defense, and $221,914,000 for other pur-
plishing three purposes. I should like, at this point, to emphasise the
proce, and decreases of $95,321,000 for the Veterans' Administration,
importance of maintaining the productiveness of the present tax
676,996,000 for the agrinultural adjustment program, and $118,281,000
structure, BO that wa may properly provide for the fulfillment of our
for the Civilian Conservation Corps.
fiscal program.
The amount of the recevery and mind expenditores bas been esti-
Under legislation enacted during the last semion of Cougress, which
meted es $2,160,157,000, but More in included in the supplemental
created authorizations for future appropriations aggregating more
expenditire Huma $650,000,000 from su appropriation of $790,000,000
than $1,500,000,000, there is included about $130,000,000 in the esti-
Man be requested of Congress for the parpose of earrying the Works
males of appropriations contained in this Budget. Such authorize-
Progress Administration end related programs Imm February I to
lions are contained in the new Federal Highway Act, the Rivers and
as, 1057. The will increase the estimated expenditures for
Harbors and the Flood Control Acts, and the Rural Electrification
intervey FURO. and relived to $2,816,157,000, an Decrease of $39,361,000 over
Act.
The expenditures in the current fines) year will include, how
There is also included $812,226,000 for social security grants and
ever, and the Biton of about $165,000,000 for amiatance given le individuals
for the Government's contribution to the old-age reserve account,
droght medium prevailing during the past summer. If this
communities or indirectly affected by the widespread
more than deuble the expenditure for these purposes in 1937, and
Hmoght load not amount, the ant not of movery and milel for the
there will be for several years still further incruases in these require-
ments. It should be pointed not that thise expenditures will be
- for The previous liseal year,
number Encal year would lime boen about $123,000,000 below the
offact to - large artent by the increasing revenues under the
Social Security Act.
Regraded Uclassified
1
THE SUDGET, 1009
an
MISSAGE TRANSMITTING THE BUDGET
IIII
No estimate of appropriation La presented the the needa of the
Civilian Cummervation Corps, since las estension begund March 31 of
Receipts.-Treasury receipts in the fiscal year 1935 are expected to
this year in dependent on the sotion of Congress, In [urtherance of
reach . total of $7,293,607,000, an increase of $1,465,456,000 over
my for the enactment of legislation to continue it
similar receipts for 1937 and $3,177,650,000 over 1936. This gain is
- 6. personnent agreed of the Government, there is included in the
largely due to an increase in income taxe or a result of improved
"Supplemental items" an amount sufficient 10 most the expenditure
business conditions and the operation of the Revenue Act of 1936,
requirements for the fiscal year 1005.
The amount expected to be collected in 1988 from income taxe la
The following shows the distribution, im a functional basis,
$3,365,300,000, a guin of $992,400,000 over the fiscal year 1997.
of the figures contained in this Budget and company
Miscellaneous internal revenue will produce $2,508,382,000, or
them with similar Figures for previous years.
$233,364,000 more than is expected from this exporte for 1987. The
tax on unjust enrichment and the taxes on carriers and thuir om-
Lanel and intervated registrations w the jor the feel years (20)-19
playees from which $82,000,000 and $134,552,000, respectively, will
organizations from Bach grand and company funds)
be derived in 1937, will produce DO revenue in 103H, since under
- - of dation)
existing law three taxre expire during 1937. The first full year of
tax collections under the Social Security Act will result in revenue of
Extinated
detail
$774,800,000 in 1938, which sum is $450,200,000 greater than the sotio-
ipated revenue in 1937, when collections will be for only als months.
I
-
-
il
181
-
-
It is believed that customs revenues will rise from $446,800,000
-
during the present fiscal year to $463,000,000 in 1938, a gain of
- - nine -
-
$16,200,000. Miscellaneous monipts, however, will decrease $5,950,-
au
Mills
7
- -
m.
i
and
WL,
--
BILM
IMS
i
000, the 1938 collections being estimated at $151,550,000, AS com-
- - -
707.8
ITT #
LIMIT
i
2MLY
Illinois - -
BALK
pared with $160,500,000 during 1937. From realization upon amets
i
-
THAT
DAS
i
-
$30,025,000 will be received, while in 1937 receipta from this source
Frank
-
-
LTREA
une
ARMY
LESS
will amount to $31,830,000.
-
Fax
LTAT
i
MALE
sure
Rependitures.-The expenditures for 1938 contemplated under this
437.7
i
- -
Budget (exclusive of those from postal revenues) will total $6,157,-
Hind -
13.0
HALT
-
LEILI
- P.A. - A.3
Time
999,000, or approximately $2,323,000,000 less than is now estimated
ENT
AS
in
IL#
Corgo
i
for 1937. General expenditures for regular activities amount to
(1)
SALE
-
USA
-
$5,541,968,000, M compared with $5,604,647,000 in 1907, an increase
This
0-2
LICENSE
LAILS
180.7
of $177,321,000. The 1937 estimate, however, contains so amount of
- -
— - -
-
i
740 8
$563,500,000 for completion of adjusted compensation payments to
BLI
404.0
n:
04
-
DEL
ess
UNIT
veterans, so that the comparable increase over 1937 is $740,821,000.
- - -
Loss -
HC )
sex
TELM
inc
For recovery and relief there in included in the expenditures for 1938
THE
ISLA
the amount of $316,031,000, which, of course, is not the full amount
F
MOA
-
it
that will be required for relief during that year. As previously
FOLT
- -
indicated, it is our present hope that the additional amount to be
I I
400.0
DCA
/
ALL
IN )
i
ELA
requested for this purpose will not enror $1,537,123,000. Thus the
20,5
-
481.8
i 1
10
411.6
:
as
67
total expenditure for recovery and mlief during 1938 would be
-
DMP
- VIE
#1,953,154,000, or $963,003,000 Ireo than the amount entimated for
-
i
i
ROLL
May
A
HLO
1937. Again I emphasize the contribution which employers caus
- + AS - - - - by MI - - - . - manual by Ompers be - - relat to the (m) pur
make to this attainment.
. Pinde la - . Read - - -- - 11/mi
Time a - Out Director Citimaties Tap Mindul R.S. men are -
- # - -
Items."
Regraded Uclassified
SIF
THE BUDGET, 10.19
MESSAGE TRANSMITTING THE BUDGET
ST
The general expendinces include $560,000,000 for interret un the
PART IV
public debt. sur increase of $23,000,000 INTER the animal for the
present famil year, and 8401,515,000 for statatory debt retirecents, a
THE DISTRICT OF COLUMNIA
ilense of $3,010,000. Exclusive of the service on the public slebt
The first section of the 1937 District of Columbia Appropriation
mal the payment of adjusted to reterans, there is .
- forman of 8718,831,000 in expenditores for regular activities as
Act, approved June 23, 1936 (Public, No. 762, 74th Congres), containe
compand with 1017 Tide increase is accounted for - follows:
the following provision:
For increased requirements under the Social Security Act, $436,-
"Na to and $201,000 shall be available for expenditors, mire the dinetivé of
3.47 (xx); for additional expenditures under the poral public works
the President, for making en judgendent atoly of the Real relations Intwork
the United States and the District of Culumbia and mailing him to regiri to
program, $132,519,000 for national defense to provide for the in-
Congress st the beginning of the not regular main, what, in like "
strangth of the Army an directed by Chagres and to provide
fale and equitable smiths to be paid by the United Sale as as annual sold-
bation Loward the erpines of the government of the District of Cuimins: and
für replacement of neval venela in ancordance with existing authori-
- shall be available for personal arviors without regard in the elvil ama
for the necessary funds for the activities of the
Laws and the Classification Art of 1923, - amendal, and for - ollue expends
turne as may le processry in association with wuch study
Kaidred Refinent Bosrd and for rural electrification, $39,560,000;
and for increased needs of name activitim, $17,527,000.
Pursuant to the above, I appointed 8. director and so adrisory
Surplas and public dell-The surplum for the final year 1938, AS
committee of three members to conduct no independent stanty of the
immented in this Budget, la $1,136,005,000, aller providing for debt
various elements and conditions affecting the fiscal relations between
vetiment, Eviluing prevision fur debt retirement, the surplus
the United States and the District of Columbia,
will amount to 51,037,123,000. As I have previously stated, is is
The report contains detailed findings and recommendations with
heped Due additional invede for retief during the fiscal year 1938 will
the supporting data and information enllected from the Federal and
ent require expenditors of Issure than this latter amount On this
District Governments in Washington and from 17 comparable
hair the estimated given public dabt, en June 30, 1938, will be about
American cities and the capital citim of 21 foreign countries
the sure eminual B4 at the class of the fisral year 1937. This does
The application of the basic principles and recommendations M
PART inke into annual any change which may dotur $ & result of the
outlined and detailed in the repart in reflected in the following 3-point
Treasury policy in hubling as "inarlive" future acquisitions of gold.
formula, which 1 recommed be carefully considered by the Congreen
Appropriations.-The total appropriations recommended in this
with a view to enacting such legislation at this senion as may be
Thought $6,830,000,000, including these for the Presial Serv-
necessary to establish equitable fiscal relationships between the two
in District of Columbia, and probable supplemental items, while the
governments,
appropriations already made and propertive supplemental items for
L Integremental contractual arratigments shall be
Mar final your 1937, exclusive of requirements for recovery and
established fuz the reimbursement d the nost of
relief, total 00,201,000,000, en increase of $578,000,000 for 1938.
service supplied alther government by the other. Appropriations Ourder shall
be instuded in the impective anoual departmental budgets.
This increase la due to additional appropriations emounting to
IL Capital vatage if jaint intest-The National Capital Planning Commie-
$100,000,000 un account of the Social Security Act; $80,000,000 n-
sion (proposed in the report) stall determine the estent of the napative (feders)
and District intervate in capital outlays and improvements to be included in the
quired wiler the general public works program; and $189,000,000
District budget.
on account of departmental requirements, including the national
III. Per capila premental cale-Pending the grant of power of
local sontrol over parely local aftairs, the excess of the District
and defense The appropriations made and contemplated for neavery
eceta per expita over the avenue of three In comparative citle shall be assumed
mlid for IN7 total $2,216,000,000. vinteur it is hoped that
mental euror shall le assumed only after allowatics has (wirt) pada for nimbure-
by the Federal Government: Provided, knowner, That such RESE District govern-
appropriations for 1938 will not exercial 81,537,123,000.
mesta due to unusual curta by Compressional enactimis.
1 also recommend that, cuncurrently with enactment of any legis-
lation which carries into effect the provisions of this continuing
Regraded Uclassified
311
THE BUDGET, 1938
formals, the substantive law providing for annual Federal contribu-
tions of a fixed percentage of District appropriations be repealed and
that the system of annual Federal lump-sum contributions be
abandoned.
The application of this formula to the 1938 Budget estimates
would provide for a net reimbursement by the Federal Goverment
to the District of Columbia of $2,533,357, made up es follows:
L Intergevemental contractual services.
$1, 096, 407
IL Capital outlays
536,950
III. Eurose per capita District of Columbia governmental costa
Total
2,533,357
After the application of the formula there will still be a deficit in
the general revenue account of the District of Columbia of about
$9,800,000, which will make it necessary, of course, to provide additional
revenue, Sources of additional revenue are indicated in the report.
FRANKLIN D. ROOSEVELT,
JANUARY 5, 1937,
GENERAL BUDGET SUMMARY
AND SUPPORTING SCHEDULES
EVII
115897
Regraded Uclassified
GENERAL BUDGET SUMMARY
BALANCED STATEMENT AS REQUIRED BY THE BUDGET AND ACCOUNTING ACT (U. S. C., TITLE 31, SEC. 11 (F))
GENERAL AND SPECIAL ACCOUNTS
Estimated, fis-
Estimated, fis-
Actual, Browt
cal year 1938
cal year 1987
year 1990
I. BECEIPTS.
Revenues (Bupporting Schedule No. 13:
Internal revenue
$6,648,432,000
$5,189,020,000
$3,512,851,608.15 a,
Customs
463,000,000
$46,800,000
385,811,593.69 62
Miscellatious revenues.
151,550,529
160,500,481
210,824,951.84
Total. revenues
7,262,982,529 262,
5,796,320,485
4. 4,110,488,153.60
= Restiration upon assets,
30,624,668
31,830,234
5,468,461.44
Total. reseipts
7,298,607,192
5,828,150,719
4,115,908,615.12
IL EXPENDITURES (Supporting Schedule No. 2):
L Legislative, judicial, and executive
41,344,300
41,390,250
39,812,725.75
2. Civil departments and agencies
708,392,178
649,533,698
572,580,731.52 52
1. General Public Works Program
451,108,963
318,590,000
R §
4. National defense
960,763,000
$87,881,080
764,439,126.04 04
L Veterans' pensions and benefits
577,524,000
580,771,453
674,092,867.00 où
Adjusted compensation payment
363,500,000
25 G If
iL Agricultural adjustment program
482,800,000
of
467,610,000
542,605,751.95
7, Civillan Conservation Corps
(1)
365,000,000
496,261,193.58 a
9. Social Security
294,974,000 000
174,037,500
28,445,202.50 to
Old-age reserve account
540,000,000
225,000,000
o. Debt charges:
Interest
592,000,000
835,000,000
740,206,801.68
Retirements
401.010,000
404,523,000
403,240,150.00
10. Refunds
$2,946,903
48,202,100
44,185,625.79
11. Resovery and relief (Supporting Schedules Nos. 2-A, 2-B, and 2-C)
2,166,157,100 2,
12- Papplemental Items
470.000,000
712,000,000
Total, expenditures
6,157,980,254
8,480,304,493
8,879,748,257.01 87%
ILL. SUBPLUS
1,135,607,043
DEFICIT
2,632,633,774
4,763,641,042.44 44
IV. Meass or FINANCING DEFICIT.
1. Decrease in working balance (general and special accounts, Supporting Schedule No. a) I
000,125,774
1. Borrowings (Supporting Schelule No. 4):
Replacing debt retirements.
404,525,000
403,240,150.00
Increasing the public debt €,
1,348,000,000
402 -
Total, means of financing
2,652,603,774
4,783,541,042.48
I Funds for motinustion of the Civilian Conservation Corps are included under "Supplemental Items."
I To the intreased by any amount appripriated by Congress for recovery and relief for the fiscal year 1938. AS Indicated in the message is is hoped the amount will not exceed
1),637,123,000.
4 There will be a further reduction in the working balance of $100,000,000 for the purpose of retiring national bank notes, this effecting . reduction in the public debt of
This ament,
XIX
THE BUDGET, 1049
GENERAL BUDGET SUMMARY
33)
-
Supportiso SCHEDULE No. L
SUPPORTING SCHEDULE No. 2
RECEIPTS
EXPENDITURES
- - - - a - - - - main perial
(Demated und - expenditive the good and -
Extinated hal
Entensted fani
Attal les
UNITEDAL
your THIN
your 1927
The -
Estimated facial
Extimated. first
Besi
par -
post 1407
PM -
. -
4. END une
1
Rames
1. Legislative withhold
-
---
- - -
9. Juitidary
17,009,500
17,300,000
1. Instruction Office
635,700
201,500
---
- - -
-
- -
TL.000,000
113,000,000
THIS legatative, wid esergtive
41,344,300
41,200,500
- -
143,000,000
139,000.000
- -
MODES
594,500.000
II. Cm. DEPARTMENTO 4m
I 1 1
841,348,000
L Department of Agristions
194,881,500
118,601,200
— -
sme
--- -
77,600,000
---
1. Department of Commin
1. Department of the Esterier.
72,944,600
I I I
436,221,000
78,000,000
1. Department if further (mmg) the julinary, L address)
20,115,000
- -
name
a. Department of Lahr
17,133,000
- - -
e. Department of State
18,215,800
17,000,700
T. Treasury Department date recimed, - bedel benefits and - VILIX, end x
- - - -
+1.00.12.00
. War Department
24.03.2019
43,484,100
1.00,300.00
Panama Camil
14,087,000
- - - -
11,281,000
& horred Servet Reset
-------------------------
----
10. Heral Administrative
33,473,000
970,000
- - - SMI
H. Dailed States Marrine
38,000,000
« - - --
11. Other interpended atten and -
- - - - - -
is Between and Casel Date - Baltod, and Tuniqo Berrice share)
40,082,400.00
ema
- -
TTA.N00,000
324,600,000
11. That Office Department, delateury - Amount Builged - - additional
30,760,478
The - - -
18. District of Columbia, Account Indest)
€
1.797,500.00
K2.000,000
Home
- -- - - MAME
774,800,000
541.152,000
- attern checks contracting
- -
Time, difft departments and apreadas
-----
. -
in GENERAL Was
$63,000,000
448,900,000
L Taley Anthority
48,000,000
48,000,000
. - -
1
15.200,200
A,000,000
- - -
2400,000
1 Department of Applicature
-------------------------
-------------------------
I 8 I I 1
3,487,80
a Experient of
1,000,000
DATE
- I :
----
----
1. Department el - Estarier
1 -
100.00
f. Department of Justine
800,000
1,200,000
-
A Twice
11.70.00
amme
7. Department of Rtale
4,200,000
8,480,000
-
i 1
29,033
---
JANE
1,123,100
A. Transity Department
45,500,000
- -
190.00
172000
. Ww Department
130,900,000
85,000,000
MII - - -
N.TIC.00
ENGINED
a - - -
T.IM
ATM
Total Public Warks Program
-
xans
- - di -
LOLIN
eu - -
29,047,000
ROLMO
IV. Name DEFERE
I I I 1 #
6.271,200
5,179,800
state
# 1 I
L Nary Department
---
10,30,00
LIMITED
ame
1. War Department
---
277,681,000
45,171,100
? I
- - - Trans -
Total - éxtraise
-
-------------------------
-
1 / I
V. VETERANI am sexeme
E. Administration
- -
100.000,485
SABLET
= Admit expension payment
di, - -
Total vener persons end bentits
I . /
- . - -
Vt.
-
-45,130,000
1 - - -
of previog too
22,000.00
00,000
70,000
NMA
/ / I
Total Application -
The
#
-
VII Organ Com
3
-
----
came
VMI decrease
1. Administrative
---
ane
= One
EMLTING
L Children -
140,000.000
-------------------------
THAL detail Fenrity
-
12. Dear
L Inkret
-
name
#
---
anne
UNLIAM
-
Total está date
- na
Regraded Uclassified
GENERAL BUDGET SUMMARY
XXIII
THE BUDGET, 1938
ARD
SUPPORTING SCHEDULE No. 2-Continued
SUPPORTING No. 2-Continued
EXPENDITURES-Contiound
EXPENDITURES-Conind
- and expenditions - and and apecial
Inalyria of postal definery by classes of not and special arries I
Estimated, first
Estimated, Rend
And -
(In effices if dillars)
year 1901
your -
per -
total THE HIN
Entrastal, Birth you 1407
total form) para de
& REFUND
$16,800,000
$14,000,000
FABLIER
Equali-
Error [+]
1.
36,168,900
NAME
lies
or as
Revenue
Expendi-
+1
if dell-
Expendi-
Exempt [+]
Revenue
Banence
. Informal -
they (-)
they (-)
Issue
or dati-
easy (-)
Time. address
-
Class of mult
First dam
an
+1361
TILA
+421.8
385.1
30.1
HIRLT
M Revenue are
lemits das
25.4
135.9
-41.3
E
135.4
-41.8
:
113.0
-11.0
I - wid.
+38,000,000
in Commidità Combi Corporation
Timel del
71.7
SI
-21
87.8
MI
-211
52.0
M.W
-21
+13,162,687
e Parent -
+12,095,000
-----
Firsth class
181.5
149.4
-0.5
BLT
MALE
- ILS
121.9
136.8
-IL6
24,000,000
89,900,000
EN) Endersi - -
Funip
17.1
067
-4.6
18.7
34.4
13.1
e.1
-ILT
Pensity
U.S.
-11.8
12.1
-@)
12.7
-123
Total sprectional sad
Franked
.s
7
à
7
.
7
Free le the blood
4
7
-
-
+
-.
*
Yours! MITHI et -
M.S.
190.3
-0.7
NO.:
M.I.
-U.S
78.0
-
- no
en Federal Review - terpium Relief Corporation)
11,000,000
e Civil Nome -
200,000
540,000
ama
Cress and
IM.D
78A.8
-21
TIAM
765.3
-20.1
i
TML3
-a.e
B UNIN - (Ivpartment Agriculture)
ART,BOO
Les statement IN duly Transy estement
A.I.
=
Total mind
29,000
12,047,800
Net -
358.0
795.8
-
Tisa
76A.8
-MI
MILI
TML3
. -
10 expenses, Public Works -
16,000,000
25,000,000
. Fir details under mith destribe, - table e & TIA.
5 Control crient
0,354,900
6.638,000
- - grands - - - ⑉
187,000,000
234,000,000
FRO Leven la
- 8,000,000
the -
134,544,000
258,130,000
215,094,000.31
- River - harber write
15,188,700
105,001,500
en - -
18,202,400
-) Works Program à -
1,400,000,000
- Date policies works - - - etc.)
-
$45,417,400
Total -
467,063,600
1,401,606,300
1,002,000.000.00
1. Rate - - -
au Name -
5 Employer
21,448,000
de - Administration
$1,000,000
49,612,600
56,906,00
- - - - - -
18,000,000
15,000,900
30,000,000
$52,054,500
Total - - -
77,000,000
il.
(1) Sumin - -
9 Ministration - - -
3,000,000
20,000
ABLES
Total -
1.088,000
. - Finance -
a Velley Automate
* 170,000,000
* 635,000,000
Total - and mist
2016
THANK -
400,000,000
TML000,000
. Toma of media,
. I Feeda M - la - Family ta be - - instructions - By Mer - - be of the report of the - the Faily of Planal Relations between the Donet State et the
17a la - " - of the Commission Corps included this under Pirpose
CLAS - - be - for money and mind line the Doal per Dear INDA. la is the - . La biget the - will and -
Regraded Uclassifier
THE BUDGET, 1035
GENERAL BUDGET SUMMARY
XXV
1231
SUPPORTING Science No. 2-A
SUPPORTING SCHEDULE No. 2-A-Continued
FUNDS APPROPRIATED AND ALLOCATED FOR RECOVERY AND RELIEF AS OF OCTOBER 31, 1036
FUNDS APPROPRIATED AND ALLOCATED FOR RECOVERY AND RELIEF AS OF OCTOBER 31,
Company Approximation Art.
Appropriations -
Emergency
Energency
Medical -
-
Belad
Beltef
-
National
Energreent
-
-
Lamba and
Apprepriation
Appropriation
Cer-
Tital
Openity
less Banivery
$601,123,000
-
I
$406,000,000
Emergency
Apprepriador
Appropriation
Power Our
Total
Art
relat is
Art.
Art, -
potation
Art
Loans and
Potice Warts
BACH -
Public Werks
Delief and
millet to
- -
provided
-
cultrinal -
Administration
Public
dirickes mari-
Water
Works
miltions -
- -
. -
- - -
-
-------------------------
warma
All situr
- -
-
-------------------------
-
SIGNATURE
Few -
Item -
200,000,000.00
una
- Industrial
- -
visit main
- -
---
-
Applical -
Twom -
----
18,00,000
proin
$1,807,140.00
# E |
une -
-------------------------
Total 4th
miss
Total -
: L
---
----
Designs
I -
administrative
Fullo - -
sport
194,000.00
-
LELWLE
36,000.00
160,00
- -
IM - -
cas end Gas-
- -
ace kny
-
-
-
----
Sex -
IRCHI
office el de -
-
----
----
[
1,000,000.00
1,000,000.00
a Adril
fine if Had
INS -
pts.
71,000.00
SERE
ama
Seription el
-
---
basis: a
www.it
1
60,000.00
ame
1 - 1 !
came
131,996.00
I
Ale Common
-
- - -
----
I
1,674,000.00
Last M - .
name
Internal to
- -
---
smia.
-
- - -
----
- -
Total, Cap-
Compt - -
----
-
-
---
have - M
I
el
Name Time -
america
love
1,35,200.00
-
inc.
- - ......
-
Administrative
I
---
1,481,104.00
-
10,000.00
-------------------------
I
- - -
Indian Bervice
assa
- -
-
HOLDER
National Parks
$7,000,000.00
-
- -
Codegial lunes.
INCVITIONS
- -
-----
Alaska Road
/
-----
---
USE
Consider
1.307,800.00
il i
COLMO
MI
142,000.00
-- -
----
=--
****
Howard Unime-
- -
-
1,000,000.00
aty
a
---
. i
100,000
Health Last
-
-
- -
Units
200,000.00
!
171.00
IL Elizabetha
- -
- - - - -
Hopital
0,463.00
- -
of Mins,
40,30.73
- -
----
-------------------------
-
Virgin Islands
904,680.00
If
2000
use
11,700.00
- -
---
Divise of le
! I
-
---
veligations
1,00.00
-
---
on regulations
/
/
-
Columbia lati-
7 I
---
-----
use fir
===
1
/ I
---
-------------------------
Ad-
ministrative
- - -
1,00.00
7,131.00
MMF
Sourd.
mms
and
/
- -
---
LDLISE
Pays Visa
Manurial Can
-
----
car
-
THE
10,000
Forma - a ⑉
Regraded Uclassified
THE BUDGET, 1938
XIVI
GENERAL BUDGET SUMMARY
IXVII
SUPPORTING SCHEDULE No. 2-A-Continued
SUPPORTING Schedule No. 2-A-Continued
FUNDS APPROPRIATED AND ALLOCATED FOR RECOVERY AND RELIEF AS OF OCTOBER 31,
FUNDS APPROPRIATED AND ALLOCATED FOR RECOVERY AND RELIEF AS or OCTOBER 11. 1936-Continad
Energency apprevation Adt, -
-
All -
Energing
-
Employer
Relist
Hallet
I
Ind
Company
Lease and
Flasse City,
Nont late
Appropriative
Act.
Tax
2023,000.000
listed
Public Warks
Reind and
relist MI
1
uni Berrery
Finance Con-
Tessi
ASL the
Art, -
pirative
$48,000,00
Energency
las et
All
perstion
Administration
Poble
Putta Web
listed and
Warts
Administration
Purle
strides self-
Neb
influest -
& - - van
L work
poide
I
All dier pable evit-
-
Controld.
Territory of
for ed-
$115,000.00
calle, prote-
-
-
and and der
Income of Two
MMB
-
- juries.
BBY
-
name
DELHIP
---
THAN Labir
- - Chat
---
Clarm
$1,200.00
Naryl
Additional for
administrative
30,01.00
190,000.00
equal
professional,
i
201,000,000.00
-
Table and Deta.
----
0,400,000.00
-
mass
sentary's Office
Die of Name
T,000,000.00
7,88,000.00
the
Thema Bine No.
1,800,200.00
---
Explorative
30,000
Ordersis
127,178.50
-
-
supplies and As-
counta
-
Total Navy
----
17,201,176.00
-------------------------
I
---
United
Income
-
Other
International
113,000.00
Boundary.
LESS
Total la
United Etain
Terms
and Merim
4,754,300.00
1,138,000.00
-----
-
International
-
Boundary,
Administrative
United States
-
and Canada,
-
-
1,02,200.00
-
Camela
- for Roge
MEMOS
Total, Blats
1,110,000.00
i
1,300.00
Treasury:
Tello -
---
Administrative
14,258,000.00
40,000,000.00
-
10,011,000.00
LAME
Public lulding
Administrative
Crast Owned
zama
1,66,000.00
-
Public Health
- -
195,000.00
Bervice
/
22,211.00
---
Office of the fee
- /
-
THEY
exam
nume
LIMITED
i 1
---
Transmer of the
- of Later
---
United States,
1.30.00
-
nist of -
190,000.00
V -
---
--
traders
- -
-
Division of Die-
in
Compliation
transment
124
15.00
-------------------------
-
Nowlaterier
- -
-
heilting
Processment DH
-
LMLTH
i
time
I -
---
Total, True
SCHLING
-
200,047.00
any.
61,000,000.00
SELINE
- Time
-
Labor here
- Thank
2,000
Formale - F-ILL
Train Later la
has
- Frank
- ⑉
ano
---
--
Regraded Uclassified
EXVIN
THE BUDGET, 1938
GENERAL BUDGET SUMMARY
XXIX
SUPPORTING SCHEDULE No. 2-A-Continued
SUPPORTISO SCHEDULE Nu. 2-A-Continued
FUNDS APPROPRIATED AND ALLOCATED FOR RECOVERY AND RELIEF AN OF OCTOBER 31,
FUNDS APPROPRIATED AND ALLOCATED FOR RECOVERY AND RELIEF AS OF OCTOBER 31, 1936-Continued
- - Att. IM
ARE -
-
Exemploy
National
Belief
-
National Into
Emprover
Flowers Car
Twis
trems Reservery
$100,000.00
$500,000.000
mil
Hallet
Exergency
Appropriation
Appropriation
Delhi
Loans et
AG
hiller Works
bild and
-
Ad
$49,000,000
Company
Appropriation
Cm-
Time
valid to
ARE,
- Veh
-
niel is
is, -
persion
have
andre with
Wirks
internal -
Visa
mind
4. Putro - -
1. Comming work
with -
alivine - -
All puisita -
I
Control
17th
indepentent Other
Administrative
Continued
i
the
General -
-
$40.00
- Office
$1,000,000.00
85,000,000.00
----
-
National Adva
11,49,002.00
- Intere
---
are Consittee
1.00,00
-
---
Name) -
time
-
National too
AW Corps
7,000,000.00
- -
Exten
0,00 00
Expenses at
- Dept.
DLASS
Commit
Terring and le
- Mail
- -
-
---
Name -
198,000.00
Esecutive
100,000.00
I
136,000.00
---
ano
fieste alon
-
National Labor
-
Doest.
launde -
RESILTE
a Your -
National Es-
-
- -
issue
Administrative
---
-
REN
- -
Oña al Cardi-
- -
for -
- - of
trial
- -
time,
Are
Oña at
11,000.00
11,000.00
Advise to the
2 :
President -
1,00,00
---
Timip Trade
MIKE
34,306.01
Form Mis, Other di
AMA
Cast
---
Accountan
BLMLO
York -
I
NUMO
Federal Trade
tame
-
47,611.07
BLM
W.S.H
-
-
calls
National Laine
Belations Bard
Ministry -
- Tue
Total, Le-
deposited
the
-
A.S.C.
$14,000,000.00
41,178,001.72
(the
71,900,000.20
Tate, all
they -
incluse -
Bille - -
Lin water,
$71,000,000.00
LIMITED
I
17,40,000.00
the ****
I
17,128.00
Total pos-
Femru -
The -
-
-
- Fax in
-
1
a. AND is - -
Trump -
1,00,00
fiscal - Tank -
120,000,000.00
-
Nome Owner Lase Ca-
1,400,000.00
I
persides
Files kinned
Endors) Enstage and Less
- Minu
-------------------------
---
-
Emergency
Fetzu Fees
and
-
- of -
1,000,000.00
44,000,000.00
----
mind
- additions
Price Pice
NAME
----
-
/
-------------------------
Linesa
--
Francis - ⑉
Trial, - a -
-
30,000,000.00
amm
---
-------------------------
-----
- in E ===.
Regraded Uclassified
THE SUDGET, 1038
EXT
GENERAL BUDGET SUMMARY
xxxi
SEPPORTING SCHEDULE No. 2-A-Continued
Sei PORTING SCHEDULE No. 2-B
PENDS APPROPRIATED AND ALLOCATED FOR RECOVERT AND RELIEF AS OF OCTOBER 31,
MONEYS AVAILABLE AND EXPENDED FOR RECOVERY AND RELIEF
Exement Approvative Art. -
Energiees
Equiles
/ -
Ander
listed
phe
5
FROM -
Lace -
Appropriation
Appropriation
Place Cat-
Time
Organization units
- a DIE
4d
Fablic World
and
united in
Att. THAN
-
Food 1
Final par
Find -
Administration
Patile
- am-
set prior -
-
Water
-
dit:
I
ONE)
- - -
Fire Code
anna
NUMBER
-
-
-----
-
Felend Funa Manager Corporation
200,000,000.00
unes
----
- - -
Fetral last nate
-
-------------------------
----
Della -
----
113,500.00
- - Missing
his
25,000,00
REME
- -
-
---
oddia in nim -
sume
- -
street -
THAIL mi
MART
- - -
— - -
-
RAMA
Files Company Not -
INNES
Febrá Corporation
I
and
-------------------------
---
case
Chd Wate
NES
ana
------
SCHOOLD
Department if Application, mist
ERMS
-
----
- -
====
---
05,341.00
mass
Total, nid
---
- - - -
----
----
ann
CUSM
- - se
----
5. Pulvis sab virit nic
-
Campon provide
COME
-----
AMMED
----
- - THE
Loss will puts - - e
----
memo
----
Vilma
LAW la
----
-------------------------
umme
be
assess
---
-----
-
CMME
and better min
----
Hand Detributio
(6,8)
ISSUED
- -- Personal -
Fats ham
- - # - - - - - Commission their an - under lie Dess "Aplicition)
AS par
----
-
COLDI,2018
- They - - - - - - - and - Let - - withing is lie total km mine" und
THA your TEM
common
:---
UNITED
- - - - - - the e 11% Unwalong - the daily Treasury which limity set Relat time - - - -
# AM la has -
Hous mus.
Bookless back visits
125,000,000.00
$77,400.00
I Owner Loss Corporation
200,000,000 00
200,000,000.00
Terms entap at last -
ammz
-------------------------
-
Event Describe
ARE
-------------------------
Febral Dams Administration
name
-
institute Administration
140,000,000.00
-
SEINE
----
SIGNETT
-------------------------
Total, MP la - law
-
NAME
-
Experiences Backs of Waitington
36,254,000.00
----
Feteral Deposit limite Corporation
154,000,000.00
190,000,000.00
Amounta in Entratrial
4,344.21
****
Finance Carperation, direct - and
expenditions,
Valley Authority
71,000,000.00
Total, -
- hands
-
----
THE und milel
-------------------------
Adjustment
37,346,000.00
Community Tax
----
Total - -
HASE
IMEGE
Kame at méta, fallos.
Tacinies expiral risck refeription of am
- Adjustment - at "Enepay Conservation West an carried under 54d - "Agrinliani Prese" and
Credit Commission Carps", repetints, in the Guard Dolar até Internale 2. set see - inituded in the total for - Redal - -
- They - in this - easy for - purpose - the - vo - - pap . of the daily Treasury - delle Use
- and being
Regraded Uclassified
GENERAL AUDGET SUMMARY
TXXIU
THE BUDGET. 1604
28211
SUPPORTING Schemule No. 2-C-Cantinuel
Supporting SCREDULE No. 2-0
MONEYS FOR RECOVERY AND RELIEF CLASSIFIED AS TO PROVISIONS FOR REPAYMENT-Conlinamd
MONETA FOR RECOVERY AND HELSEF CLASSIFIED AS TO PROVISIONS FOR REPAYMENT
Expesitions
Time) -
-
- - DEL
NW -
- THE
-
1 it I
1 I I
Find your ass
Two la live EL
-
6,00 Ni,
- - - ta
Find - -
Tutal la
Ind 11. -
and prior part
I
Find par -
-
- prime not
-
H:
1 Federal -
1. -
Claim
PLANS
ARES
mains
10.07.20
- - et -
- - - -
- -
-
ARME
REMUNT
have - -
TIME Present brown
NEWS
QUE
-
THE Suri -
--
-
LATER
time
Committe Credit Corporation
are
----
- of Administrative a
-
DIE
same
LAURE
- bisks
-
- - - -
Chip - - - siz. Chan Credit
- -
ames
-
----
----
130,000.00
Public -
- - - - -
TRIME
-
---
-
-
-
- Pass -
-
2
127,400.00
I I 1 I
amount
LTABLE
-
and
ame
amaz
- is -
LIMIT
same
DEBLU
Telent Round
---
11,00,000.00
M.W.M.M.M.M
- -
10,000.00
- Expended
service
19,34.2
CHERATT
MMP
- - . -
---
DE
$7,440.00
--
Department
The - United
LAMME
----
funio of Vehicles
---
en
Burd - administration
-------------------------
The - -
THEMP
seas
- - -
TELE
LOLDER
case
LALDER
a - -
Tood, -
- - -
-
2,00,00
- -
-
-------------------------
a - primer in -
- -
ARSI
Program gelt
120,000,000.00
I
to - -
+1.00.00
20,000,000.00
13,00,000.00
- -
issue
1,00,00 €
--
20,18.0
services -
44,000,000.00
----
- -
ame
M.M.M
hime form Cirporation
36,000,000.00
20,000.00
----
- -
Turni - medicale and -
----
41,00,00
-------------------------
- - and
hord - nete
294,000,000.00
STATEMENT
SAME
I
- - less
125,000,000 00
-
ILMAND
amere
una
Time - Lose
20,000,000.00
-- - -
LICENSE
has NAVIMA et two -
ame
----
ANNO
- -
I Income Organiza
Ann
-
UNIVER
came
have
----
-------------------------
-
----
Team -
amas
WALE
---
LICENSE
COLD
---
sure
Tital - -
Persions # -
the
BLIER
am
chase
MAT
Part - -
INSURE
-------------------------
-
LIMITE
Issue - - -
LIAM
7/ML
-------------------------
I I 1
BE nine
---
India, - abo miss
- -
----
---
-------------------------
name
- - - -
CAME
Total - exit not
- -
MEMO
Agricultural -
---
ISSUER
HEALTH
- e -
ann
- - -
20100
a
Commission Wierk
-
Yesur -
11.00.00
LIMITED
****
ORIER
---
IRCNE
amount
- - - -
counce
Total - -
BRMS
- a -
---
-
ASSER
- -
mms
LIMITED
--
===
Tames of máil, -
/ I i :
- - Commission " - and - - income "Agrestioni Plantes" - -
-
Nim-To Committion - - - - - - of - the a winds - - - - line will to et Dated Line - -
-----
-
----
- They - la - - la - - el - Lie under via - - - el - MII) Thenk - when
-
-----
IRMAD
or -
----
Image
in I I
, - - - - - - - - - - - - - — - - and
- - - - - - - - — - - - - - e - - - - Company - - in all 1000, - M & - a were
- - - - - - - - - - - - - - - Change (
Regraded Uclassified
THE SUDGET, 1938
IIIIV
GENERAL BUDGET SUMMARY
XXXV
SEPPORTING SCHEDULE No. 3
SUPPORTING SCHEDULE No. 4
GENERAL FUND BALANCE
EFFECT ON THE PUBLIC DEBT OF FINANCING THE DEFICIT
The and fuid. - - dere - the State Halement of the United Now the below to the security special, and trail - medical The
- will MA these - and - have DM wasing - is the Hortest is contained
Entrested no
Entimated Ba-
Actional Ennal
Extimated, Be
Estimated, to
- your 14th
ml year 1957
your -
est your -
Actual, Street
call year not
your DOB
Public debt at beginning of year Departing Bihedule No. B-A),
------
Company is polylie dabt during year:
fax is - tel и - - -
Tw movet delidery in revenue and - and quili -
$ 401,515,000
-
Las - la
- eni said -
- -
LIMITED
-----
formie in working -) decrease (=) and and special - (Reggesting Na B.
Two. -
- - pil
Total Increase is petille deta during 192
I
315,900,857
1,345,301.00
is pablic deld dorting me the la of actional task istas, chargestic W working
No. ao
Tax -
-51,000,00
-19,000,000
Net burene in patitic debt during par
- (1) - - (a) . - for - - -
1,248,000,000
Net derresse in proble deld during par
Islane
22,000,00
- - - Dispins a 4
Public deld at and of per
- -
-5,00
-------------------------
- NI if - Ed le me -
-15,000,00
famesi in a
, la sine of in - with respect la annual if apprepration tal la imported for money of reint far is par 1438, is in and that time will be Bittle
- is the public debt.
+26,001.00
+41,000,000
bei little IN . - (-) - - tel -
Reishe - paral fail al - si -
Value -
- IN - -
Insur -
Total making -
Increase a and
leguing
200,500,657
Two 1 - Nos
Regraded Uclassified
THE BUDGET, 1038
SEXVI
GENERAL BUDGET SUMMARY
XXXVII
Serviarise SCHEDULE No. I-A
PUBLIC DEBT OF THE UNITED STATES GOVERNMENT
SUPPORTING SCHEDULE No. 5-B
date
CONTINGENT LIABILITIES OF THE UNITED STATES GOVERNMENT
Increase
titral - IM
M
1 I if
Income as, -
/ an, -
Assist at - liability - June 20. -
Authorising and
Principal
Interest
Total
- - -
1 I I I 1 =
-------------------------
-
F of me Cemo States
. - - -
----
19. - -
-------------------------
1. Fried Fund Minimo Corporation
has B, - (#) Rist. 300, -
KILMS
I - - -
MANA
EXISS
= Police name A
June n,m (n Stat. come, " email:
1 State Over Las Capania
June EL no (48 as
image
A - - - -
1. familization Four Corporation
Jar, a IND IF - a M -
----
- -
A. Valar Authority
May 18, - (M Stat: 30. - -
I I -
-------------------------
IMMAS
e - -
Two - -
. Demo - - -
-
INSURER
II OF am - nt them frime
! 1 I il I
L facture if united (
far, 4. May II, - - Stat, an.
il Name - - - - eur come - PRESENTATION)
---
I Paisi Berisp hade on
June 2, na DA BENE sere
REED
COLOMAN
fill low) -- -
-
Timi - - melt
same
LICENSE
- - -
- - - M - - D.
INVOICE
III. Order -
Lesse
& Issue ter - -
Date = an or the 30, - -
- - - - - - - - being of - Their -
- -
- - -
RAES
MEMORANDOM
- .. - - my - the - - a, - to non of -
meme
- - - - -
RMM2
-
same
Common comme consume CIMITATION
of ellipations
Teleni fun Matro Corporation - atimi)
BOX (M) - -
- - al - - - - - for
- - of - me - - the - - -
nez
time Over Las Organica - 1 on
Senstration Please whe at be - - ett empl Uni and or e 9. trainer email
LIEU
la de public bitt in experting situdule 5-1. - # above)
-
- - - - - - Demo - mind
LONDA
Transise Talker Autorité Del , alovel.
Communication service unmar mai
I
thanking - a states.
Flaux Corporation Date A storms
home a prefered dock siz, bake end trust -
Is - 4, Administration United M
Par - & National Destag Ast.
of
in - - with -
# Aña deluming advants of family depended with the Transfy - - - parents,
# Indole andy bonds inst and instauting
In addition la & - of crimi and estad - Unimo Mid by the Treasury and refected la the public debt. la experiting 0-1.
. Fgom - of MP. A - M of tue a - evatable. 10 - is Reporter tranke - amount to an - -
mared by the place if - previse - the Regulations at the Protal furnings Emites having . Paid value if a in - of agreement - -
to cuas, and Government with . tax value of buid - - veriments, and -
In actual derelation, of fast deposited in the Transury and Duit PRI Name - band - the - Formal
intes - - and to est petiticie and credits visa the Transport of the United Bales - gild certificates M the - of United Mates
Universal of she rube of el commercial paper of . form - of
Regraded Uclassified
- -
ESTIMATES OF REVENUES AND RECEIPTS
Al
Regraded Uclassified
STATEMENT No. 1
ESTIMATES OF REVENUES AND RECEIPTS
A. GENERAL AND SPECIAL AUCOUNTS
Entrated to
Entirmiel,
-
par -
par IVAIT
per -
SEPERIBE
a.
(1) Inserve -
Curporation and -
Tack Issue
20,000,000
luss peofits las
4,000,000
34,300,000
Twist Income I
india Transity - (incressied)
Total - tas (Trassey statement
(1) -
Estate taxe
DATE
cas has
75,000,000
118,000,000
Customs - Iss
162,000,000
SCHEDUN
Total
taseir
Distilled apirita ( - tax)
26,000,000
21,000,000
Distinct apirms - NAMES
207,000,000
260,000,000
mail Signam Then
120,000,000
26,000,000
344,090,875.43
Was and imported) Exaction taxi
4,100,000
1,900,00
Retification 185
11,200,400
18,28L,000
Rectibers, liquir und orpended lane).
T,500,000
T,MR,000
Containers stange (Lisser Taxing Art.
21,200,000
16,200,000
6,01,241.73
Flat issm (Tequer Texas Mt. 19842
Brower, retail and dealers is - Expairs (special Limi)
4,100,000
4,135,000
4,645,106.40
Other termings SAME
2,690,000
2,000,000
(,400,000.04
Total siminable benerage tax
545,700,000
Tobacco
Class (large)
£3,200,000
11,000,000
Cigirettes (smail)
492,000,000
466,002,000
-
T,000,000
LOLIO
Tylem, chewing, and moking
25,100,000
11,405,00
Cyantie pagent and to/her
1,200,000
Other tobacco take
147,000
100,00
Total them was
586,347,000
$42,348,000
- Issue:
lances of - hand transfers and et mavegage
$7,000,000
74,000,000
Raine at produce (Insure delivery)
1,000,00
6,000,000
Phying name
4,500,000
4,600,000
of
175,900
800,000
-
Black
26,000,000
84,800,000
-
Total, stamp taxes.
EM
7,00,00
----
Issues:
Lutriesting alla
11,200,00
Invest viri, mail, pur -
:
20,200
Matches
7,200,000
7,000,00
Osmite
20,000,00
Entrial -
25,400,00
ama
Times and Insur tabes.
27,000,000
36,200,00
Total presentions. etc.
15,000,000
1,8,760
Artistes made at for
7,000,000
100
lewslry, ets
LIABLE
tranks
6,100,00
6,100,00
and
51,000,000
Fara or for
6,300,000
1,00,00
Radio wis, phonograph recerds, etc.
T,000,00
Medical
8,60,00
lowing pois - usd Insure
7,630,000
LIMITO
Fireura, shalls and requidas
1,106.00
1,000.00
Chewing -
ME,00
use
Total - -
--
ase
al
Regraded Uclassified
THE BUDGET, 1935
ESTIMATES OF REVENUES AND RECEIPTS
STATEMENT No. --Continued
STATEMENT No. 1-Continned
ESTIMATES OF REVENUES AND RECEIPTS-Continued
ESTIMATES OF REVENUES AND RECEIPTS-Continuel
= usp SERVICE accounts
Edizated -
- finest
year -
your INST
I 1
A. GENERAL AND SPECIAL ACCOUNTS
Inimuel, final
Total
Beni
Tear THE
year -
year no
Four
I Email -
E - - -
I.
- - - - - Control
a. -
- -
(2) Interest, nown and dividents - repiral -
- - of - - - --- -
Insured unit AB Liberty Lass Liberty las Ms
-------------------------
#34,000,000
- . - sive -
Earnizus trust payments to Federal lieure backs Are Internal lass
$50,00
EKO
11,000,000
- - - -
---
Internet - - Parte Rise diviled
1,500
1.00
8,000,000
- - - -
Extend - refertions of
100, 00
200,000
The - - - -
Email
Internet - Instructional loss, Virgin Idents.
LINE
LIMI
E.400,000
- - - - -
-
Internal - - hand true notrutte - lant, 11. e. Hipping Beart, Department M Can
1,800.00
- - - -
-
30,90
11,208,000
- - --- -
Internal - - and gila by - departments,
-
-
1,000,000
- - -
1 000,000
Interest - has 14 Fister number att., have Wirls Admissions
2,000,000
1,300,00
issue
- - Issue
Parte
Insurent - leater le refrests. Public Works
RM
36,08
J.000,000
1.000,000
LOUING
I I i
Twist STATES, escharge and dividents - registal und
---
in
----
TR,VIO,000
- - - - - -
(3) Fine and poullier
- - - Demos - Intervet
-
United Reter here, Department of Postion
1,100,000
10,021.00
HARD
Customs Service, Treasury and Departmento
1 - — - (Treest) - -
Immigration and Seven Department of Labor
00.000
NA,000
34,431.00
-
Enternement of National Prosibition Ast
5,180
3,301.45
IN - - - -
el Signigation and Department of Comme
31,100
EMIG
Visitimes of law of 1812.
-
110,000
1,200.00
(i) - - - -
267,00
has - come - - -
Other
am
==
-
non
- - - M the 46 -
Total Brown and persites
2,000,000
1.00.00
- - VIXII
- - TM - 1111M no
-------------------------
(4) -
-------------------------
Cletts, United Stain
1,200,000
(- - -
Maritals, Caliel time -
$15,000
201,000
of Tar Apple
90,000
20,000
2 I I
passe lews. Department of Agrinalize
30,000
62,000,000
Commist and passent. Departmento of Riste and Insting
LOLDO
Time - - -
Complete Library of
20,000
390,000
? I I I I
343,382,000
AND
Codit unless Openial account)
96.800
27,719.00
testion hade and conter, Department et Oil
1.00,000
188,000
----
l'm and comminsions. last office, Department of the Interior (print and quil
120,000
12,00
---
For, registration under Neutrality Art.
-
m,000
----
/ ! di
$65,000,000
Department of Labri
/
Immigration Department of Later
00,000
---
- - - - - - Minual
Paints, Department of (gmend and resid -
1.80,000
of - Respection
20,000
206,000
PLUM
1 I / ] I
I - I I ! I -
-
KUEL 000
76,70.00
Committes Act. Department of Agrinulum
100,000
xue
1 I il ! 2 I I ! I 7
-
United state ML Department if Apindrus
2.00
2,000
-
kinding -
42,00
--
----
1 - MM
1,600,000
Registration Arta, DEL Fearril Comminision and Fenritties -
-
1.126,00
1,221,000
- - - - - - -
$ 400,500
Telleg. Durine of Department of - - Exteries:
- - - -
Commission = telegitime pay datimo = Feland Tridap at Past
TA.00
17,180
- - - - - - - - - mino
Orpine
0.M
ALAM
- - - - - Vermone
20.00
21,20
ELTRO
Court of China
1,00
I I I 1 T il i I i
T,000
Court of Cuses and Patest Appinix
LAB
5,000
4,000.00
- - - - el - - - - -
$1,100
05,000
AMIN
Nami stares
ILMO
11.00
I I I I $ 1 I I 1 If I : 3 I
15A,200
30,00
ARE
Purchase of disclaram. Nary and Marine Cargo
130
1,34
1,007.00
Parkase of
360,000
265,000
290,400.00
- - - - - - - a No
6,00
HARD
Water and por rights
0,00
0,00
- - . Polor - - - - - - -
ans
Other
11,2%
31.796
82,000
M - - - - - - - - et - - - . - - - by - the Come - Imm - - them
1,300,000
1,600,000
LIABLE
Total New
--
700,000
j : ! /
700,000
to
/ / - / /
20,000
300,000
Customs, understand etc.
$15,000
$31,934.60
If 1 1 / / I ! I / I / 2 : I / / /
5.395
18,000
-
limits of allers, Departmento of Laber and Julie
-
am
nase
12,000
Bade of almi, Department et Labre tromal
1,340.00
Deads of - new departments,
am
12.00
для
- - - - - A
- - - - - - - - el formation - Chege - Administrative is
Julicid,
Hillize
bota under publication - parado - Departments of Initice et Treaty
100,000
361,800.00
20,40
Corter niement of National Probildies Art. depends
1.00
1,000
437.46
- - - - -
-
Understand name ed wager remalating in mobility il morts, Department el
26.90
20,00
- - - - - - el
-
Other
12,185
am
11,000.00
- - - e This - - -
K.000
-
30,000
00.000,000
ao
-
7,000,000
Total titulture
1,100,00
Regraded Uclassified
so
THE SUDGET, 1938
ESTIMATES OF REVENUES AND RECEIPTS
AT
STATEMENT No. 1-Continued
STATEMENT No. 1-Continued
ESTIMATES OF REVENUES AND RECEIPTS-Cntimed
ESTIMATES OF REVENUES AND KECEIPTS-Continand
Eximated, tosi
Entimue -
A GENERAL AND SPECIAL ACCOUNTS
-
fines)
annel best
A GENERAL AND erectal ACTIVITE
par TM
THE 1932
I I
your -
- 1877
- LEMI
For -
1.
- Montant v-Cait
. Contined
(€) - di
- -
- - Petro - - - - che - in and -
Mil, la da, and fun, Berry, at Md Tivres -
Department at Comme at de,
- - Place Road, - - an Full 21. - 157 that TRT. - This -
$20,000
DATE
Dia. Peteri Surpore
- - + May - -
$1,160,000
$1,172,00
RAME
(mpitial they probise. Vermal cuses, Department of / - Fulle
- - - - - Protend - - - - -
Beith letries
I ! 5 I I i
83,600
7430
a
MILD
20,20
timi, light, est part. release Signature
- - + - - - -
121,180
--
-
- nice, atm.), riciss digartments
- - - - - - Department # Activition -
16,740
31,880
ame
3,10
time
PM
- - Has - - Carents premit. Primo of Reimale -
1,279
T.S%
Vale, National Pui Novis, Department of De Issue, and of
I
BLASS
1,28.00
11,107.40
meme
is, RM and villet
- MIP - - - Department M LARGE
54,300
$4,80
125,000
TRUP
the Rever Inline plank, Berein et Mom Department of -
- - - - - - - Expensed - - -
13,000
13,000
am
- Applicational -
1
LSE
TA,000
2.48
1.80
AND
New
are
à
PLANK -
this para
8,000
ARM
hyme in - stam, Aptionalismi A
I
Other
-
---
- - - Frank name AVE
FL00
- - - - - - -
365,00
TITAL - if product
40,000
- - - - M. - M -
-
REN
- of - - - - -
18,000
45,000
- buin of event
- - - - - of for
04,790
00,74
ARIAS Ballmad Time -
1.801.000
1,400,000
- - - all - - - . - thin
34,79
TATALIN
- forms of Emergy at Plant Quantition, Impartions - Agreement
-
37,000
24,000,00
- - en - - - - Hilliam
40,000
and
Landley - Org-densing operations. nebo
1,018,781.00
- - A - - - of - a - - -
173,700
13,280
Quantities Harget - of - Public Health Service -
- - - - - M - * -
80,000
46,00
76,80
I - or - - - of - address - -
46,300
---
Quartees, - and imptry movies, - departments
34,100
33,367.30
- - - - a - -
0.00
-
Storys and whe Maren, meline departments.
-
- - - - - . - of - - MI - - - -
(20.00
enta, return departmenta
m.s.
Tuis el into, Protos Class War Department
WMLOR
is I i I 2 2 I I 1 1 il - 1 I ( 1 il
11,000
90,90
Overtiest digs be wills of expilies - and various departments
100,300
- - PW - - -
Earning, Dated - Discripts, War AND Date Departments
i
D.NR
I I I I ! I 1 I I / 1 , 1
--
20,000.00
Eartisp - - apentions,
ALINO
34,990
Mark Sign for Intervid et all
36,300
9,300
41,011.40
- - - - - - - - Comit Times Department
am
ene
Other
12,900
17,000
----
- - - -
20,00
10.00%
I I I I : I I
N,Me
94,00
-
Total also of service,
- - la - - — - -
197,725
462,734
LROX
- - - - - - - - - - - We Dypet -
NA,435
PLM
MMS
(II) Banta MO rigulties
am
BLET IN
Bent of public individual grands, a. departmento
DAMI
20,471
---
- -
-
one
Rans if last, two departments,
NR.100
- - - - -
ame
Remists under mini - with, General Last Other, Enter Department
5,000,000
- -
Am
A,730,000
4,338,391.12
- -
=
200
au
- and - California, Name Department
190,000
600,000
T.M
7,30
01.08.20
Reputis as at, B. etc., Interior at Wat Departmenta
198,000
351,385.44
/ I
61,731
FLAM
and
Rest al equipmel, We at other departmento
45,300
48,300
list et doas, starm, and para, Sury et Wat Departments
18,000
18,000
17,728.85
- -
Bast al - Name - ratina departmento,
are
38,778
- - -
Rest of evoper de, You and uhe departments
150,800
138,300
- - - - -
Annette Male - Alaska pomi and speial -
31,000
32,000
- - - U - - - -
2,200
IN
168
- Birez of Mos.
12,000
15.300
18,TAL.00
- - - - -
100
8
ass
bia - - Creitment metion Two Credit
M,00
38,000
CRED
LOVE
! = / :
7,00
4,00
NE U
Total, neb und reyaltim
6,175,80
-
ELTM
(12) priviles, - Ince
buines mains, parks, Interior Department
DLUE
13,400
- - - - -
home - at the
75,718
TL70
- - - - - - - - - - -
240,60
Ostalini with return I
1 I . I
0.00
pain, Department el Later
18,000
16,018
/ 1
4,90
U.000
under Frimi - Prev. 4d. Total Prem - Adt - M -
- - - u - — - - - - - - -
30,00
hile lands, mind firmis
45,790
42,780
20,000
par
of Karigable values,
:
38,20
0,00
1 I / ! 1 P
-
06,000
la min astimal with - East. tame Department
LORLDO
EMA
0.00
47,00
Pipribe, water, and prince drick, Interier other
11,06
18,080
11,311.00
- - --- Come - - Das Profess - -
37,80
Date that, Departument of
NW
77,50
RM
11,70
Dade Grasing All, June a - Igwist Ament:
990,000
48,171.34
-
n.w.
Other
20
R
28.48
0,00
1130
71,290
Tital, permitts, privings, and
LISTEM
Regraded Uclassifie
THE SUDGET, 1938
ESTIMATES OF REVENUES AND RECEIPTS
A9
STATEMENT No. 1-Continued
STATEMENT No. I-Continued
ESTIMATES OF REVENUES AND
ESTIMATES OF REVENUES AND BECEIPTS-Conlinaed
boal
Eximated first
a NEVERAL AND ACCOUNTS
- THE
Artual -
- 4817
no -
n. TRUST ACCOUNTS
- -
fomal
Antest, first
per -
pase THE
pear 1945
I
" of posts - Administ Designt of District of Ostombia for disability,
-------------------------
8
I I -
- Income tuest, Administration
Man - - - - - AM.) These?
BURNER
Drivid deposits
3,900
1,000
I
27,000,000
Extrem - Investments
38.226,000
- - - - - Amt. and Reportant at Apinition word
LIMITE
Estama - pay -
1,000,000
- - - - - - -
the
Exempt - while contificate -
1 1 ! I I I I
12,00
AIR.RU
Mall
Estemat - -
14,800
16,000
Premiums
00.000,200
-------------------------
! I T
3,772,60
amx
Profile -
74,903.00
Price - -
mane
mous emition -
+1,000.00
- All daily Transity -
Twis inDestion
- - - - -
---
ARE
Additional la date Transay -
These -
LUSING
Tax And (Treet) statement -
-
If - -
a had, A -
- -
Interné de investments
30,406,100.00
I - - - - - tell least, - - DI
500,00
una
[mest - -
$1,617,94
- - - - - -
L100
2,90
ILMIM
- - - la - Zalmet
LION
1,00
- M - - - - - - - - - une
LORN
Tal No.
Mainet el (wis Treams -
+48.30
-
- - - -- - - -
aoo
ao
- tax , - - - - -
as
Teld find (Trust)
---
1,38
- - - - - Ress - -
72.00
ser
- - M - - -
6,90
LM
one
I. Cirisente and Mad, Cird lime
E.M.M
Debution has suie
- - - - the - Proma, 3g
21,000.000
30,005,000
I I E
0,70
42,19
CMS
Issued in
14,612,000
13,900,000
I I : = I 1 I I I
645,000
49,900
-
I 1 I ! I - I
4,000,000
11,000,000
mas
- M - - - e - o - - du has -
1.00
Tital -
44,612,000
46,000,000
46,135,048.20
- -
la bir Transity numel
- — - Internal - Formal wige and loss -
1.90.00
LAUMEN
- - - - - - me - les -
20.00
17,000
Total interne retirement at diability fast
44,812,000
46,008,500
42,962,741.72
60,000
8,600,000
nas
I I I
EM
130
as
4. Alaska mind relessed fund, Citil Review Commis:
-
Centributions
1.50,000
-
1.000,000
Interest e
AND
500,000
123,000
find. - - -
Total Allika remail Interest tel
148,400
2,26,00
LIBURE
I - - - - - - -
. - For to reimment sal diability list, Department il fitate:
60,000
78,100
74,300.00
Determine miss
ITE,000
- - - -
Inima a bremes
138,000
135,000
DAMIN
- - - - - - - - - - - - - - and Allens - THERE
18,100
Twist, Dirrice retiresed and distillity had
218,000
200,000
- - - - - - - - Transit -
745,000
- the - Name - -
Office - - small Brandy -
90,00
-
ANT
I Cassi Zone retirement and Calidity hat, Che Service Comision
900,000
190,000
NOT
Determines Insu
423,000
474,000
- - - - - - - Due -
10,000
-
---
Insurest - investions
135,000
130,000
- - -
- - - - - - - Endor
460,000
NAMED
I I I = I T I I I I I !
100,180
215.000
Two (militive bais).
515,000
- - - United -
25,00
-
---
- to daily Trunty
-1,000.12
- a - Tape -
20,000
-
5,00
A,000
Total Card - and (Indity find (Tommary
010,000
000,000
- - -
1,000
4,100
1,341.00
5,000
1,000
1. Indian - Department of the Internir:
The -- - -
5,000
BILL
ou and - loss, etc. Our Oals
4,700,000
4,78,08
1,000
- if fater,
1,421,400
/ I 5.
Promis el also set - of Entre hab, etc.
804,700
The -
Depusits of thind ant intividual patient
M.V.
-
/ I I I I I I I
1,200,000.00
Tell inflection
7,000,000
Adjustment la duty Towery
Tel. India - Department et the Interior
7.000,100
7,000,100
* trust
Additional losse tas . estimate is Alass
7,000
1,00
1,700.00
Adreases, to and for mil Primiled Department al Country
10.000
n.on
name
Pegel et Maj. (Res. Frei c. Alssworth to Waiter Geniral Unpital
15.700
Citiles Carga withheld est Executive Order No. un, dated May IL, -
1,318,000
time if matis. delait.
Regraded Uclassified
THE BUDGET, 1938
A10
ESTIMATES OF REVENUES AND RECEIPTS
All
STATEMENT No. 1-Continued
STATEMENT No. 1-Continued
ESTIMATES OF REVENUES AND RECEIPTS-Contimed
ESTIMATES OF REVENUES AND RECEIPTS-Cntiond
Extimated, fincal
final
a. TRUST ACCOUNTS
Anthal,
- 7528
- TIME
THE -
9. TRUST ACCOUNTS
Exitional final
Entimed Break
theat
1833
year 187
year used
- true Customer
$1.730,00
trust
- la missation
Italiaf and relabilitation and interest - investments, and Barter Werken" Competies Art,
Constitution la Library el - inst - involved -
26,000
-
Employer Compensation Commission
$30,000
-
- " Lane) if - en Nid.
Rive
Wellare and Recontional Amorication, of public bullings and parada
7,180,000
1,100,000
- is Jebens 1 Expirité Menical
M - - a. Twill Mana, Va
15,000
18,500
Registration cortifiende (Commity Exchange Art)
35,000
26,000
17,200.00
66,29
Dellament of claims, Upenial Claim seder - Apt. 24, 104, terms the Unital Rus
- - la food - War Department
2.111,200
3,000
and Mesico (Department of Theas)
M - - birthd of - - en lest
3,600
$13,370,00
A.00
- - -
4,00
Settlement of claims, Openial Claims Commision, under article I of agreement, Ost, of 1934, because the United
AB,000
Itates and Turkey
100,000.00
- of - - a Information - et
Bettlement of against Canada das - damages a State of Washington or time from malter at Trail firitude
Internor'
--
Columbia
330,000.00
Department of in
15.30
Eleme permanent find, War Department
300,000
211,000
----
Department el la fateral
-
Whileld pay, Anny, maintesses, 12. a. Seldier' Dates
MB
490,000
500
968,000
Department hatis
17,300.12
Department if Less
1,000
Tennage - Philippine Islands
28,100
26,000
11,007.00
2,000
Little
Understand Dama
-
BLWD
Department al - Name
60,000
LIC
and
State Department
10.16
Total
Treasury Department
LIMI
eax
-------------------------
LINE
LOLH
the Intertion
(x))
VIN
wa
Total all trust
Departe at New provide M - of Denome Office
600,000
200,215,643
-------------------------
Departs, - of State missi expending
Adjustments No daily Transity statement
-------------------------
1,000,000
240,000
Depende of - of sesse Veterant Minimos
2,000
2,000
Departs, - the -
Total - all - commists (Trease) -
---
200,000
200,000
point part last, - - America
123,1000
123,800
Depasit, provid of prints, Femar United
2,000,000
2,000,000
Depende of - times, Department if
88,300
Missiver Dat Commission Art. 2014 it, FAIL
LELDER
13,500
23,000
Deposit, unread - I'vist 10m, Departments of Commerce
190,000
190,900
pille wirk, Alaha, of the brease
Depails, púb kney en, and el the Intrive
2,000
2,000
LAS
of faids, prives, Department 4 latte
11,000
12,000
12,504.00
Deputs of of of
220,000
25,000
Depair el neu il Extial Rate mark, Depetiment of
REO,000
MIL000
Imports of - Email methil, Department of Total
1,500,000
3,100,000
-
- - first, Depertment of Labor
400,000
4ME,000
TELANCE
Expani, - I - Department . later
30,000
36,000
- - - time, Depensed if Libe
18,000
18,000
--
Departs al - personte et application fines, Department of Rate
4,000
4,000
17,118.75
Departs of persons Neb at Nine et main, hm. his Hishi fursix, Treasury Dependent
275,000
548,000
318,171.47
- 14 Name Pws ferrial if the Imme
12,000
54,900
37,764.18
- la - a los, National Park Pervice Department of the
21,108
071,000
Forcian Fine repeative - Department of Apinition
Feb Falls mithout - - below, and Must FITE, Name Department of Lie
1.000,900
1,000,000
- and Brong - farther Na Expenses
AL000
10,000
M.W.U
Ving of Game, - las
18,900
111,100
--
- - Limity of issue that faest, -
- and is - - - fund, Frim theig
25,000
23,000
Man - here lisa
] I I / 5 1
too
are
2,476.57
- Alsa No
11.200,000
----
Non Fine el -
- - - Issues - al of Limia
18,000
258,000
-
Pary - -
2,041
2,060
Tap of in the - -
215,000
221,000
For IN - - Para
1,130,000
1,188,000
Pur al New on Supart -
1.291,000
1,230,000
how - - Hopel, Promises di the times
80,000
ML000
RIPO
- MM - - Day
LIELIRO
1.36,000
DATIE
From MP - - also, My
173,000
Frame to - - - of - -
99,000
450,000
I 1 I
21,200
SL 200
21,100.00
Fail for
too
500
if -
hiss Mein
:
This -
11.00
I I I
12,00%
-
DLIF
r I
E f
I I I /
Ins al - -
20,000.00
2,00
20,000
-
Regraded Uclassified
TUE ACOUNT, un
412
ENTIMATES or INVENTES AND RECEIPTS
All
ANALYSIS OF REVENUE ESTIMATES
ant strictly comparable, due to the addition or elamina-
ration and Inwer exemptions contained in the Revenue
TH of One of the I'mirmal Classico-
extented and the present ratin am mil continued
the
tim of time on nortain items and to changes in the
Act of 1038. Although the new Tales income affective
estimate for the food year 1038 will be Milimi by
method of taxing other items. Certain taken which were
at the time of the signing of the act by the President on
- for the traine of the commit FORT And les
stroße than $500,000,000,
enllected in the fiscal year 1930, wich as proceming factors
following famil you - hand PMV the -
August 20, 1935, the time for filing final misto-
The advined sable depicts the percentage distribution
under the Agricultural Adjustment Act and related
las returns WAS assendrd from the previously existing 13-
due 16th existing TM -
The LICK proportive Traine pressurible CFFC major - is
of the names sources of revenue, both for the estimated
lates the bituminnus-cred fux, and the ULX un juwelry,
month requirement M one of L5 months after the devel-
your THE (lie firal years 1937 and 1939 and lat time
late DUW been eliminated from the las system. The
not's death. Hence, the fines) year 1937 intain-ias
dependent, @ - ann
and receipts le the fiscal years 1925 and 1% The
POVENUE from other Increas, however, Appears for the first
Income ------------------------- the period in of which
intimates contain the Kinst 2 months' enllections chiefly
must signitures instrum of this tabulation is the
time la the estimated receipte Gir the Good year 1957
under the lower of 1934, followed by relatively low
the LIMIT Insured to mine entimate of Corpore mynum
at Ba fait that the ncome lat is again becoming the
The most important of these are the employment tax
collections for the a months due to the titre exten-
(Il - - for (I= animal
and the tax on employers of eight or more persons, both
sion. Beginning with the December 1936 collections the
information Town personal emiling (If mumbi
important AUFO of Futeral revenue M recovery Inm the
of and profilm, service mus-
depression lemones mure pronounced. Wherena during
levied under the Social Security Act. The the MB unjust
new rates are effective with respect to all returns filed En
the whole period between 1918 and 1932 approximately
enriclement a non-vourring and will be collented only in
connection with the estate tax, The estimated decrease
community and point Innames services
EXP IDENTIFY for Time
mechinl of the l'aderal revenue remipts No drived
the fiscal year 1037.
of $50,000,000 in resipts from the gift tax for 1937 is in
Eman sink miscollabeous internal rerenue
Collection of competion isses under the Revenue Act
large measure due to the rensurval of special indentives
formanto mayure analyse of . of
of 1906 will reflect in the returns for 1937 the surtax un
sul - date and they has the Examin the
and apprestimately two-thints from insume lawes, the
fur gifta which in the calandar year 1005,
the undistributed profits of corporations. This net also
di the - if issuble and outi-
fay la (lan fecal year 1035, reflecting the incotom
Miscellaneous internal revenue tax collections (undre-
- BY will or the of -
of the and 199, produced only 20.1 percent of the total
provides that dividends resived by individuals shall be
sive of taxes upon carriers and their employers, Surcial
subject las the nurmal tax.
My - cardy os overpam and indevidual
of researces and receipte of that year. Promission les
Security Act Excess and the tax on vajust
The full elfect al the Bévenue Ant of 1036 will not be
- profits. and estarios, reuts, interest,
all years are shown in the table below, Il
are estimated NE $1,275,000,000 for the fiscal year 1937,
reslized in the fiscal year 1037, nince collections under Man
and from the of mante
the terriguency ISSIS are not mistinued, it - ministed
an increase of 13.2 procent liver comparable collections
that the fax will produce approximately anotall
provisions of this act will only Include those payments
In retimation of fature revelope is consection
for Ose (loral year 1986,
invile in the months of March, April, May, and June,
with of at is Exportant to
of the receipts for the fiscal year 1998.
Ench of the major clamifications of in-
1037. Furthermore, curporations whose fiscal years
termal revenue bas contributed to this intrease The
remender the changes in Juminess profits will untivolosk
began prior to December 31, 1085, will not be miliject to
revenue from alcoholic taxis - estimated al-
incomes do first - las diret propertion in increase neil
Providge distribution of total friend and
the provisions of the Revenue Act of 1936 in time to
Intrean in the vilanin ad house activity and in the
$505,000,000, an $89,000,000 increase astributable mainly
will and
affect Federal revenues in the final your 1V37.
power prine land le periodo of ruing business, for
far larger especied saire of formented malt liquires and to
Income fat.-It is estimated that income-tax collections
inanção profits and für mach may than por-
probable increased consumption of distilled spirite, no a
pretionally to the in the of
timi,
time
for the fiscal your 1937 will to $2,373,000,000. or
mult of improving quality, more rigid enforment
IN -
Commination der las pura to the Evil that Um
maint
ádel
nn process BUSCH than the comparative figure for 1956.
activity, and increased consumer incomes, Collections
famil
-
-
of with will mall Due - given
1
Inc
3%
This increase is due to the improvement in businesse cog-
from tobacco ticone an at 5543,000,000, as
No
R
E
e
(M) ⑉ - . influented by de distributions
not -
ditions, and, in addition, to the faint that collections in the
increase of 341,000,000 [regs 1934. The gain is attribe-
i
I
-
tie of lbs refulls include sinc
from 4. months of the fesal year will reflect providena of
Kable principally En the retimated increase in the consuntp-
- deten ( de a amount of imirvidual
the Revenne Aet of TOMA in the Revenue Ael
time of cigarettes The natimated increase of $9,000,000
terms
- attended lay marked chilite of from use cortes
- tax
as
in
RA
in
of 1936) which increase surias rates above the $50,000
in documentary etemp tax collections reflecta unticipated
to smother
I
-
surbo net income class, and of the Revenue Act of 1936
- una
20
M.I.
as
et
OF
increases in the volume of trailing nn the stock nachanges
Home Irv definite list the time of collie lema of
— -
11
B.P.
which make dividend receipts subject to the normal lax,
and in corpubile financing.
I
ILA
:
u
- Taxre and the time invocce DI mind. Thus The
and impose a curtas on the melistributed profite of our-
Manufacturers' fax collectives are retimated at
Time
Pir 10 No rulended year 1950 will
NI
et
:
E
purations. A slight increaso in back Income-tax collec-
$425,000,000, an increase of $45,000,000 over the provious
49
11
7.7
-
"
⑆
represt in Bontas tax milection OUR the first time when
-
-
#
time is retimated because of the in income-tax
years. The goin tax attributable in large message to oollec-
!
ins mains are éteil - Marth 13. 1017, Details
11
2.1
11
"
10
lisbility and of the continued internévo drive for collec-
tions from the takes on gualine, automobiles, and lubri-
of ilere ad awking required installment payments
- - - -
tiuas by the of Internal Revenue,
enting vila. Sendry lastes are expected Da increase
- - ways -
of the THE (lie millevisms will be provived
-
inco
BM
MIA
MI
Mill
The excess-profite tax estimate of $14,500,000, despite
$5,000,000, reflocting principally the normal consultant
the star 1002, this InDian into the
better businee tonditions, is alout the more AS the culler-
of returning prosperity in the increased use of telephone,
may of ten different first TMIS Hour, the will-
tions for the fiscal year 1030. The collections for the first
telegraph, radio, etc., - well as an increased number of
maint FOR collection from with corporations work
FURNAL YEAR 1931
half of the fiscal year are expected to be very much larger
admissions to theatore, concerts, Me.
missing for de your will ner mile trjp partly
than those for the corresponding period of 1930, reflecting
Changes in estimated collections from principal source
Trum on nes Departmento pully Date permone
Total receipts-As shown in the foregoing Statement
greatly increased corporate profite in the calendar year
of miscellaneous internal revenue in the fismal you 1027,
FE (we) THE the of
Not E, the total receipts and special accounts)
1935. This increase, howner, BE expected to be practi-
M compared with actual sollections of the liseal year vuan,
for III) back 19.10 and
fur the final yuar 1937 are estimated at $5,629,00,000.
cally uffect by the estimated decline in collections in the
are aummarized un the following table:
196 1. from emi att
AEL Discriptions nil $1,712,000,000, or 41.6 percent over the
last half of the fiscal your. This is due to the fact that
est Inc. the Therei have APE in - employees of
M,110,000,000 mompte from them for the final
corporations have already svailed themes/Dres of the op-
Collemians from principal twice - of (minys)
an 1000000 - - though in Incluse
your The sources of these revenues may fan hrowly
portunity afforded by the Revenue Act of 1935 for redeo-
suali - wanths,
resiltion VENDE of Portal of Milen,
(1) following
laration of the valne of their ospital stock in order to
11A - et
Tim - -
reduce their combined tax liability für the
and capital-stock taxes.
Term United above flairies
-
lanse
-
NON
Missellanenus internal revase-Etimated collections
T 1
Two PAYMENT - must конд medial -
-
- or
under the capital-stock tax of $139,000,000 show 4b
-
Attost
be-
- -
emails, - - assistment lesse,
increase of $44,000,000, or 46.4 persont, over the compare-
maint,
with
- -
:
- (ver in - - for the final
Celle
-
-
- - Mar -
ESKT
Del
live collections for the final year 1020. These cullec-
- THE ed the limit Your 1335,
I I I I 1
BCI
una
y
change directly reflect the revaluation above mailioned
Las:
BY
the
the Time to be
-
which recurred in counection with the capital-stack las
Estate MAIL
-
HI
LINE
E
me our
IMI
use
-
- THE - - BY IIF duly 11. 1957, will - he
réturns Glvd June 30, 1936, payment of which vu revived
- And wise, - tum.
301
-
+43
too as Her provide The The
in the early months of the fiscal year 1007.
- Departs. information lism
and
+41
To - - -
-
-
SAT
-
Actual receipts from internal-revenue taxes and cartono
Total estatedas rullections for the fiscal year 1997 are
- com
;
N.E
fill
M unter - - -
est
au
the find - Na II the what name for
daties to $1,000,000,000 in the facal year 1936
antinisted at $305,000,000. The estimate of an increase
is -
se
ISS
YES
lam
on
not
No contrained with natimates from them sounte of
of $50,000,000 in the inflections for the misle tax ib the
THE - I -
2011
$5,036,000,000 for the fiscal year 1937. The figures are
fiscal year 1037 is only a partial reflection of the higher
Regraded Uclassif
THE BEIGHT, jus
EFFIMATES OF REVENUED AND RECEIPTS
A15
a ( - -
- Accome The Visited Signe
Ench of the major classifications of miscellaneous
United /nm priscipal N° internal
laws las 1976 de price
Drgani
internal revenue has contributed for this increase. The
the tel extended
-
is Imported be the Adjustryment All
LIMIT -
- -
receipts from alcobolic beverage taxes are edimated at
(to - IF -
-
-
- the the - Cal
$044,000,000, an increase of $49,000,000 over the estimate
the HG collections Dran while were repursed as
for the fuest year 1987. The increase da attributable
Odera -
Increase
E have
mainly to the estimated increased receipts [trom the lesses
THE -
- famil, De en 12 to
insul mose
F
missing
Re 121, Um Posto Art of 1992, live
- M
una
un (ermented mult liquers and to the experiation of
Bo-
Bail-
-
- - jum
28.00
His
I
I
-
learn his usi lie Backland Cottom Adt of
- -
increased of distilled spirita. Collections
-
-
a
-
Type he fine aufs Red or the found YYYY
- -
5,90
Ne
[mer Inliase tasis are estimated nt $569,000,000, an
- provide of amt $27,100,000 from INV instruction
- the
increase of $25,000,000 user the comparative entimate for
Capital - -
DES
all
+3-0
- -
60,30
--
the food year 1937. The gain in largely the result of the
- MA
-
⑉
4/MO
insured @ to - (ie of den
:
on -
THE
---
-
MEM
Coloration el too milet the Security Act will
-- I I
--
DATE
estimated increase in the cummission of cigarettes
- wise, town LAMI
39,1
as
+5.1
:
- mills diricting -
and
BUT
484
bigh in mm, DO VIII 00 complem MY
a - - -
Last
1,48
The estimated increaso in stamp taxes of $5,000,000
-
MLS
im
+5.1
rellerta estimates of a moderate increase in the volume of
was cas
:
as
-
00 employers ml an lemier lat nn den
!
---
- we
ISU
ALE
-TALF
truding in germitiva un storik exchanges and of the extent
als -
391
114
-
with rejest after Depositure 11,
00 Two - to visit m
of BOW onporate If certain of the Insury
Time - -
seit
-
FINCAL YAAR ISI
- Mine el On Test year 1057, Twin 1% of the
documentary staniji taxes are unt extended, the estimate
and las an - list - of rights of
Total remple-Total mempts (gnuaral and special
fur revenue from the source would be only $42,000,000,
Extracted refuntus IN interest TWISM in 1000,
- To der define 1. pay-
the the final year 1938, are estimated at 57,203-
un $30,000,000 les than the $78,000,000 estimate for the
V lane leminating - lieing refuired a - d'une aù
- are - Incoming January 1002 and any estimated
100, amuning that the temporary fases in postioned,
fiscal year 1937.
- July 11, 1007, are not in paral jow
a . not of lar the De Les
This represents an increase of $1,405,000,000 if 25 per-
escise tax collections are estimated as
Time
am Me decument -
rent. uner the comperative entimates for the ford year
$449,000,000, an increase of $20,000,000 over the estimate
enviror
Itm CLIMP be - corrifies and invoice For their
1937 and by $1,177,000,000, or 77.2 perment. time Unap
for the foral year 1937. The bulk of this retinuted a
Lobricating nile
$16,360,000
- - March L. and registrator
the actual receipts fue the fineal year IVAL If the
FORMP is due to the expected larger volume of gardine
Brown's - malt, etc.
000,000
Entimant - no Time colonato for the collection of
perrory taxes are unt estended, the above will
communption. Most of the taxes which expire en Jume
Matches.
0,540,000
Ne lest me HIT of für Tuiles
De refuced by
30 and July 31, 1037, are excien texes.
Divirinal marks
24,000,000
- lack from Min
Insume income tax collections are infirmated
If those taxes should nar be extended, total
Time and fooder
29,730,000
in the - the HOUR live required doe to
nt nh increase of $992,000.000 PTW Un
excise taxe are estimated et $43,000,000, representing
Telet properations, etc.
14,470,00)
Articles made of Tue
6,750,000
- numberg the of the lass
collectives Int the final year 1987 This -
largely a ourry-over of collections from tax liabilities
travio
6,700,000
- Customs for Dan formal your are
represents the fine full year of collections under the
Incurred in the provious fiscal your. This wordd amount
Premiser and
$8,300,000
musual al. all of alwan
Revenue An of 1030, which made dividends abject M
IN # decrease of $386,000,000 in Ibn memipts from this
Parta hip fue
7,000,000
dou COBE the - jer ou Reserve from ne
the nurmal tax and inipuel n un the
source as compared with the tiscal year 1037. Sundry
Dadlo erta, phometraph de
7,570,000
distribut quinte and M apartal la derim by (exoro
profits of surporations, M will M patting into winst the
take one estimated to increase $4,000,000 over the
information
9,950,000
Sporting and have
7,400,000
Mom to print, importe and dailys there
increased surtas tatra on individual invoice. End improved.
$71,000,000 estimate for the Notal year 1997, assuming
Finarmis, should and cartandans.
2,940,000
livre as repend tu imm of improved Haile
by the Noveme his of 1035, It la also in part à rellaction
that the tempurary taxes are extended. If they are not
Classing gam
$80,000
of the improvement in hadness in 1100 and a partial
extended, Ensure am especiaul las yield only
folngraph, reuling and raive facilition.
I
reflection of the estimated business Nomey fur 1097.
$33,000,000, or $46,000,000 less than the estimate The the
eta
tive
Transportation of off by - line
11,220,000
- for the your
The las collections are expected to decline
local year 1007.
Stamp later, test transfers and demile of was-
la 98.000,000 for the tiered year 1945 because meparations
The principal changes in the estimated miscellannous
register
12,300,000
und are exemented ai . demains of SIV-
- Drive the companitive response for the procuding
Imm uvailed throughere of the opportunity afforded by
internal revenue receipts in the finent your 1039, pa om-
the Act of 1005 las make a num declaration for
parel with the estimates Tue the liseal yvar 1937, with and
Embletal
limit The interest visits - induction of alsoar
the repital-stuck tax and 50 reduce their excess-profits
without the estension of the temporary tases, are sum-
Taxes, redumb
is vúlicale of interest os obtigations
tax lialitities.
marized in the following tables:
Steemp last
of the Pumber "This de-
Imsues of months
9, 000,000
internal receive The capital-stock tax
respigns sure estimated at $142,000,000, an income of
privingal - - - internal income
transfers
17,000,000
- es (live Die two factors, which mide No Signature
coming actention me (mymary
Rates of produce file foruzo delivery
1,530,000
and the nor figures
54.000,000 oxvir the estimate for the fiscal year 1957.
Admissions
17,240,000)
promote plants namedity would have
The reseipts are estimated at $454,000,000, as
Ba - et -
44,070,000
lam - De Das limit yes nas ust not, - prode
Encrease of $130,000,000 over the estimato for the listal
-
- - Dies - Tel Obsetting Brans include
Foar 11/37. This a DOL only a reflection of the experied
Total in
- al and @10,000,000 in Oie repay-
higher value of taxable estutes but also el a full your of
Soure
-
DUE
- -
- Value - for the Administration
vollentions under the lower evemptions and higher your
-
-
Social security form-The fiscal your 1038 in the first
ont OII Administration, reporticily,
insponed by the Revenue Act of 1936, The
LaP
-
-
full year of collections of the taximi imposed by the Social
Who de 1 Tue the yrst 1917 RM pre-
receipts JOIN are estimated at $75,000,000 for the fiscal you
the
i
ser
449
Security Act Is is estimated that the employment
mini to - wro made
hour -
-
-
-
imposed by title vin of shat net IME en excies tax on
internal-revente lax millertions for the
(If
EMI #
---
-M.P
on the Mile of Tax miding loss Place that date,
- et - - - IMM.
no
+
employers and ao income sex on their employers, will
final year roas are estimated os $2,508,000,000,
Immé - Incom, dicketing - time
BILT
-=-
-
NEW
-
yirld 5622,000,000 in the focal year 1038, an increase
- De L her and llow has also Lever
------------------------- dags have leen
dat the temporary times are extended. This represents
202
Presentar - las
i
:
of $360,000,000 uver receipte from this sounse for the
AD increase of $233,000,000 over the comparative estimite
- - -
---
follow implico - in - the eliminated at that a
Mine
IN
-
447
fiscal year 1087, The colléctions of the tax under title
for the furnal year 1937. If the temporary taxes are unt
IX of the act, which in se excise tax on employers of
The Orderwing Valida the withing and the
eviendid, Man 1038 fiscal year estimate is $2,08,000,000
This I -
LOFT
4003
night or more persons, are estimated to yield $1.53,000,000
- the the lest year 1937,
This in $243,000,000 less than the $2,276,000,000 est)-
matel receipts from time sources for the fiscal year 1007.
Regraded Uclassified
THE BUDGET, 1938
16
in the fiscal year 1038, an increase of $82,000,000 over
$2,000,000 from the estimate for the fiscal year 1937 is
the estimate for the fiscal year 1937. This is the result of
expected in revenue from wines and liquors, chiefly ns a
the collection in the latter half of the fiscal year 1938 of
result of a probable docline in whisky imports from
two quarterly payments on the tax liabilities of the
Canada. In the fiscal year 1938, it is estimated that the
calendar year 1937 at desible the rates which applied in
revenue from other classes of imports will continue
to increase. If the temporary import taxes are not
1936. Customs-Customs receipts for the fiscal year 1938
extended, customs receipts of only $445,000,000 are
(un the assumption that temporary taxes on certain
expected.
products, such as coal, petroleum, copper, lumber, and
Miscellaneous receipts.-Miscellancous receipts for the
certain unimal and vegetable oils, are extended) are
fiscal year 1938 are estimated at $182,000,000, & decrease
estimated at $463,000,000, an increase of about
of $10,000,000 as compared with the estimate for the
$16,000,000 over the fiscal year 1937. A decrease of
fiscal year 1937.
ESTIMATES OF APPROPRIATIONS AND
EXPENDITURES
A17
Regraded Uclassified
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES
A19
STATEMENT No, 2
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES
This statement includes rependitives from prior your oppropriations and from allocalians of prior year appropriations
is Malles Represent - for - Md issular the - all - # - - No. 3-A)
Entimates -
EXPENSITURES
A: GENERAL AND SPECIAL ACCOUNTS
appropriations,
-
(AIT
-
- -
Dissin,
- -
LEGISLATIVE ESTABLISHMENT
Benafit
- -
--
--
@MAS, 900
Missis - Separaty
ALBO
0.00
85,000
47,746.38
salation, don - employed, reducting peint -
18
LOAN
LIMITE
1,700,000
1,746,201.21
Contagent
135,00
SIA,801
$44,000.00
40,000.00
$3,000.00
Cripinal have - shand
32,340
AX
are
-
HSM
Jack Committee in Insurance Combision
c.se
11,500
- Committee - Printing dem
LIM
1,811.00
LAW
(
the of Legúlation Commi (Enesse date)
30,50
5.M
ENE
ER
2,M
ass
unable
Adjustment between sanh expesitionse set - -
----
Total -
LOSS
-
LOLD
10.00
Bause of Representatives:
Valuates of Massiver and Delegivies
USAH
4,200.00
6,330,00
Mileage of Mambers and Delignion
m.as
RLMS
174,000.00
17,000
new
Mularies of afflore and employees, Lesterning derk Wes, Memiers
and Delegates
LIAM
150
Contingent expenses.
46,000
--
ML00
Gratuities
04,000.00
6,00.00
Recision,
38,000.00
Capital Police (Becase
AL3W
23,340
84,235.00
50,000
8,90
Julist Committee - (Nowe shore)
12,NO
17,300
Juint Complities - Printing Brue share)
sale
LED
!
LNW
LIEN
Office of Legislative Control
R.S.
$7,800
$7,800.00
0,30
12,100
E
Automatida será - daix the of the of
4,00.00
1968
- expensitions - - -
Total, - of Representations
--
10,30
1.10.50
Estament of apprepriative
4,000
4,000
---
4,150
A.000
6,900.00
Ben of Chief Instine William livered That
A, 500,00
- between - - checks Immed
-300.00
TOTAL Segulative -
4,000
4,000
4,000.00
4,9%
4,90
8,000.00
Arthollert of the Capital:
Estaries.
KT,000.00
AND
IL/WI
and register
---
200,000
435,800
Inglistive privant
9,340
8,048
LDC.00
9,700
9,200
0,472,74
Office Restitings, -
-
$0,64.00
26,000
431,500
Esta and mostraction. Brea Other Bulliting
8,900
Capital power plant
766,000
424,580
-
100,000
300,000
Enlarging and Departes Capital Circumts
-
-
----
168,000
Denate fittle
264,000
-
20,000.00
240.000
195,000
---
-
Benale Office Halding, -
Furnishings and equipment, Summe Office subside
Below tramporiation, Capital sed - - helldings
3,000
1,000
12,000.00
3,000
1.300
1,341 45
18
Details Carden - and tranklinged
Capital and
2,000,000.00
-
1,300,500
---
Begines and epilyment, Eurouse quartors, Repersed Court
----
36,736.18
Enjarging pres galary, Senale wing, Capital Building
8,000.00
Library Twilding and
13,79
WL.COM
200,150.00
130,000
24,000
BLRCH
Litrary Anne within and building
2.00,00
---
1,000,000
1,000,000
1.00
TLT,800
LIMITS
Lillerg Anne all'a and beliting IN. 1. R.).
Regraded Uclassified
THE HUDGET. 1938
020
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES
A21
STATEMENT No. 2-Continued
STATEMENT No. 2-Continued
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES-Contimaed
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES-Continued
EXPERINTURES
This statement includes expenditures from prior UPOP appropriations and from allimations of prior year appropriations
-
-
-
- -
MI
BM
e - mm - signature by invoice - - the - - - Requestion Achedicle Fine 3-45
I
tasset
Billmated, IF
- -
-
EXPENDITURES
A GENERAL AND SPECIAL ACCOUNTS
Appropriation,
- INVIREMENT -
Issue
TMP
-
Eximuted -
Extimated, laz
Anial, -
- the -
1 1 1 > i
live
- - - -
1.480 0
EXECUTIVE OFFICE AND INDEPENDENT
tax
ENTABLENEMENTS
- - - -
:
Furulin Officer
of the Problem
$71,000
E11,000
$15,000.00
$15,000
$75,000
$21,000.00
amaca
Mo of Vin Product
18,000
35,000
11,000.00
18,000
11,000
15,000.00
I I I I 1
-
Name Enective one
12,00
125,644.00
170,000
115,000
114,798.30
Count error Executive
was
50,210.00
--
40,000
98,000
43,001.12
I 1
$4,900,00
comme
maile así Native
1,70
1,700
2,750.00
2,706
0,190
-
Truelly - of de Probled
25.000
36,000
25,000.00
33,000
55,000
FINAL - -
Exemine Musica and
341,008
20,000
143,200.00
140,000
(214
200,000
180,130.10
121.00
0,000,70
teams
Special -
- -
I
- -
8,71
40,252.00
62,000
8,00
Rine
-
ain
(dainer - expentive and desks immd
212
26,000
18,000
nas
Timestive -
HCS
$15,130
437,232.00
331,100
42,411.69
- - - -
19,000
-=-
Advisory Committe -
ningracy used
18,174.07
TABO
114.947
ILICE
111,000
111,000
JAMES
he Executive Order No. 204, dated May 4,
10. no bont by of Int. - De Energency
- -
Relet Appropriation M of - approved AIR & INCI (Put.
- -
1,000.00
LAMITE
- -
1,500,000
1,300,000
Ce No. it, (Es Clas).
-
-
- - -
---
INLAND
378,000
---
--
- -
0870
400,000
Memments Comminion:
410,000
-
13/18
0.00.00
-
Expenses
111,000
1.00,000
Jana, 000
- -- -
177,900
- - - -
11,000
14,000
Devrive DAT
31,000
13,200
14,00
- - - - -
If
170.000
IM.00.41
Special deposit -
- - - - -
APLV
- - - -
-
:
--
expenditions and des troal
-GMM
- -
-
Total, Datile Mements Complete
-
---
- - -
---
I I I : I
-
Board of TM
- - - - - - -
-
--
-
-
SLAL
will
30,90
$ 500,000
$14,600.00
-
-------------------------
- -
sue
Low
Trinking ad Notive
25,000
36,000
26,000.00
IL.000
2LWO
area
LIMI
LIMI
-
I 2 1 I I
Adjustment below - expendions and checks I
:
TM -
non
Total had al Te Appeia
--
$42,000.00
-
---
!
---
----
10186
Callinenta Partir International Expedition:
DEAR
F
* 12,000.00
VIL/MI
Entar
TARM
Number Priming have
070,00
of the Bientental of the Birth of Patrick Beney
15,000
-
- - - -
I I ( I I .
Line
3.000,000
- - -
-
Lim.m
Central Blackchal Board
---
fisian and
123,000
---
175,000
170,000
---
800,000
-
76,10.00
Printing ad binding
I, am
LND
900.00
1,000
€.0
MAY
I s ]
--------
Administration 1 - deld -
-
2 I /
USE
Total, Certral Bard
DLVI
ITLAR
12,000
Ins -
4,36,96
4,300,00
COLDER
Change Warld's hir Controntal Celebration Commission:
/
-
= 300,100
ame
Tipose
/
Child Commission
I /
1,87,80
falcies os -
1,00,98
12,000.00
100m
2,107,2014
-B.N.F
Inmiting
9,00
NO
---
11,300
OrGanic et Cabilla emerical trut
0,000,00
40,000,000.00
45,200,00
-------------------------
I
Mine
Cent 2m número each appropriated time
30.00
20,000
WELVE
NMM
I
dem
18
Size
-
Always Trinal momes en foil
1 1 J
ano
Total mini
25,000,00
same
1,07,50
1,000,000
XRM
- mid.
! /
NEW
amer
Twi, ONE fente -
71,000,000
case
am
Time of datant.
Tentle FIG mismiration if all M and is - - DE in If
Treiter will requirenties à - M met 0.00
Trede with responsible if exped di YES appopriation
Twile with of - is - B.B.
Regraded Uclassified
THE DEDGET, JOS
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES
+23
a22
STATEMENT No. 2-Continued
STATEMENT No. 2-Contimed
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES-Continged
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES-Coned
EXPENDITURES
-
- di
EXPENDITURES
Appropriations,
1. AVR ACCOUNTA
BUT
(aso
A HENEDAL AND SPECIAL APCOUNTS
Assignation
Estimated,
has
-
-
IN
THAT
-
-
Eximuted, -
-
essume IIFFILE AND (NDITENDENT
EXECUTIVE OFFICE AND INDEPENDENT
ESTABLISEMENTS-
- of Mall Admission of ou Male of
Farm Credit Administration:
and experies, Farm Credit -
$6,000,000
$4,000,000
---
---
-------------------------
ARBA
--
$1,000
- REPRISE, profession MII máil ingetations
and
300,000
$25,000
- for Individual -
and relatification,
* 05,140
:
- - IV (R)
Jun, 000
2,000.00 visit drivine and sil w Just It. (IN)
- 2,000,000
- The Check - - -
senting reselving foul.
(52,000
- FV - - - - is - -
proof production and Authorize IMM. repends
- - a Ma . na. - -
have
+3,000,000
by - - del - bine .. -
Losm to brom is - Stud, and -
+V,W
- 100,000
------
- - - - -
20,000
25,000
---
4.36. L - TN - a - - To - to
degasts paid
98,317.00
- - & - - Ma . - - - M
- date
NO. AM
- - - - he 18 - - (If -
/ Date - (val. - Argend-
- - AIR IPS - - 14 IM -
name 12.
med - profution - - upone
of Understande -
- F c)
* 606,000
---
- - - - AML - -
Crip production my -
1,000,000
IN BA
-----
- less - - land, -
I I I ! I I I
- LR. . C3
+182,497
I
180.000
digitimal - - moves represe
I 5 I I I I
PAINTS LR
+4,000,000
insure
Format INVOICE - -
Sepervision of Patina - -
11,000
15,26
(4)
(*)
of
-
- deposit amount
6,145.00
Promite all mail - propertie mailer provede
Appropriation the of feel
I
=
=
=
200
day - of - - - For
1
Deparal
(00.00.00
- - NO. Missings - of (form)
- - - - - - -
Adjustment Interes - expensions - Include
von Mich - -
Tran. -
4,007,885
+2,10.00
Emergency Number MI of THE
I
-10,000,000
- of this - Pip
- - a Homps - - Homed
- Mom - and alerita -
3 J 1 I I : I
- - et -
Twist,
Community Mark
Tutal Tuna Comfit -
4,000,000.00
-
-
$85,000.000
- -
Federal Almited Control Administration:
- 104 -
/ I 1
--
Emergency rependents (M) f, A)
Ell
480,000
by Emounts Order No. bited Des 4.
1 I ]
4,100
D
7,900
E,000
4,465.14
TREE mãe authority of the National incomery An
- - Avel - -
E
- - COME - -
5
4,000.00
4,550,000
el June 18. 1902, und extended by Executive Order 5b.
a
pay
on
en
dued June a I/WA, under authority a Nained
- - - - - -
(N)
- -
(*)
(M)
E
Recovery An as and extended to N.Z. Bei HL #
E
11
proves is less. Financial be be the agree
PM
2,000,000
pridies made for the of the National Internal lie
I
6.30
money Ant by the Fourth Defident Act. Real your TREL 4D
Law
proved Jess THE HD. Total abservises, service Abilidad
I I
PI
COLDER
Rept. a is with provisions of = IF - the
É
4012
Federal Administration 1d. approved ARE is, =
LAM
(Puble, No. 11. 74th Cong).
E
/
LULUE
Federal Cill Works
- - -
490,000
$60,000
676,183.79
₹ 300,000
A.000.00
Employee
IT
Federal Communication Commission:
/ / I
-
tislaries and NOME
1,40,00
1,00,000.00
LEUIN
FILMS
2,000.00
2.00
2,00
a.m.e
total
Priving and Maling
=
40,00
25,000
7.812.30
10.018,000
Epental investions
Certified cistres
1.00
-
I - - - - - - his M of & - - - - - lesse "Visi N et Tamper Comple Wal"
deposit
vas - - - -
=
I 4 , = I 1
----
- - - - - - - - ET - Issue in If
between naili ed deile I
- - - Del fills -
1,000,000.00
1,0100
1,600,000
ISLINE
of - - - - - - - Visity ful is - - Miss is on
THE Primal Commission -
- - - Timpay
- - - - - - B Date - - - HR. in - - -
Etem el méin debut
"laim el signal", 7um Credit A instructions
- Type will # a to 5.9%
Regraded Uclassified
TILE BUDGET, 1935
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES
A25
A24
STATEMENT No 2-Contimed
STATEMENT No. 2-Continued
ESTIMATES OF APPROPRIATIONS AND
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES-Cnted
EXPENDITURES
Entiment if
EXPENDITURES
-
.
-
-
Test
à UESERAL AND SPECIAL ACCOUNTS
appropriations,
Appropriation
-
-
Eniminal ISS
Tational -
I
1987
-
IVP.
- -
Extimated, is
Extimation:
Actual
EXECUTIVE OFFICE AND INDEPENDENT
EXECUTIVE UPPICE AND INSURPORENT
ESTABLISEMENTS
-
Federal Trade Commission
Endoral Invoice of Transportation
M.S.
Rind
Address and expesses
$1,800.00
$1,307.00
$1,710,300.00
$1,475,000
$1,79,672.44
- - -
LAW
-
Printing and with
0.00
22,000
MMS
36,000
61,000
M.TM.49
- - -
Claim - Name
una
- - - - -
— 44. - IM - - ⑉ - the -
LINLINE
1,209,000
- -- -- -
Additional between rath expendition - dese -
-7,040.00
36,300
ELIMA
- - -
Total
1,539,000
L.906,000
3,667,000
- - -
1,000,000
Envoyment improver mill
- -
(N, / A)
- - - the - -
- MAIL - - - - la
- AAS of - - -
Amount
- - - - Fis
July - cost mi used,
41,000.00
- - - - M - I - - -
- - - - -
Time,
-
of - la - - - OVE -
- - - - - - - Mo -
Total Federal Trade Commission
L.VAL.00
1,232,000
LTARD
L,WIL,000
1,007,000
- - Ank - Faim ML - -
- - - - - - - -
Furrien Service PAY Adjustment:
- - - - - -
(syments to afters and - if Valid States is Inso
- - - - ---
-
1,745,341
* 1,800,000
1,301,476.00
E
E
en
- APT - - - - - -
I I I I / I
Canigal Amounting Office:
- - - . -
Estaria - expenses
4,504,400
4,725,660.00
4,836,000
Deliges experies
272,140
200,443
373,940.00
270,000
20,000
From -
Pricuse and birdling
BL,N00
TL.000.00
IL 000
80,000
----
- - - - - -
$1,470,000
L410.00
-
- and name repesitive (A) L ALL
m.a.
- -
-
TIME
EMB
MLAND
zero
Energency / Itelid 4d of (MC)
£,000,000
- - - - - ,
1,700
---
Fireign the pay additional
1,000
1,000
4,201.12
- -
Enrome IVM (Enaryon And Ad of AND
8,00,000
1,800,000
- - - - - - - -
---
10,000
10,000
AGE
18,100
14,900
---
(
LOCIO
5,361,000
lessess 1 expenditions und deb inset
-
CMLOR
mass
- - - - -
1,201,800
1,154,000
mon
-mo
Tital, mini
1,301,000
4,782,000
-
175m
10,000.00
1,871,100
LIKE
are
Energency
NEWS cash signature and della issued.
-
-
i
-
T.TIP
---
- -
4400
Titu, comprare
LEASE
1 1
Total Genral Annualing (Iffes
LIKER
1THM
6,000,000
1,200
THEM - - -
---
1,271,140
George Washington Reventental Comminán:
1,123,300
Federal Volumes -
Expenses
---
10.80
- L - - - - - "
*300,000
+236,000
Great Labes Expedtion:
- - - - line - - - - -
Expenses
2190
12,000
180,000
am
The - - - - . -
I 1 I I :
literetate Commerce Commission:
- - - - - -
Name - expenses
2,76L.00
7.700,00
7,800,00
THE . - - - - - -- -
Printing end timlies
171.00
$ 107,00
20,000 00
12.60.76
- - - - - -
Certified rising
an
24.45
ines
! I I
leises mah and (deits und
44,136.12
1 I 1 I
Conners Comminio
1.69,00
case
7.20.00
Mineral Act of Ort. & Bills
Claims and
me
27,000
NOTE
Tapitles with el - - met BASL
. Expetiture name unler departmento and in which - statted.
. Tipither - a respripriation of 28 la and $10,00
Tastle via . at et " number pm
Trade was e recompristive of all la
Regraded Uclassified
THE BURGET, 1938
ENTIMATES OF APPROPRIATIONS AND EXPENDITURES
A27
26
STATEMENT No. -Continued
STATEMENT No. 2-Continued
ENTIMATES or APPROPRIATIONS AND
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES-Cand
EXPENDITURES
-
Email of
EXPENDITURES
-
-
NO
me
A. GENERAL AND SPECIAL ACCOUNTS
-
Approved
Enimiled -
Publicated INST
DE
an
cas
Extinated, TAX
-
Actival -
- 156 INVEPENT
EXECUTIVE OFFICE AND ENDEPENDENT
National Mediation Beard:
Natural
---
----
$1,250.000
sare est -
$15.00
$15.00
-
18.29
-
16,000
beants
(a)
30,000.00
3,000
-
CITIZE
1,2%
3,900
FIRST
Employ hards
E
15,000.00
2,M
0.00
4 680
TALE
Extriing at
2.301
51,00
1,000.00
1.90
4.300
Named Balimad Adjustment Baint
luistin -
15.00
156,000.00
20.00
776.800
time
Printing est Meiling
2m
47,000
2000
9,40
36,000
---
OR
- beene 1 expenditives at clarks -
-ALET
10.80
Total, National Madiation Burd
MMR
-
43L.586
That
-
SALAR
1,772,200
134.00
USES
Valianal Becovery Administration:
expenditions (N.L.)
RE 000
------------------------- -
--
- -
-
representative CP. W. AJ
---
---
- -
:
16,000
Note-Created by Executive Deler 5a. RIL dated June 18,
- under authority of de National Industrial Manuary Art.
---
asserved James 11. vas (40 Risk. P no. M suinded by
time Unier No - Asted Net. If MINE by Public
-
-
Resolition No. = approved June 14, 7933, and Exemptive Orders
-
Name Tan at 767% dated / IL me terminated by Executive
-
TELLAD
--
-------------------------
Under Ne TMIL dated Dec IL MM, advetive Apr. L - FL-
Animal ⑉
- top allonation of funds truer the appropriation made -
-
45,010.00
the porjume of the Natural Internal benefits An by the
Faurth Definity Art, fincal your un seproved Inte II, INIL
- - Mumber
I
-
-
-------------------------
1,000.00
Adjustment - new signature and -
Statement -
Total National Sunivery Administration
-
i
National Committee:
171,000
I
(P. W. 4.)
0,00
1
no
Envryone everyone mild
-
Energency representatives (M. RI
2,50
470.17
Nota-Crated by Enactive Order Na - dated June f,
1880, and during the period Tutal If INI. is June as
100, to - advation of $1,800,200 trim the Energency being
Appropriation Act of - - the Xational Todge
trial Hacovery AM of care. This Committee - the
National Reserve Bord credit by Exemitive Se STTT
dated - MI, HHL unier address of the National Internal
Removery Act. est Essared by at $13,000 fram the
IM
I
le National Internet and 1.00
-
from the appropriation to Balaf - hälte Wells
Advistment a and della -
come
Total, National Remune Constitue
100,000.00
If
Northwed Tentilary Colebration Commissions
Experse
100,000
--
69,000
TALEN
- the - -
-
President's Committee on Administrative Management
-
76/MM
---
---
Energing stynditions
10,000
6
DELHI
-
---
BLOW
30,000
-
- the activity el the Fini Deleimer
Appropriation Att. Sand your 1986, is main a realy w -
5
74 MI
---
DOCT and meder - of the Inid et the Gan
170,000
-100.10
maint la the purpose of coding for -
efficied optitation at thank
11.00
---
TELAND
71,00
20.00
Prison Industries
Escipary muf.
/ALOR
112,000
by Emailire Order 5a. TIN, sue legt.
---
= VRIL cate of the Emegang Beief
- AM HEL is alberting of BILM, in
118,000
mach
purpose be the Eneque lot Am
:
28
will -
TMUM
010,006
KFF
is Type will al - il - us
- - - talum
- Transe - al - . niel na
Taxle PM of - - and BA
⑉ if - - unal $0.00
Regraded Uclassified
THE BUDGET, 1935
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES
A29
5
STATEMENT No. 2-Continued
STATEMENT No. 2-Continued
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES-Continned
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES-Continued
EXPENDITURES
Appropriated
- of
EXPENSITURES
- of
-
AMT
non
4. GENERAL AND SPECIAL ACCOUNTS
Appropriations,
Antial,
Juin
1817
com
-
-
NET
Vatirasted, JOB
Entimated, 1937
Artual, -
EXECUTIVE AND EXPERIENDENT
EXECUTIVE OFFICE AND INDEPENDENT
ENTABLISHMENTS
- Livited MENIFY for - base and -
Soral Administration:
Administrative
$1,720,000
$1,000,00
$1,175,000
---
$0.00
$0.50
ADDITIONAL company
-
Less if line mestruction
21,000.00
19,000,000
- -
Less - and it. F. c. /
4,492,000
3
Lasm for system wishing. -
1,06,000
2,000,000
Liese - applicant, varing, at, R. F. C. funds
7,800,000
- -
use
Lane is prints - mild
-
21,70
BMD
Lane in envryone mild
$ 400,000
-
4,000,000
CREAS
- - - -
ama
Twisi, good
31,584,000
- - -
Twai,
-
1
-
1
Adjurtment and cherte limit
- - - de
-
Bank ElectriBeation Administration
TLEX,000
1,000,000
31,473,000
14,202,400
Securities and Exchange Commission
-
-ALMIX
Experient
3,800,000
IMALE
Printing - binding
48,806
-
--
41.000
---
ARILTIN
-
- Revid:
- - - expenditions and - I
-
--
1,000,000
1.38,00
1.148,000
--
---
25,000,000
T.000.000
THE of Exchange Commission
1.80.200
------
2,840,000
1.00
-
2,00
(M)
00.000
21,000
Institution:
- - -
-
993,000.00
0.162,500
---
bisis ad - - -
M.D.
MID
DE
36,746
Instructional rediscript
44,300
44,25
44,383.00
----
ALIVE
- — -
Atterines stiving
68,720.00
---
1,000.00
2,000
20.000
BLAM
-
3.50
use
- - -
Natural Mustro:
Maichmine and epiration
SALMI
100.00
-----
I I I I
-
HLAM
of
90,50
BOLUM
-
----
---
20,000,000
National if Art.
36,272
Mm
and
38,400
11,000.20
22,000.00
6.90
- -
number
01,000,00
12,100
and Meding
M.S.
M.M.
--
Purchase of sirplese Winsin Mar.
38,000.00
=__
6,000,000
@pertal depait annual Uperial hall
0.00
Personses appropriations
ILDUMN
Tom of Instruction internet -
10,000
00,000
40,000.00
-
-
90.00
0.00.00
LESSEE
-
1,80,00
Address belower no apecial and chests Issued
44,811.00
1
I
Total,
1,052,685
LOA.IN
1,007,000.00
1.173,00
I
fertal Renurity Board:
I
Relative and Homel Security Board
1,000,000.00
"ap reside
72.00.00
soure
I
:
Printing and bisiting
1.000.00
(a)
-
missing -
LIKE
1,200
Oratta M Rate be de
132,000,000
21,640,000.00
NAME
-
Orside la Itsis for unampleyment - admisidre-
-
-
* 26,000,000
25.000.00
----
45,000,000
11,000,000
----
Orata ta Etates for ald la departed distre
$4,000,000
5,000,000.00
52.900,000
95,000.000
Crazia to States be sit a NM
10,000.000
6.100,100
2.00.000.00
8,000,000
7,000,000
amez
- Interes cash expeditione set delli -
-LHT,MIN
10.00
Tital, hearity list
SRP
---
€.40.00
amvi
Tipotal Advisor la the Predent - Pareign Trade:
-
(N. e)
Superme Court Building Commision
Express Court Buisting
170,798
. with registration of ut la met 0.00
. Taxte will of um -
. Instited in - signature
Regraded Uclassified
THE BUDGET, 1938
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES
A31
«20
STATEMENT No. 2-Continued
STATEMENT No. 2-Continued
ESTIMATES OF APPROPRIATIONS AND
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES-Contionel
EXPENDITURES
d
EXPERDITURES
I
-
at
-
-
A. GENERAL AND SPECIAL ACCOUNTE
Appropriation
Appropriations,
AND amt
NOT
known -
Enimated, a
Amail
RM7
-
Im
-
Entimated, Jam
Entrated, TRIT
small -
ESECUTIVE amt AND ENDEPENDENT
EXECUTIVE OFFICE AND INDEPENDENT
ENTABLISHMENTS -
THIS -
-
billine
Pawa
that Finance
$1.900
---
- - -
-
U.S.P
11.00
IL WE
16,30
MTOM
- -
1,86
L36
None-Thi . in under be Created of
in
-
is tentary of the Travily FIT. a C, title is, - 2711.
the
= I I 1 I
MY - bin neigts.
Burle Program Administration
TABLE
1,800,000.00
- - -
NMC
by Executive Order No 704, dated May 1.
VILUME
-
ED
- -
NR. nier attentity of the Energency Juliet Appropriate
AVE M 101. MI. #, 1813.
- -
Facil by almostics of MAMILE ben the
- -
Balat Appropriation Adt of - approved apr a. - - NY
- - - - - be has
allowatics if - the -
— - -
144) Art. of - approved Jane -
Tesar -
SINIMATES OF ADMONSTRATIVE EXPENSES or
I
LORIER
OTHER INDEPENDENT OFFICER TRANSMITTED
PURSUANT TO SEC. , or TUE FIRST DEFICIENCY
Themes Missourial
11,000
11,30
AMA
APPROPRIATION ACT, -
- - - - -
30,mg
ILMO
9,94
N.IM
NEW
Committe Corporative:
- Thenk Orpende, - -
- States Barrand Terminiary -
+186,000,000
i
1,300
1,500
Tyste by Pulle the means -
priva
- 2,000,000
+10.711.00
MAIN
Administrative expenses
3
- - -
260,000
Nitt-1 created TO Onle No. -
AND - - a - - Fine -
26,000,00
daint (Int. 24, - ander extheits of - Nailsal
This - - -
Being AND Jame - - and extended to Apr.1,
25,000,000
by All a No.: 1, activité Jan = -
-
Financial (1) - " expital Mark - the Carge
- - - - - - -
fallim, of the appropriation of
$6,000,00
2.000,000
---
62,000
- - America - - - -
In - = of the National Industrial Recevery Am AND
- - /
made by Cla Fourth Definitory And, final your INL approved
18.00
1,00,00
Finance - -
Ima in - and (3) Our -
12.00
---
--
124,000
13,000
ass
- - -
-------------------------
Corporation be address - reported - and by advation the
Mumber - -
36,000,00
-------------------------
- - - by the Finance Corporal
---
PROM
- -- - -
11,000.00
HAWA
tim, The expital - if bell NP the formatury
-amil
if the University at the Pare Credit Administrative
- na - - -
2,677,000,000.00
- - - -
-
51,140,000
cin, et Or Remativation Corporativo - los
307,000,000
MI - belief M IM Overptant of the Cuited States
- THE - - -
1,800,000
INLIGN
7,000,000
- --- -
Lett, 000
-
Total, Community Cedit
- - -
-
non
: 1 I I . I I
7.10
-
Home and Farm Authority, Inso
- -
BLW
BATTER
19,18.00
Energency rependitions 125. LR),
- -
we
H
ILS
(*)
HOMES
I 1
LIMI
Anthority, Inc.
- -
LAS
1,000
LMP
important permit . Cyclem No. -
- MATIAN
(Sued - 18. was under address of the National Indestrial
-
I I I I I
*****
Increary Art of ML - and by at allowed of
11,00,00 authorized by - Immittra - and - by the
Friend à of Public Walks - Jan. 1,
5
-----
NIL be the purchase of date of of the
-
F.S.M
e Our - tale of nan per can.
- - - - --
Benguing = Ang. LISA - Eletric - - Firm Ats-
3,40
Unity, total the lass of the District of Columbia,
J
with a stack of ASM care u the per value of EX 1
not - en - if the U.S. by Easmi
! I J
-
the Order No. TOA Gami Ave. 12. - The Diatrict of On
-
-
bets regendes amount the meta and - the
17.00.00
Delevers responsibles - AGE 1, -
1 - s I
- ka - of the e. ky Public
. - - -
No 454, THE Cros. a MM. will Pvt. & NO.
I I 3 1 I # # I I
- - - Uman
- - Na - Value
Time of entits, detail.
- M. - al - la - -
India superitive time famile sinsiel elegant to 04.11. IDL
, / I I
- A - - initaded is faure above.
trans expirate taxis.
Regraded Uclassified
THE BUDGET, 1938
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES
A33
132
STATEMENT No. 2-Continued
STATEMENT No. 2--Continued
ESTIMATES or APPROPRIATIONS AND EXPENDITURES-Contined
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES-Conied
EXPENDITURES
- of
Extimates of
EXPENDITIRES
-
amounts
WIT
-
A. GENERAL AND SPECIAL ACCOUNTS
Appropriations,
per
-
Entimated, -
FM
iss
1917
TWIS
Employee 1000
-
Amail, FAR
am
EXECUTIVE OFFICE AND INDEPENDENT
-
of ADMINISTRATIVE Experier up
ENTIMATES OF ADMINISTRATIVE EXPIRATES or
STATE INVESTMENT IPPRIM TRANSHITTRO
OTHER INDEPENDENT OFFICES TRANSMITED
(v) IDE not comment
PURSUANT TO REC. OF THE FIRST DEFICIENCY
in -
APPROPRIATION ACT.
Tipol - -
Federal Bome Lean Bank Board
1
--
I
Valarier and expenses
$1,140,00
I I I 1 1 I
Sentage et has provide
71,000
-----
7,000,00
----
5
Date Over Lasa Companize
-
(10)
- -
Werking hand. Time Overn' Less Corporation
+A,MLB
- / 4d - - - - to
Administrative expenses
(32,000,000)
(20,000.000)
E
(11)
- - - of - - I - MA
- supplier
- - - - - - - - -
viministrative expenses depental email
£
- - unsters - -
- - - - - to - the
Intal Petro) Bate Loss Dest Burd
2,140,000
L.190,000
1,221,000
174,987.81
- - - in e las have
M - - - - - 4. - - is is -
Federal Bousing Administration:
- - - - MII " -
Administrative, emergency (A) F. en
(11,042,000)
A,400,000
1 1 I I 1 1 1 3. I
and madersipation lesse and issume, mirripring -
- - - - -- - - 1 - The -
product R. F. e)
7,400.000
1,000,000
IN - - - -
Loans be compreted confirms (N. E a
M las - is - - is Ae % - -
- - - - - ---
- -
départment cod. and deb lessing
- - well - - Problems
Total Federal Administration
67,000,000
- - - - - - - Net
- - - - - - as.
Federal Bertings and Loan Insurance Corporation:
- - - - Ma - - - -
Administrative expenses.
DATE
E
(*)
1 i I I I I
ESTRA - - - is the -
Prderal Surplus Commedities Corporation:
- - - . by is - -
D'exprence (R. F. C,).
- - - M. - a -
I I : - ] : !
Därr terring
- - - - - - - Me -
Administrative expenses
DALNE
3
- - - - - - - -
the laws if Delaware, RD agency for
- - - - . - - -
the distribution of agrinultural empodition le State
- - - -
reCef signamies Financed by funds instributed by Sinte relief
- - - - -
administrations.
- - - .. -
Total Feims Propises Commission Cirporation
4,000,000
lis - -
5,000,000
Floaries Corporation:
Federal - - - of Fulder Weeks,
Direct aperatives, expenditate a F. C1
- -
Administrative expenses
(P)
(M)
com
- -
avo.000,000
$5,000,000
Assessed Budent under this litle.
- - - IN
67,000,000
- -
7,100,000.00
Other independent effect and understand Items:
I I I
R,000,000
R.300,000
General
- -
8,000,000
62,000,000
Energrage
131,001.00
185,000,000
I I I
SUMMARY
F
20,000,000
120,000,000
81,000,000
4A.000,000
-------------------------
1,800,000,00
- . -
Total, de not
1,00,000,000
Endoral Few -
171,000,000
- -
Forms of metita, debut,
-
(N)
3
Expenses paid from organia has
Expenditions recheded air "Mare and - atem.
diministancive instaled is for den alove.
1 I $ I I 1 I I I
Administracive expenses to direct specim.
a I / ! / J E I / I
Regraded Uclassified
THE BUDGET, 1038
ENTIMATES OF APPROPRIATIONS AND EXPENDITURES
A35
STATEMENT No. 2-Continued
STATEMENT No. 2-Contiound
ESTIMATES OF APPROPRIATIONS AND
ESTIMATES OF APPROPRIATIONS AND
TMI - - 11000 given - - and form allustions of prior your appropriations
of
EXPERINTERES
EXPENDITURES
* HENERAL AND SPECIAL ACCUUNTS
Appropriation
-
-
34m
TAIF
- of
-
!
!
Estimated, -
1 LAD AUTHORISTS
- -
Excessed HAT
Annual, FREE
-
-
Entimated,
4mml, -
GENERAL PUBLIC WORKS
GENERAL EVELIE BURNS PROGRAM
Department of the
National Park Service
-------------------------
$43,000,000
$45,000,000
Roads and trails
T villey AUSTOMER
$1,000,000
$7,500,00
-
12,006,000
the This
1,000,000
02.173.000
8,00,00
1 I I
Total Varimal Put
10,000,000
11,000.00
5,000,000
- -
-
-------------------------
123,600,000
SHARE
I I I
Durner of Affirm
- -
epirma
207,400
- - - -
-
8,000,000
200,000
Construction, triestion -
1,900,000
1,100,000
2,400,00
1,180.00
550,000
-
Each
1.000.00
1.300,000
4,000,000
13,000,000
3,000.00
4,000,000
7,000,600
0,200,00
- --- - -
14,000.00
Construction of
L006,00
1.00.000
153,900,000
21.000,000
Thank
Total Simin # fills
4,380,00
4,000,00
AMOUNT
- of -
at. - Repital:
- -
whip
25,000
20,00
250,000
12.00
LIEM
- - et -
y
--
347,000
1,000,000
11678.41
Bestings and grands
36,000
--- -
Total, at Elizabilis Hospital
380,000
ARE 000
125,000
- W TM
- of -
That, Department M the
24,300,000
- - - -
- -
1,200.00
1,358,000
1,400,000
200.000
Department of Instite:
- - NUM -
1.208,900
1,200,000
700,000
sell - - -
-
21,000
-
2.20.00
----
- - - -
20,000
00,100
100,400
- Come - -
1,008,000
700,000
100,000
Department of
I I 1 I 1
1,000,800
1,000,000
792,000
International Commission. L'atteil the ent
- - -
25,000
135,000
2 1 I
---
20,00
Oranda milliation -
100,00
---
- - -
SALAD
---
20,000
-
100,000
300,000
Lowe Bis Oranle motri project.
1,500,00
1,000.00
PML/MI
I I I
31,400
350,000
a -
1,300.000
Law.m
- - -
----
36,00
£72,100
340,000
- 1 I 1 I
-
LIELING
Total International Bankey United
- - -
-
130,000
Date and Mim
- -
1,100,00
-------------------------
- -
-
---
200,000
billing band
- -
MUSTIM
1,000,000
- - -
1,000,000
140,000
790.000
-
Tital Department All -
! I I
2,00.00
-
1.00,00
-
-
- - -
100,000
26,000
-
:
/ à I I 1 !
-
Treasury Department:
que
- -
0,000
Street sell - listimps and Mag - - -
---
281.000
É
1,100,000
2,000,000
300,000
8,000,000
-
--
000,000
$3,00
Pakie belitings, - - Dates if
2.00.00
50,000,000
30,000.000
36,000.000
$1,000.000
Kee Twic N. Y. Unit Claimi For Offs
-
Public buildings, if Columbia:
I I : 1 del
ASSE beliefung, Grand Printing Date
200,700
200,000
1,500,000
1.880,000
I I I
Additional Durse of and Printing
1.12,00
1,30,00
1 00,00
= 200,000
1,300.00
-
I I I
11.00.00
13,000,000
1,28.00
the Anmailing Office
2,000,000
17,000,000
classe
Ref Department fisit/ing
1,00,000
1.000,000
---
TOURS
000.000
---
the T EL NW
20,00
.
38,000
DATE - - end
Total Treatory Department
41,111.00
- - -
Publicas
12,097,000
Mar Department
- - - -
of three lettin
11,745,00
-
LITUME
/ I
Plad Centrol 4ct, has if -
20,000.000
30,000,000
I I !
tanon
26,000,000
Fac - Nameri liver
11,000,000
15,000,000
20,000.00
2.000,000
THE War Dependent
--
135,134,000
23,769,000
-
-
- - - -
True, Fulse Virto Phone
D.M.N
-
aama
-76,18LR
- - -
a
Inlance
7,200,00
----
-
SURRES
- - - - -
19,06,00
Regraded Uclassified
THE SUBGET, 1938
a
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES
A37
STATEMENT No. 2-Contiousl
STATEMENT No. 2-Continued
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES-Colond
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES-Cted
- in falm - from pie pur appropriatede and from allositions of prior gear appropriations
Extinate of
EXPENDITURES
- - - - - under - et IND as Aspositing Arbede No 2-A)
4. HENERAL AND SPECIAL ACCOUNTS
commission
Appropriation
iss
-
Tax
Edmail,
Edinatel, -
And lice
EXPENDITURES
1 -
-
I
-
-
the
DEPARTMENT or
1
Enimalet
Extimated, AND?
Extension Service
Payments M - Hamil and Alaska - -
REPARTMENT or
un - - of May x
-
1:30,00
$1,100,00
-------------------------
Personse to Haten, Bowell, and Alaska for spicitual ins-
- "
- work (art of Mar #2.
- -
-
$150,000
L 90,00
$00,000
1,68,00
1,400,000
Lemo
I 5 I
--
10,00
Payments - Reles - Flawell for agrinitions - work
125,000
lad el Part a. -
11,08,00
2.00.000
6,490,000
6,000,000.00
I I 1
--
Payment M for agrinalized -
IMM
1 1 I I
0,00.00
03,000
11.000.00
0.00
-
-
15,40
-
15,000.00
---
Additional operative elisia work ne of her
IL NOO
00.00
730,000.00
-
aw
----
00,000
1.005,000.00
80.000
---
780,000
570,000
In sil, paymenta 4a and to upint-
- - Mr. - -
sual -
12,072,000.00
- - - - MI - -
- ad Extentes Meria
- -
ame
Owni administrative -
min
12,688.00
134,000
Association misk
MAAN
MOTOR
$47,388.00
$30,000
- -
a
-
Motion platoma
79,000
77,000
T7.1M
M fairs
68,000
11,000 00
BL001
ACIRO
---
MLYVE
--
596,000
BLDED
firm tomiry
a.e
65,638.00
40,000
60.000
MMS
- of - -
! e I 1 1 i
Es all, size - -
WITH
895,000
---
-
---
---
-
198,900
- - - - -
645,000
- admis, - emergency
1 ] 3
was
--
COLM
Issue
198.000
Wind - company religf.
Indian
Formant quite appropriation
- -
Compensive agrintional estration work
--
4,100,200.00
- - - - # -
---
THE
----
20,001.00
-
ARe
---
and, 000
--
Ental, -
17,000,500.00
If
Two, emergency
SALIP
- -
1.00.201.00
1,243,000
1.208,000
80,000
Treat,
18,400,877
----
- - -
lasse
-
1.10,2018
1,340,000
1,200,000
----
Weather
Friends, - M -
Relation and проик
$ I
Company expenses
JALAR
(36,541.00
190.000
--
130,400
155,000
100,000
United walter emis and -
1,207,800
= 20,000.00
- invoiced -
Material station, valiers Mentana
&
10,000.00
2,200,000
I
-
protective
3
- MAIL -
-
Amlogy
1,49,000.00
1,300,000
2,491,98
1.10.70.12
I
---
---
72%
Thin, 000
name
Improver - (any/yy) niw
11,000.00
- -
-
importants, emergency minging
nas
790,000
LOW
- -
---
Pressi imprements, merging rependitives (N.I. R.)
imasa
=
-
smart
- pass, mingrary (N 43
-
3 IN !
-
-
-
-----
- - - -
:
50,000
----
1.01.254.00
4.00,00
I
are
time
16,000
11,000.00
Twal comprage
- -
-
70,000
54,000
---
Total Westing
CHE
terms
4.00,00
comma
1.60.00
- - - - - - -
1,000,000
to "Gemral - - and -
uma
------
- -
5,241,300
5,813,000
-
-
-
were
160,000
100.000
-
59,000
09,000
en
SUB
---
20,000
=s,000
place
Time - hid - et
Whise
caso
5,345,000
Re
---
1,000,000
800,000
gm
-
Regraded Uclassified
THE HUNGET. (0%)
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES
&39
us
STATEMENT No. 2-Continued
STATEMENT No. 2-Continued
ESTIMATES or APPROPRIATIONS AND EXPENDITURES-Continned
ESTIMATES OF APPROPRIATIONS AND EXPENUITURES-Cntind
EXPENDITURES
Entrade of
EXPENDITURES
- -
-
A. ORNEMAL AND SPECIAL ACCOUNTS
ADDITIONAL
I
X
I
1
Eximated, =
Extinated -
-
SWIT
-
187
-
DEPARTMENT IF AGRICTLYER
DEPARTMENT OF
- - Idultre
turni
- - -
102
10,000
$17,000
name ml expense:
I 1 I
--
nma
--
776,000
72,000
l'ingrai expecies,
$0,000
--
BILTEN
-
came
31,731.00
25.000
Winn
expires, -
- -
100,000
1,44,00
as of Misi
-------------------------
LIAMS
31,000,000
40,450,000
- -
use
DAL INV
Rule PUM
00,000.00
20,000
5,000
-
AM
FLOLD
198,000
195,00
- the
--
19,000
UNITED
1
mai
-
131,07.0
PLAS
EXPRESS -
--
insure
00,000
00.00
53,000
04.000
1. I I
same
500,00
-
141,000.00
200,000
1
the
--
---
one
---
1 I I I
+15 R
Fibel
20,00
290,000.00
230,000.00
240,00
---
of -
Find -
01,268.00
70,200.00
K.KE
ana
1 I
- inform
CM/148
126,000
-
BLIN
---
-
are
88,000
more
reviews
14.90
I I 1 : I
- - company may
8,800.00
N - - - -
01,00
ILD'A
- - - -
W.00
Find - -
0.00
- ent MAIL
-
- -
80.00
Less and is spinked addestion, -
i 1 ! | !
my expenditions
P.MON
- -
---
PRICE
Pub - - before, mild.
a
7,60,00
LIMITS
LEAST
LEGRE
! I I - I
Commitive Carding of ask
30,579
18,679.00
-
09,186.01
---
3,600,000
-------------------------
under
all Milliad Invest
2,90,00
-
Remail A
of lands de 2004
- - -
Anvoice et landik is Cista and - Named
30,000
25,000
- - - -
ENG
68,000
62,000
BLAIN
deplares w low line reprose mind.
- -
+000,00
car
525.00
-
- - - -
MAIN
a BAMA and Terminal the the bulled 1
Pa - -
fund - emplo
WILD
000,000.00
-
I I
72.00
to - two trums - New Mexis. =
---
198,000
877,000
I
timal Brents fist -
30,000
51,080.00
36,500.00
20,000
31,000
and - le - Imis med I
- - - - -
-
CAN
---
-
117,000
-
400,000
336,000.00
373,000
-
et
M insured dirports, nacimal Prestant
- - -
- -
This -
13,116,08,00
13,308,000
2
19,200
with
88,000
Time,
1,300,000
-------------------------
-
---
40,00
6,40
70.00
I # I
---
74,000.00
TA,000
MAIN
-
Tva, - -
20,200,000
ane
} H 1
$10,000
---
the - - -
MISS
---
00,00
60.90
MMD
Fill
of Christry and
- -
---
C.O.M
0.00
n.m.
aiso
Visa
have uni Nome:
-
nime
mass
17.90
20,40
in
-
-
BALE
-
BLVD
---
- - -
are
2,000
0,00
3,00
AM?
- - ortigations
50,28
---
--
280,000
IMAL 900
307,447.29
I
Name
30,40
Cale
:
(*)
-
- - -
sure
20,90
38,000
-
individual of tro potion not
21,18
200,000
175,000
---
- -
LIMITED
loves
LIM 000
List.000
LIGHT
Fast das
ume
una
0,40
3,00
nee
M.M.S
I'm at explaire deta
---
52,300
a
MIDD
- -
cure
the
$1,000
-000
aive
frand -
0,00
80,000
76,00
amo
I / I 1
new
34,000
une
- name
201,26
---
39,000
296,000
- Itemial at planical
7,00
3,00,00
71,000
TLAN
- -
--
-
-
24.00
an
45,000
are
lie
20.06
20,201.00
20,841.00
26,000
38,000
20,000.00
J
suma
now
20,00
:
300,000
more
-
uma
ROM
-:-
15,180
IL 000
Tel. 1
-
LEARIO
LIS.OLM
LONGE
1,264,701.04
- -
and
---
us
45,80
/ I /
45,000
come
Cas
-
70,000
- -
07,000
Rive
Plassi were condivo de LEI
name
-
BLAS
170,000
(78,000
Any means (N)
USP
ROLE
---
====
0,00
--
I
cas
ins
time
60,00
115,000
Inc., PROVIDE
I
I
M/TR
cas
ane
I 1 I
RE
135,000
ICEA
THAL di "houldry et -
1,00,10
LIMITE
LEEGUE
1,43,00
1.00.00
RCE
120.00
CR,ME
- BY
AM
are
2 I
-
-
Lime if deluit.
UNDER
case
Extains if la Ohe of the limitary.
CANCE
4,554,000
4.04,90
(SUMP
I brinde Kelasi Event bente Centre
- Yoking
am
AND
i Trankeyst be "Mi - part # DUE
cana
, - - -
UNITED
COLOR
under "Intemal within of luni pridata at
una
Aprilizal in ed explains suu."
, - - to - - - CLASS
- as like - May - - - - - - - - that Bille how los 1AM of - Duty - MÁ
- - - Mining - - la - - - Direct - - - le - to - name to "Comé one and -
Regraded Uclassified
THE BUDGET, 1935
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES
A41
STATEMENT No. 2-Continued
STATEMENT No. 2-Continued
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES-Contioned
ESTIMATES OF APPROPRIATIONS AND
EXPENDITURES
- of
-
Entraise of
- accounta
1
K
I
x. GENERAL AND SPECIAL ACCOUNTS
Apprepriation,
1
Extimated -
Extimated, DE
- Fase
-
NIT
Jais
Extimated, trass
Entimated, -
Annil -
DEPARTMENT or
DEPARTMENT OF
- of - and Plant -
- all Biologinal Survey:
- -
100.20
para
para
-
mularies - -
Geternal administrative experience
$115,000
-
$70,005.00
$136,000
$4,900
$1,500,00
-
murprise -
- -
--
---
---
290,000
----
Food bahita of and -
TLMB
num
66,000
--
-------------------------
criss
$18,000
Production of r-bearter
48,000
17,412.00
MILLO
41,000
37,000
I $ 1
I 1 I 1 1 $
Belogiest -
14,10
186,168.00
131,006
137,000
112,080.47
- -
Control of productory - now
158,100
--
-------------------------
185,000
--
-------------------------
---
-
Protection of migratory himia.
315,806
306,000.00
- - -
205,000
:
-
11,400
sime
Enturnement of para -
12,78
19,78.00
KMW
130,000
130,000
-
- - -
Maintenance - and Mard reservations
450,00
435,000
015,000
81,765.00
--
---
---
31,000
48,000
---
- - - -
Upone Missing River
11,200.00
23,000
and
! I 1
Runer trignatory - -
PO
17,182.79
- - - -
BLAND
Migratory Mint missin
The
76,000
---
i 1
--------
Physical - IN # #1
i 3 I I # I
Migrotory bird - not
0,000.00
E
421,400
425,900
I&DLD
IM
Commission of - - relixé.
7,200,000
- - - - -
- may -
- -
--
---
HOLD
186,000
HOLDER
your
-
- - - -
Terminant
and
Pagments - - Ministry Dat
- - of - + 0- - -
Art.
7,58
LMV
1
7,800,000
Miessury Hrá - - Opportal - (MI
- - - - -
Mar. 14. (SIM)
Ed
(si)
1,20,00.00
200,000
----
220,000
-
F
-
serm
-
$15,000
325,000
-
Total, prement
-
2,345,000
2,417,000
- - -
Total, energency
(
-
- -
-
same
296,000
$48,000
Total, of name,
2,341,000
K.241,400
- - - - -
-
-
-
---
$15,000
238,000
24,000
Büren of Public
- - - - - -
Above of Party Donda, expenditares 120 I. ILI
7
MITLE
Pulle rependitive in W. AJ
- - -
1,000,000
Comparative - rund gust reside
2.100,000
CHARGE
- - -
--
----
----
FLAX
96,800
name, advence No State, -
- -
200,000
200,000
hand - any AMV)
I I 1
--
---
---
20,000
23,00
- - CN: A WJ
1,000.000
-------------------------
- - - -
-
Matured number - Aunt AN 1890.
1,000.00
- - - -
relief Last May er. (AM).
1.100.00
13,000,000
-------------------------
- -
--
-----
----
- - -
190.000
1 moving - MY, money with
-
- -
1,400,000
CALIFORNIA
And an - und miss
4,708,000
-
-
Public - expendations (ant June 18,
140,306
- una Applement, restruction Dr. BL -
I I I 1 I
[
--
July #1, -
11,00
HELAM
- - -
Date
---
20,000
274,200
FLOLD
Public family company OM. 2.).
115,000
-
- -
----
I
1,00
188
Birth related mary expendition CNC All
- -
no,son
Minut Vens Memirial
70,00
-
-
-
-
74,300
--
within Medical 1/9
N
--
main
-
-
148,800
Find relid. Gengie end - Carolina, - of -
I
123,000
INCE
end believe
I
-
12.000
find Missippi, Commissions, and Address, for
-
-
---
-
-
- of resi and
ULUR
65,100
10,000.00
- -
-
----
248,000
10.00
148,900
Vermunt New and for -
I 1 1
---
---
---
dere of reside and
10.00
17,000
--
-
70,000
---
I 5
11.00
-
--
-
Final THEME Fimin, - restors/ins al reads and -
---
0,00.00
21,500
--
Total, assumed
1,50,00
1,000.00
come
I / J
-------------------------
-------------------------
443,000
-----
Twell
-
F 1 I # :
Total si Palate Ind
(18,20.11
---
/
- - of was
---
- - - - sad - - part of "Coper Biver ntas"
-
- - with - number ant bird
M - - - , (a) Appropriation Regal Ant. min as - -
1
---
6.213,200
I 3 I I I I
--
time
5,113,800
BUILDEN
Regraded Uclassified
THE SUDGET, 1938
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES
A43
STATEMENT No. -Continued
STATEMENT No. 2-Continued
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES-Contimed
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES-Cted
EXPENDITURES
Association,
I
Extrassion at
EXPENDITURES
-
-
-
1
FRM
was
Attal,
A.GENERAL AND APECIAL ACHIVITIVE
I
(WIT
IVM
Enimed FEB
-
- -
REPARTMENT or AGRICULTERE -
DEPARTMENT or AGBICELTERE-C
- el Applicational Engineering
- termines
- and -
50,00
$2,400.00
E--
$17,000
$2,90
- MI
- - -
-----
--
05.000
400,000
form - -
Ene
$175,000.00
$40,000
- - -
M - related - investigation
2,00,00
UNITED
came
1 i
19,20
43,200.00
-
427,000
- et - - - -
-
----
- - - - - FREE ALL
/
First points -
-
- - - - IM 4/1)
IMMI
- investigations
8 i 1 I 2
17,900
provider. - LN. AO
- - - -
7.6.8
- represtion (P. IF, 43
---
company -
—
any
- - number relief
---
- - - - -
10.20
-
657.900
462,000
Time,
35,000,000
-------------------------
77,435,00
LOUNG
- - - of -
1 I :
Team - Commission Service
---
-
I I I
20.00
me,000
24,000
mase
- -
--
767,000
251,000
-
Conservation and - of agrinultural land -
-------------------------
-------------------------
mare
America - - Name: -
-
26018
49,000
TML000
. - -
--
---
41,200.00
00,000
588,000
1 ] T I
-
28,100.00
50,000.00
266,000
20,00
20.70.00
law - mind is - - -
I , I I I
--
69,000
271,000
1
--
— -
--
268,000
20,00
New - you Ley operations
- - -
de
1,670,000
1,000,000
- - - -
-----
Issued man - represent IN R.)
and
180,000
138,000
- - - - Trebal
Equipale as - = Executive production
- -
9,24
21,28.00
BL-000
- Della
BLOW
85,000
80,000
SHD
I I 1
--
Invoice if - Department -
E
il
10,000.00
---
8,000
I I I
C.BT
17,187.00
12 000
- - - - - - - Just a -
I I I I
17,000
THAT
---
- - w (R. Γ.
-
nos
1 I I I i I
50,00
25,00
--
withle (mile,
W-48
I
- - (M. *
-
- - - College - -
imm im DU Issuer:
30,000
-
— M
--
07,111.00
67,111.00
- in -
- - - - se
IK.00
48.000
Anumal - am
area
1,000.00
I I I I =
20,000
73,000
and
Prints never
I : ! I 1
12,00
20,000
-
==
2,000.00
and April -
25,000
36,000
BWN
- -
I " I
-.-
$10.00
Voter And
- - - - - - - -
4,161,000
And - -
1,000.00
1,412,000
THE - - -
I
Knime
Letter
STATE
-
ACORD
72,000 00
14.04.2019
2,460,000
LOLIMO
the all Maria -
Tel. -
J.A00,000
- - -
I I I
THANK
25,000 00
ande
---
Name
una
line
x
-
ILNE
-
10,00,20
190,000
16,300
was
forms 1 est -
- - -, - -
--
2019
10.00%
200
20,001
Tital
---
45,00,20
J ! /
2,860,000
--
mass
I
01.00.10
Information our times Finance kre - - in
20.50
1,488,200
male and deb
+101012
change -
Expenses
THIL may
anos
Mas
- and Box -
18.000
nell
14d Department el estain a
- - -
from
are
146,30,778.00
ages
/ I I 1
/ : I
1.00,00
are
-
100,000
HER
Now - máis, detent
- -
an
Liene
sma
(Mo
" of is instructal AM. - - HA - end - - -
LEAR
- - is
34,56
nme
no
44,000
n.m.
il insure una a 0,00 - in Supplimental Approvement AM Rest your - - - end - - server: de Name
/ E I I
--
---
3,80
24,000
- mas Tuti wine under within of - è of la est of Apr 5. - (II Blut, FP -
I 1 /
-
28,00
30,000
- Entern - nur instituted is "Tent Ama times
- -
9470
18,201.00
9.70.00
n.m.
R.O.
and
- in - la not of the foods made - N - ay - a of all a Ave. A. - de AM - - - -
Home - - due
-
19.000,00
3,80
X,M
:
time - - - before - the if period in - is of - M of the is - - cash for - pm
FINA -
- la -
-
1,30
1,00
is
am
- la - - and the of the - english sale Iss - "Purses an - - - - - - - yest
3,000
I
2530
2 / I
100,000.00
THE - - ---- be De - THE
LALIL#
LINE
. . titure of par you - is IM - if la de
ins
el prior per application la the of DUM for - -
TITLE
LESS
Regraded Uclassified
THE BUDGET. 1938
ESTIMATES OF AFFROPHIATIONS AND EXPENDITURES
AS
all
STATEMENT No. 2-Continund
STATEMENT No. 2-Continued
ESTIMATES OF APPROPRIATIONS AND EIPENDITURES-Contimmed
ESTIMATES OF APPROPRIATIONS AND
EXPENDITURES
This includes expenditures from prior year appropriations and from allorations of pin par appropriations
business a
- Balks reported - expenditions so - - the - FRA limits to income No 2.A)
ACCOUNTE
-
(BII
-
in
humant, -
Extinated, -
- -
Extremies of
EXPERIENCES
A. SENERAL AND SPECIAL ACCOUNTS
appropriation,
Appropriations
-
INIT
Be
DEPARTMENT OF -
Entimated, -
-
Miniment Administration at The n.m.
DEPARTMENT OF COMMERCE
- PUP
$1,000,000
$7,800,00
---
- -
Remitary's attress
- - -
1,000,000
97,990.000
mais
fulicies, USad De Supetary
$20.00
$ 10,000.00
$60,00
$16.00
BENES
- - - -
a of del Number (N) ALL
- of - PO
- -
-
125,000.00
12,000
payme
f
1
- - - - - -
--
- - Head,
(LIME
Promise - video
--
-
-
-
1 - - - - of -
- Committee, - Provider
04,000
- - - -
- 12,000.00
1
Total -
1,000
--
----
1,000,000
-
-
Time, -
(1,000
LIMITAD
-
QUILE
1.00.00
-
CHINK
- - - - - - as
Total -
-
----
1,000,000
====
- IL -
-
- la - - - - -
Federal Emglisment Stabilization Office:
AVOIR -
---
man
Base ad -
CBLD
- - - - -
---
1 1 I
A
20,000
am
Burneri of
Impartment -
:
:
-
-
---
----
LL.00.000
-
-
420,000
3 I I I I I
et all -
+2,000.00
--
E
174.00
-
-
---
(7)
(- - - -
---
-
12,000,000
157,610,000
- signature MJ
60,000
- -
VALOR
76,00
(P: A3
34,000
-
3
----
----
----
-
Total primal
---
--
----
ARM
2.00,000
This -
-----
I 7 I
-
FRMS
-
Total Burnes of ar Commission
LOLAR
E [
Burse of Purvigo and Commer:
- - - - - - - - available la this purpose
Balance, - of Funder und Common
328,800
--
2000
---
Promittag - - Tange - -
00,000
440,000
$44,200.00
60,000
400,000
- in Labin -
TRE,400
182, 00
HAL 000
Promite nones to the Fur Eart
12.000
130,000
114,800.00
122,000
122,008
Promiting - in Aftive
-
-
20,150.00
---
0,00
---
Diamit 4Nd registrative - sevie
23,000
EX,000
271,000.00
Extensed al the Casa Title to
1.00
8,000.00
0.000
---
Expers
07.90
-
1,000,000.00
03,00
--
---
- no
226,500
28,800.00
24,000
204,000
Complia trule station
234,806
BIL 000
120,000
--
Lice a Inigi biges,
10.00
47,900
43,000.00
43,000
42,40
---
Investion of formiça crub recridions
18,200
05,200
95,200.00
96,000
96,800
Tranquiration being and de of un
---
81,000.00
25,000
---
times for prom. finings - advive
10,900
107,900
196,490.00
101,000
100,000
Emip inde too
20.00
86,000
48,000.00
20,000
70,000
Internal -
300,000
- - Jor and
almini - não,
80,000
pay states
-
Total, promit
1.00,00
1,627,490
2,412,000.00
2,173,400
1,00,00
Two,
80,000
THAL st Temp and Company
1,612,900.00
2,000,000
- 0.20 - from of AIT
Toute $63,700 transfered hum of $0.00 me of belief, -
ass in and BLZX instruct to "Suaries, Office of of
I Indused in "All factilities
$30.700 trantamed a "hare, Burnes of Air
I Entade $21,00 la of All Commer pers to and - Wastern - and plan transfered la
Cherta, Court at lovey
. BILAN trademe) to of Le
Intuie tue insuland Inc. "Lat of term."
I
la at - - it Miss, - en the Department at Use time - AM and - una
Title No - tradement to Enterned - Use China Trade 46"
Regraded Uclassified
THE BUDGET, 1935
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES
A47
STATEMENT No. 2-Continued
STATEMENT No. 2-Continued
ESTIMATES OF APPROPRIATIONS AND
ESTIMATES OF APPROPRIATIONS AND
EXPENDITURES
- If
-
AND
-
2
1
- a
EXPERINTERES
1
Intrual -
Extinuel, IND
4mg, -
4.
-
HAT
-
Eximuled 1000
1987
Artual, nos
DEPARTMENT or COMMERCE -
DEPARTMENT OF
- - the Eyes
- - -
name
(SAIT and Geodrile
- - - - - -
3.00
2000
Allen
- signature
---
$50,000
$34,000.00
$45,000
200,000
- I 1
SALMA
1,000,000.00
20,000
Eyend - - I DEL R)
ao
- - - -
*Us
class
00,000
Expenses of - - -
46,000
- - - - -
smake
1 provide
2.00,00
200.90
1.04.30
-
10.000
418,000.00
THE -
1.30,00
218.00
20200
2,212,00
- reviewers
-
1 Cost - - Sever
--
Ima
---
1.111.00
! j I
2.50.00
Salma
2,172,000
6,402,300
come
Bureso of
- de
ML/2006
M - MIR
relations have -
I 1 I
10018
= 00,00
Like
Progium of - filles
191,000
197,400
-
-
- - - OXEL or
- - - - - consitions (N LES
1,500.00
Y I I
170,000
100,000
-
128,800.00
- - , - - - -
HCW
====
- /
1,22,1900
128,000
137,907.00
reperting - like - (N.
28,400
- -
Patery -
----
53,900
----
-
62,500
36,113.00
- -
-
-
THE
270,000
and
Alexa, general anis
190,000
WT8,000
-
THE 000
- - - -
-
-
---
190,000
-------------------------
- - -
THINK
14,504.13
TAVES
Entrement of Mark Fair Lew.
12,000
18,000
num
OTH
--
Manager M MIA - Fab Belope
18,000
15,000.00
0,79
TT, NO
13,000.74
1 - I
-
- . - -
INCome
Company Marketing Art
12.500
13,MKG
13,200.00
(LIM)
ISSUE
DALIME
if - Whaling Treaty Add Benefit of
I : = I
I I I : I 1
7,50
-
Fuberta
A, 200
Commission of - (M)
more
an
diservia -
da,oso
investigation
2000
34,000
00,000.01
Two -
1,150,000
F,30
Twist, mini
1,400,00
1,652,920
1,364,200.00
1,882,000
1,807,190
THAT -
WT,000
I J i 1
1.000,000
1,195,000.00
1,473,200
USED
- -
Total, Burner of
1.00.00
COLOR
1,564,200.00
1,682,000
1,004,150
1,000,000
- - -
-
PRINE
13,000
122,000
was
Paint Office:
- - el -
2,400,00
8,300,000
3,420,000.00
1,350,000
2,200,000
4,192.00
MEMIT
- - -
1,440,300.00
Enteries ent -
1,80,46
LOURN
-
1000
---
200,000
200,000
28,000.00
198,806
133,495.33
T.M.MM
INVOICE
- - - - -
---
-
BLOO
15,188
50,000.00
48,900
44,000
- - - - -
-
are
-
-
545,000
Printing und litting
-
1,005,000
0A000
I F de
---
deposit -
2014,702.00
R.M.
I F i
40,40
10,000.00
! I i F I I
Total, Palent Dia
4,812,000
4,000,000
4,715,800.00
4,538,000
4,200,000
I
TO
une
É / 1 I I I
- - - -
-
41,122.0
United States Shipping Board Burner
Balarias and experies
245,000
201,000.00
37,000.00
Internets and dates
22,602.00
---
I
1,00,00
are
las had faperial
- -
license
10.00
LESS
Minim Time Corporation upetal -
-
! 1 I I
are
more
DE
More
-
Additional not and chacks last
BAUR - -
11,00,70
Bill -
THAT - Rest
20,000
2020
+ 2,000,000
Field - - - - -
- - - - or
Mi,sel
-15,00
-
- -
un
Tum a mille
/ I / 1 to
Come
-
17,000
-
M. Initide cue - Mission of caription of Alt Cream
- - -
---
-
c.se
-
ii - has of more respecting but Meil - minutent - - Burser of
----
AMIN
herry
- -- - - -
--
N ne - - - Now of
# I 1
-
mas
--
- treatment - Rami at
1 4 ! E I
--
Film
---
71.00
NO.00
76,400
N.W.
Tradend a the D) . Cummisio OIL - - - personal - the - -
Ins - - -
MMS
no
SEALT
- M - w/ - - - is - of MING, - -
LAW
-
Regraded Uclassified
THE nubset, nos
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES
MO
STATEMENT XII, 2-Contioned
STATEMENT No. 2-Continued
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES -Continued
ESTIMATES OF APPROPRIATIONS AND
The elaiment includes appenditives from prior por appropriations and from allications of - - dypupriations
EXPENDITURES
-
-
-
- is indes - - - - and miel. - the at birth is - 3.11
Amounts
1
HR
-
Extimated, -
Extinated, -
dow, -
EXPENDITURES
-
A. GENERAL AND SPECIAL ACCOUNTS
-
Appropriations
Appropriation.
in
-
-
ENPLOYMENT complete -
Extirment, FRM
IRIN
-
BURN
-
nma
DEPARTMENT or THE INTERIOR
1
---
I
na
other of the Benetary
Office of the 4 the Interior
-
----
--
name
es
Rien
of of the - aprillion (A. #3
-
1800
1,23.00
Offir a/thr marging rependitions IF as
no
THE AJ
3
sma
el -
200
234,500.00
---
--
Division at Territorios us Identifi Promism
58,766.00
---
04,000
-
with
Division of and Salated - There -
---
---
$0,00
amss
Increase relief,
E
R
-
-
MMA
+6,00.0
# Territories end Island Pressures, emergency expends
-
06,000.00
- (M. 2.
-
-
---
Inview of Investigations
1381,790.00
$30,000
amount
I of expendince CAC e
E
of
I I |
not -
---
120,000.00
--
Earn at
----
-
Custinent express, Dependent at the Enterier:
$4,000.00
-
100,000
10,000
UNITED
Provide and Melins Department of Che Interier
213,000.00
--
--
---
-
a.-
am memo LM. F. RD
--
---
2018
Administration expense, nied
Pentas und - of and - being
500.00
680.00
000.00
-
-
-
Personal appropriaties:
to Rate trans - Greating Ast.
000,000.00
600,000.00
--
Total, pent
1,071,000.00
--
1,440,000
Twice current
imas
Tital USe - the Secretary
Commission of Plus Arta
12,000.00
0,750.00
----
10,00
0,70
Mount Nushmers Nailenal Memorial Commission
-
--
---
Gesrge Begres Clark Requiremental Committen
58,000.00
1
65,000
----
Purry's Vintory Memorial Commission
a
4,000.00
IRN
Progre l'intery Memorial Commine, - expensitive
4,000.00
1.00
Telal Parry's Tiday Memorial -
Primbum Administration
300,000.00
20,000
Petrikers
01,120.00
Admission, energency
Petries ADDITION, mayong (N. g. A.).
-
Fetning (P. 9, 4).
TAX
30,000.00
-
20,00
Ted,
Two -
200,000.00
---
--
National Rembers Cost Commissions
000,000.00
433,000.00
340,140
et expenses
Office of Consider Custal
90,000.00
44,000.00
25,00
Two pumi
$40,000.00
Address > provided, out derical press, -
21,300
AND
may condition
Total, National Cod. Commin
100,000.00
448,000.00
101.00
Har Belief Commision
30,000.00
11,400.50
16,000.00
2,00
am
and
-
Payment of and were -
Total, We Minesia Salal Completion
26,000.00
11,000.00
115,000.00
--
20,00
mme
be if mlis, detail.
, Untigied of - le - EXTR
I Unitiqued Inluss of = a and e.m
Tupither with of compated
to National Tut Arria "Tistinal alitary parts, - - -
Regraded Uclassified
THE BUDGET, 1839
ENTIMATES OF APPROVILATIONS AND EXPENDITURES
A51
STATEMENT No. 2-Continued
STATEMENT No. 8-Continued
ESTIMATES OF APPROPRIATIONS AND
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES-Conted
EXPENDITURES
- el
-
Entime -
EXPENDITIVES
00016
HD
-
-
Extinated, 1309
4. GENERAL AND SPECIFE ACCOUNTS
Appropriation
FAIT
Aving -
I
ist
-
Email -
Eximent -
ARMAL -
DEPARTMENT of THE INTERIOR -
DEPARTMENT or THE
summer Mail -
---
para
$287,000
BASA, UND
number of Indian
- -
mos
- -
-
---
12,800
13,000
MP vale
-
$5,00
---
N.T.
Compation and -
--
--
-
Indian, Endire reservation, -
use
111,000
120,000
---
more
- - - ped. -
*case
- - -
77,800.00
60,000.00
70,000
72,86
- UV. 1. B.1
430,000
-
--
----
this time Ana
- -
128,000
30,000
200,000
aue
ma - merrative Anz, representative (M)
- - - - - -
-
4MM
zas.e
LWLN
2,00
END
E,ouo
12,000
780,000.00
are
- Arts
- el - - - - - -
17,000.00
ama
36,000
36,000
-
-
3,000.00
8,000.00
New - everyone organizations
15,000
2,000
--
- - - - -
85,000
---
- - -
-
---
Navame Emergency, Ann.
---
-
---
-
-
-
-
-
- information representation IN, / #:
LIM
-
-
- Years - product, Articles and Call-
-
---
-
Expires
2,260
15,80 00
$1,800.00
50,000
15,00
734.95
i
1 I
Pue hive product, Die - Cale
LEIM
- - - -
Tut Hall -
61,000.00
47,000 00
47,000
44,000
- man
Funt not - company
148,000
KPLW
- - -
Fort. liservation, Mest
12,000 00
19,000.00
19,000.00
10,000
20,10M
: I
Evit This Must
10,000.00
10,000.00
10,000.00
3.752.00
15,400
46,000
- - D
LOCOLE
Reservation, Mast
137,000.00
123,090.00
148,000
130,000
-
1 F I 1 ]
Mard, importations
- - - -
i
KM.
$12,000
----
LIQUI
Crew Exerration, Mist
-40,000.00
40,000.00
6,000.00
20,000
29,000
Twigned
Palitte Newtable product, Seriala
12,000.00
12,414.00
44,908.00
1.00,00
⑆⑉
-
11,043.00
I
1,000,000
uses
Laesma units EFFIRMA, New Metion
194,30
700,000
-----
project, Name N. Mar.
20,000.00
25,000.00
caso
18,000
18,000
9,000.00
- F I
project, Name Exemation, N. MM, mind -
DRA
4,290,000
Lase
(M. 2. AL)
--
Borren of the
Ris Urande project, New Media
1
-
-
Fraitlents brigation Name - N Mas
£7,000.00
18,000.00
32,000.00
12,800
0170 00
17,000
- - -
400,000
ming (X) I RJ
0.00.00
I I I 1 I
Opention and Indian Inds, Middle E
----
---
Grande Conservation Duris, New Main
11,200.00
11,290.00
11,36
a
0.00
0.00
THING
2,400
-------------------------
United projida, Elemath
----
---
100.00
100.00
1,000
2,000
LBC.11
I I
-
--
prijects, minum (N.L. n.)
BLUX
:
en
-
quien, Years Rest
14.88
-
---
uma
Wigsto prest, Valima Walk
F
I
---
115,000
160,000
-
21,98
200,000
I I I
na
Wigsto phone l'aitime d'airmation, Wart, emerges e
-
priditions (AC no.
- -
T
-
Opention und - of Tellas -
I
---
--
283,000
income
Values, Web
ame
11,000.00
13,000.00
11,000
11,900
/
----
2.200.00
Larami Service Web.
--
-
176,000
and
Wet Birth Wys
-
€1,000.00
cmm
46,000
$4,000
cas
/
-
If
-
---
-
NM Em - agentions
- - - - -
20,000
or
M.).
---
N.O.
KLMA
Vissab Tish
-
===
-
--
/
see
57,000
57,000
-
-
5
Del financies, Other marging R.).
R.N.
/
---
Name me, Impation (rpend -
and
----
1,000
n.ae
KIND
-
5
-
-
Tedian whed support.
CALIAM
5,400,000
4,100,000
-
-
4,100
LALE
Education
A
16,000.00
E
175,000 00
11,30
TA WO
sure
TIMES
10,750
Endins - -
11,00 00
I
---
1.300.00
amo
-
35,46
India -
16,000.00
30,000.00
111,000
343,000
---
---
NMI income (N) LRI
-
-
Intia warding - Garer -
same
1.000,00
1,400,000
---
I
ame
20,96
para
(Adin berding (IV. 7.8.1
40,000
---
-
10,000
---
Inten Fire Tris
state
xxx
ass
26,000
King
Cume
Issued lizens úperal -
-
I
---
---
Public -
how
TLIME
12,000.00
€
00,000.00
190,000
s
---
---
0.00
40,000
дмя
Patie - Sans Comity, 1. Dat
c
(5)
IBLOW
-
-
la Dollar County
nam
-
-
---
---
20,000
VALOR
used
Homica if telive is Alaika
74,000
00,000
-
Case
al sitim -
-
cas
1.00.00
44,05)
(N) es
1,40
-
42,00
forta depens mart
79.11
not
-
1,00,00
Compenial lice
Tesse
I
I - if - in und BLM
/
Regraded Ucla sified
THE BUDGET. 1938
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES
A53
STATEMENT No. 2-Continued
STATEMENT No. 2-Continued
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES-Contiened
ESTIMATES OF APPROPRIATIONS AND
EXPERIITURES
-
-
Eximate di
EXPENDITURES
1
I
i
-
Entrasted, THIS
Enternal, sur
Anted, -
à DESTRAL AND SPECIAL ACCOUNTS
FAB
THE
Ind
Entimated, 7008
CRR
papartment us THE INTERIOR
DEPARTMENT OF THE
- - Allaho -
Eurrale al at-
- -
-
-
----
$1,000,000
$4,000,000
- - -
AMAZ
Invoice all oller
- of Celente of oller en -
Exam
FEWER
$135,00
--
1
2,000,000
Res
curry (Empany
-
no
484
- At. -
MAM
--
s
name
200,000.00
00,000
58,000
Rate
Candi Rise the - line que
FILMER
E
26,00
35,000
-------------------------
- ligitles if
-
15,000.00
1,99
9.000
1
#
DI
I
- designer 2
TIMA mail,
71,98.00
71,008.00
70,000.00
200,000
200,000
I I
-
2,790,000
2,560,000
----
The port. - -
180,000
E
- Arians, means applications
- -
440,000
date Jd.
00.00
1,800,000
-
-
-------------------------
am
49,000
- firm print, drives, - opesiture (N. 1 ft.).
BELOW
I I I
-
16,000
-
- AVIVE Arines, - application (for
- Att. (MM)
$90,000
8,000,000
I 1
1
I
(A)
1.200
Orbail California
11,000.00
25,000.00
50,090.00
34,000
- - - - - THE
mine - reportines
-
10,000
An, IMI)
1,000.000
a,mo,000
----
- - - - - - No.
---
30,000.00
20,000
Kimath-Tels Lade, on. - equalition
J,000
90,000
- - - - -
Pur ZAM, (M), (Ear-
( 1 I I
----
- ANN dut, ARM)
FRE,000
5.00
----
-------------------------
70,000
50,000
- -
-
-
10,000
30,300
Grant Calley project,
45,600
45,000
ESLO
-
DER
I
-
---
---
1,000,000
(38,000
Cash - Phonges Transportale diminsi, Only
5 I
E.300
1 supersible (M.) EL
MACA
|
-----
-
450,000
47,000
--
No. device, expends
- San
-
- - -
----
0,000
tune (NO 1 ALL
11,00
6,500
I I I 1 1 1
J.
E.000,00
4.80
LMO
---
the - - Comb Date New
I I I I I I - |
Two, Dr. I 2.)
50,00
---
1
FALTI
Wishin eirps - Colorado,
1
--
15,000
14,000
IN.X RD
20,000
- - - - -
---
Talles - - - - production
I s
(M
12.00
80,900
Phone la -
es
ag.00
Contenter print, Chimals, reportations
I *
NAME
IN A.R.)
600,000
area
-
11.18.7
Sta - drainings, Colorabo comittro
INLL AL)
J.M.TO
- -
---
This prided, Mile
---
44,000
42,000
40,634.00
I (
DATE
- project, facts, apratture (X 10)
1.11
Inter - Mile, energy
I
----
And - AM:
70,00
1,000,000
-
-
Minidoka project, Idaho
11,500.00
72,00
313,900
- - -
project, Make, energy LM. I. R.)
870.00
F
Date hair Name Jáde, represent
UCI R.)
140.00
1,108,000
1
-
I
I
80,000
7,000,000
min Rod - Missims, (Ean-
30,000
170,000
I
-
8.000,000
4,000,000
CMEDIO
- me)
- -
Quis Later - argendizione
180,000
1,800,000
— Due -
(N. LR)
213,000
30,000
--
project, Minimu - appliative
(N, RJ
1,6%
i
NET
[
project, means
:
1
IN. ALL
10,00
ALMER
21,000
-
-
I
H.S.A.
Products project, - (Exem
/
N.W
any Mid Ad. AM)
ILAB
MIX End project,
41,000
-
41,435.00
300,000
Anx Rinr provide Months, invoice (X. RJ
0,00
11,400.07
4,552.00
LOLD
-
für project, - (R. / AL)
for from prijat, (Inr
42.00
Ad. NBC)
11,00
North Plane
71,000
LOLD
New Pata Valia, - mayors) upint-
form (M, Γ. R1
A.O.
-
5,62,00
that promi, Smit mapes expressions IN. / R1
20,00
27,180.00
Traciar Atter days, - - expension (MA
to
Carlotal intel, Name Meries
0,30
44,000
Orivial project, New incyre - (be
--
10.000
- Ind Ad. nen
N.00
49,000
ILBUM
DMB in N. Mr. - IN. All
no Grade me. New
---
---
816,00
00,00
617,472.40
. Compated - registrial
Regrade Uclassified
THE BUDGET, 1835
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES
ADO
STATEMENT Six 2-Continued
STATEMENT No. 2-Continued
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES-Cn/mued
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES-Continund
EXPENDITURES
-
I
Ditage if
EXPENDITURES
BAR
A. GENERAL AND SPECIAL AUCOUNTS
appropriation,
-
+d, -
Kistomed, tarr
-
Bill
Amount/TRA
ins
Inimal -
-
DEPARTMENT or THE INTERIOR
DEPARTMENT or THE
- of
numed of
1
- -
I
Experiente to represente
-
sa
20,000
sad maintenados administrative
que
--
A.MO
WATHLE
Time, propred
$1,28,400.00
LIMITE
200,500
$1,000
The -
--
---
-
115,000
190,000
⑉
2.800
15,000.00
Tenal, - -
1,20,406.10
LIMITS
11,400.00
---
name
ume
72,000
72,000
18,492,16
-
88,100
1,777,000.00
Trand, -
1,30,98 00
2.00.00.00
-
license
LALWEN
Twint, -
47,780,000
50,400
-------------------------
-
I
1,800
Total of Reduction
- -
Lame
17,182.00
I
--
Gestagtest
4,000
4,000
include
- - - -
the
138,000
UA.00
136,000.00
General -
- -
5,100
(30,000.00
-------------------------
---
NON
-------------------------
18,000
- -
11,000
Ruse
- emergency expensitive CM. ALL
048,700.00
! 1 I F I I
17,800
surveys sevil classical and physical
$30,000.00
100,000.00
458,000.00
-
HOME
NATIO
- - -
- end and -
- -
45,000
180.000
repreditants 177. AL)
€
1
---
--
Minesi - of Alama
AND
---
2000
BLUE
I
1.200,000
1.000,000
HEREZ
Attent resembre - end movement lead is
- Lei
88,000
- - (N) r. AJ
38,000
640.000
Geging
income-to
28.00
---
expenditions (N.P.R.) (N)
-
-
I
I
138,000
no
at Suide
10,000.00
--
-
- - - - - - Itsa
TES,500
Principe and at:
118,000
132,000
-
E
Expressing and printing productor and -
-
I
ILAB
140,000
ama
CM, ALL
-
AND, 200
490,000
Engranting Nail Minima má importable age.
120,000.00
-
uses.
101,000
---
AR,000
200,000
of
20,000.00
21,001.00
=-
11.88
-
-
I
72,000
200,000
LARNE
emergency must
-
-
Enteriment of mineral Invoice eta
---
10.00
--
-
----
1,880,000
A.000,000
of - limiting -
I 1
28/000
273,000
-
E
4,000
CLASS
20.00
zime
Twel, -
10,000
8,200,000
MALE
Trail, General
20,100
-
11,000
280,000
Maa
Bureau of Mines:
and provided expers
cas
saw
are
BLUE
movies pay adjuntment
1,00
zue
/
AA,000
1,000,00
Dismiting commine race sail and -
-
677,000.00
---
CMP
--
--
I
---
1,300,000
5,000,000
Amt
===
-
DM
---
- -
2.00
60,000
name
SLMIN
20,000.00
--
34,00
---
/
-
na and DE
20,000.00
-
20.98
20.00
===
in
4,00
800,000
e.e.n
Make
788
m.m
/
uma
Gmg
80,500
Bullisp est Pa
c.m.a
CAR
4,00
see
16,800
MMF
Minne investigations in Lisis
--
Emilimies of missi
20,000.00
---
---
--
auso
19,000
1.108,000
-
This believes
11,000.00
sins
ne
----
is
31,000
United
HIMO
20,000
(P. W.A.)
-
-
(N. LMS
100
Tumbai
57,8%
For
(a)
Process appropriation:
If
the production, believe plants (rgenial ammiti
2,200
tax
de
Triel trueral
18,700
2.16.200
10170
/
8,000
MORE
Total
DLM
512,140.00
21,000
Tod. of Mine
1m,mg
18,250
LINE
INDID
n
I
/
not
Fines of menu.
H Emissing of tax transferred the Department of B. by de Deather at the home Appropration Art. bei 1 na
Regraded Uclassified
THE BUDUET, 1996
ENTIMATES OF APPROPRIATIONS AND EXPENDITURES
A57
Afili
STATEMENT No. 2-Continued
STATEMENT No. 2-Continued
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES-Contiued
EXPENDITURES
- et
Science di
EXPENDITURES
- APIS
-
(MIT)
-
I
-
NOT
A. GENERAL AND SPECIAL ACCOUNTS
-
Approvation
-
-
INIT
-
- -
-
Acced for
DEPARTMENT us THE INTERNIE -
DEPARTMENT or THE INTERISE
- - -
-
----
$173,200.00
$100.000
lide of Education:
Family
Office of Education
paso
---
DATE
pass
EURA
---
2000.00
2.88
26.00
-
-
45,000
0,00
- experse
KAN
ana
11,000.00
11,000
JA,000
cas
---
-
-
"this
11,000.00
41,900
by agriculture and the - arts
1,00,000.00
INC.000 00
1,090,000
--
i
---
13,000.00
11,000
04,000.00
190,000
a professional and prom, me-
- *
-
-
ass
11.00
pur India Adv, im and AMO
---
20,900
- -
i I I
---
10,000.00
lurveys. note. and reprifies -
35,000.00
-
--
-
198,000
which university, and use
2.00.00
3,00.00
36,700
- - -
Watn
de litater, di., mint
900,000
---
- - -
---
----
110,100
-
--
15,000.00
AND
Proced
FILINO
MUILD
Colleges - and the metails are
130,000.00
2,180,000.00
- -
---
----
72,000
-
I
---
--
-
ML/MO
11,000
THISL gearnt
can
1.20.00
1
-
31,000.00
70,000
:
---
TWd.
- -
:
AND
----
---
---
10,000
-0,000
RUS
Twisi, Office et Extration
- - - -
-
-
-
- -
----
---
----
--
29,00
claration
!
---
futuries and expenses noticel adention
----
208,000.00
20,000.00
30L/00
200.00
-------------------------
---
-
10,000
2000
Immittion of vesitied of - disibled
-
---
--------
--
-
ame
in univity is
1,000.00
5,000.00
-
A.00
! E
-
----
---
VALIMI
----
Purther development at restand in the enversi
-------------------------
---
-------------------------
43,000
-
MILR
- - -
- and Termisse
1,000,000.00
2,00,00
-------------------------
---
-
77,900
IL/MI
Issues
Despetative of - mustied
-
---
----
SALING
- -
la inketry
1,661,000.00
1,000,000.00
1,790,000
----
---
-
277,900
PLEASE
—
!
soil - - relabilitation of permit
-----
---
----
28.800
26,000
---
Control la intestry
Have
64,000.00
TERMS
I
-
1,346,000
LIMING
M
15,000.00
10,000.00
LI,000
-
-
INLINE
12,000
I
- of - of person discland
17,000,000
£,000,00
- country - Poarto Rim.
18,000.00
0,000.00
12,100
10,000
-
----
— - - +
10,100
---
Premition al efomiles is Hawall
----
30,000.00
-
-
-
----
-
Presider et metiod it Posto -
and
----
F
---
1 1 I 2 I I
---
12: 900
Permanent appropriation
of votational edumition:
-
T,000,000.00
€ 900,000
8,900,000
5
:
-
.
!
06,00
T
-
Twist - -
---
-
---
$18,000
guar
---
60,000
202
-
Total Office of Educative, individual sie
---
18,353,000
1
-
I
14,190
-
I
---
- in the Territude:
---
-
---
0,000
him time end themtury, Terrilary of
12,400.00
15,000 00
12,000.00
15,400
I
---
45,000
цета
Cominged 1 Territory of Masks
---
----
34,400
- -
I
a.m
not
Expirative expesses, femilary M this
6,000 00
48,1900
1
Address to Alaska
11,202.30
21,000
33,000
-
I
15,000
Funture sext. at nicder
ne
I
Time
are
140,600
well
Tunio
Name
--
18,000
---
110,000
Care ad ratidy al issue, Hare
---
----
196,200.00
136,000
196,000
- -
--
AIXI
halt, Incom, ADA truffs, Alaits
mas
---
125,000
120,000
Timbery of dinie, remying IN #: (L)
25,000
---
113
Contruction set el má, inkles, -
---
-
w.m.a
20.00
120,000
447,225.30
I
---
30,000
410,000
fund
20,00
30.00
20,19
20,000
ana
-
41,000
3.00
- -
-
/
---
2.00
30,000
mild,
12,00
a
---
inima
first Comission, (N. N)
7,000,000
General and servicery of
11,800.00
ILNE
18,800
T.000,000
and
Terminy of Bowell
LINE
1,150.00
LIB.R
1,60
4,400
---
-
-
Legislative Territory of limit et
€,000.00
47,000
-
---
111,000
13,00
1,00
The al Um Virgin
I
histe ad
---
115,000
134,000
imme
----
spetant station and vestinal
---
amo
U.M
31,000
T.00.000
nume
112,000
130,000
dalda of mustipal
00,000
:
IN. Γ. R.).
-
ME,000
=
Energency relid.
- - - - - - - - Die - - 4ct. - 17,800,000 (mir -
1 000
TI M
(P) W. A.)
- Dater, et liveted lauits,
11,000.00
85,000
21,000
Ecep of min, debitt.
made
Regraded classified
THE SUDGET, 1935
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES
A59
STATEMENT No. 1-Continued
STATEMENT No. 2-Continued
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES-Cantinem
ESTIMATES OF APPROPRIATIONS AND
-
EXPENDITURES
This statement includes expenditure from prim your appropriations and from allumtions of prior your appropriations
- -
ADDITIONAL
FALT
IAN
- - natio reported - experitions - survery - tetal under 156 - MII X
-
Extimated,
Extimated, 187
-
EXPENDITURES
of
à GENERAL AND SPECIAL ACCOUNTS
Appropriation.
DEPARTMENT and THE INTERRIE -
FAIT
!
THERE
Entimated, 2917
Antral, TARI
- ⑉ the
I I I I
I 7 ! 1 I E I
DEPARTMENT OF JUSTICE
$
-
- - -
200,000
(iffire of the Acturney Generals
$1,750,000
- - - - - -
Jan. 000
24.00
expenses
----
-
--
---
- - -
BCUM
20,00
and -
37.00
200.00
00.00.00
0.00
20,000
200
- - - -
40,000
sur
murin - - Federal et
1.10.00
---
-----
1,108,000
I
05,40
- -
Die " - l'eleral Barnes of Investion
NO
DALIVE
68,00
el Or - in radome minim.
140.00
16.00.00
199,000
126,000
- -
--
- -
Devenue Park addres est expenses
DMS
Delecibe - - claims against like Colled -
(1,90
11,000
---
0,000
44,000
- -
20.00
==
----
13.00
216,000.00
-
Tain of - Fait
PLELE
of and lues
07,40
-
-
$2,00
-
40,000
email
Expiration if - de
W,M
TLUE
56,000
TIL 000
2.M.
I 1
I 1 2 1 I 1
TERMS
firmis of Priving
54.46
30,34
20,000.00
20,000
(4,000,000
Impincial al miss in e -
ILNE
- - - - -
78,08,00
18,000.00
700,000
-----
66,000
Ferigo Service (a)
4,00
4,000
j I I I
Due - Und Neture (%
--
- -
ANGO
5,250.00
1.000,00
Payment a Com l'ves
-
I
(Ree
- -
1,774,000
Legun
Total (the if the Gent.
ano
name
10,002
---
ILWLAB
1 1 1 @
(AMLO)
TRISS
-
Tim Aufidary
0.0000
72.015,00
name
- ham turnes Dest:
18. -
Name
as
0,98
$15,000
autos
I
- -
Lame
trining and Inlas
0,00
2,00
suma
21,00
-
WILL
-
LHAVE
saperse
am
15,00
---
-
-
LOS
- - - - -
12,000
Care if Can Bullities and push
A.ID
AND
---
BLOWF
94,090
Relative of deld, of return pies
1,48,00
LEARN
1,00,00
quese of rest et
PM
MM
--
ALINO
and
-
-
Line
Tall el and Part
18,99
name
20,000
150,000
- -
141.90
une
l'uneur Curi
20,20
24,20
20.00
200,180
-
Class
- of Class
zu
200,000
-
- for the -
LEAGE
unas
Terminal -
44,500
-
14,000
65,100
-
have
Adarin, desirt murt, Paums Card In
41,760
45,785
45,000
are
-
-
Bowerd
---
Full Chart In Cliss
ILMI
--
--
cum
mes
les, and et nurstali
2,400,00
2,200,000
/
fidare el - of dissist
1,088,10
E I
-------------------------
am
Price and of -
-M
---
REL 000
--
THEREN
-------------------------
1 I
===
HOLDO
---
la under - in Actives Devisal
1 I I
FILMO
2019
name
histe and al derks of and dirtrict -
1,240,000
1,135,000
NE
- -
in el -
281,000
20,000
------
mun
par
-
- -
---
-
Pres and expense, medicalio -
300,000
200,000
234,000.00
09,46
---
SAPER
-
1 I I
--
88,000
REI
Tea of junes and -
1,000,000
Lesso
Payal hallits, etc.
20,000
297,000
30,000.00
mm
20.00
-
Cime
alma
--
LACTOR
expecies, Coded Now
1,008,500
LANE 000
1,195,200.00
Danam claims
36 W
HA 00
1
---
sistema, eta.
---
-
Princie acts
name
NAME
/
- - - - -
Epental deposit simisti
/
not
term of indiaired moneys reported by clerked
und
—
una
-
---
LIEN
Tital, the -
--
LAST
-
Exem of -
---
/
----
BLOVE
non
***
-
/
-
---
/
-
-
forme
CASH
TENAND
74,495,762
-
1
--
0.01.96
2000
name
MIRKS
Rame
xas
Regraded Uclassified
A00
THE SUDGET, ISIA
ENTIMATION OF APPROPREATIONS AND EXPENDITURES
AGI
STATEMENT No. 2-Continued
STATEMENT No. 2-Continued
ESTIMATES OF APPROPRIATIONS AND
ESTIMATES OF APPROPRIATIONS AND
#
EXPENDITURE
-
This sigiement includes erpenditares from price your appropriations and frum allorations of proor your
ARD AUGHENTS
-
-
THAT
Tale
Extinated, -
or
Miss, FINE
I is - - - for and - under - - - in - - So PA)
REPARTMENT ⑉ -
Edition of
EXPENDITURES
A. GENERAL AND SPECIAL ACCOUNTS
Appropriations,
.
-
1017
-
Innual - - -
-
BMIT
- - - --
--
EVALON
$82,505.00
$125,000
NAME
- - - - -
LACE
HERES
1,200,000
uma
DEPARTMENT or LABIR
I I ! $ [
-
- - Villate No.
BLAVE
-
M.M.S
are
use of the Servicially:
69,00
1 I I
VIPLAND
ass
interies USe of
$00,00
$00,000
---
100.000
. 1 ! 1 1 5 I x
cas
- IM A M
:
1
- - mail
30,000
port I 1 I 1 I
ass
- represent, MM - del as
-
10,000
jur and name
200,000
20,000
- - - - -
town
-
---
2
maile w mill, aller, -
216,900
140,000
20,201
12.00
---
-------------------------
M.40
I I I :
nos
-
117,000
118.000
---
-
115,000
--
---
-
725,000
J 1 I I
-
-
Prime - limiting
20,00
ma,on
30,00
-
-
30,000.00
30,000
- - - - - TO
--
-
- - -
-
40,000
-
-
warm
---
20,40
- -
20,980
79,448
AND
Custimer - compary IN. #)
---
:
I I
115,000
-
---
Luise with the International Labor Organization, General
--
I I
10,00
-
HERE
Department of Later
==
21,000
200
2.89
zu
sea
MR,195
- -
----
3/8,00
-
form
M.M.D.D
Forgo Service para
BLAD
13,000
----
- - -
CLASS
115,000
$20,000
---
Divise . Centrata
252,000
-
i
ULA
--
- - - - 1+
Date
000,000
DELHE
PLAN
are
Tomi
1,718,400
1,268,000
1,05,000
I / I 1
2020
--
20,00
--
25,18%
TWK magnet
INLIME
- - - to - - -
--
26,300
21,900
211,990
DATE
- —
-
THAT Office - the Insurance
1,700,000
1,206,000
1,608,000
1,494,500
UNITED
- - - -
-
- -
Bursas of Labor Nailabe:
-
TLAN
we
serve will -
-
50,000
---
673,000
948,100
-
I
-------------------------
61,000
72.00
----
000,000
- - organism, enumpries IN. L AL)
/ I J I
1,000,000.00
1 18,00
1.78.00
Juline así expense, energency (P, W, A
40,000
- - he, -
EMI
If - IMMOT, emergency expenditive, -
- - - - from -
(6,00
eng nile end pully veria
- N.
* - el Irise 5 the total Rem
200,000.00
---
/ / ! i I =
5,80
if parali - information e
many não at public serts,
/ I I I
TALINO
-
of prix entre and prior fulleg mayor
- - — -
I / 1
00,000
sure
mind and public emir
30,00
LEMI
Working full
5.M.
.
-
in eferational, - detail person,
- mild
1,240,00
! 2
31,000.00
-
Total med
A00,000
1,094,600.00
CLOS
-
I f
LALAR
-
Test. mmmg
LABOR
11.00.00
-
---
30,200,000
11,200,00
THAT - at Valida
-
-
144.98
-
/
Exama
2,00,00
immigration and Naturalization Section
+01(0)
-
170,00
0,700,00
LOLME
9,70,00
1,000.00
fialine
signe
W.W.
i
---
- removery or LEE
-----
2,00,00
- - -
IM - mid
57,00
neme
1,00,40
Thequering Fünse - the Philopise
-
sme
-6°
04 09
Project
1 s
NAME
Erin - - service
---
-
LNW
----
Tital,
use
LOLDE
THIL
AL/MI
just
Total et
0,68.00
INLIAN
-
Children's
Alsie us - -
40,00
65,000
40,306.00
20,100
MIGN estáts, lodal lit
en
38,000
150,000.00
--
35,00
xxx
finia a - - Security Ant:
Vome and even
100.90
180,00
2,130,000
Laze
for didos
150,00
2,00,00
1.200.00
ema.
1,30,00
62,000.00
TML Children) Euros
LELM
LOW
AND
Mille and -
--
15,30
113,305.00
(D.40
Regraded
Iclassified
THE BEDGET, 100%
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES
and
STATEMENT No. 2-Continued
STATEMENT No. 2-Continued
ENTIMATED OF APPROPRIATIONS AND
ESTIMATES OF APPROPRIATIONS AND
name
EXPENDITURES
-
This industries arpenditures from prior - appropriations and from allentions of prior year oppropribies
- -
FIRST
the
-
-
Katimated, me
- -
1 is - - - importations - - end mild, - the - - Birth - - No 2.A)
DEPARTMENT or -
Entimates of
EXPENDITURES
HESTILL AND SPECIAL ACCOUNTS
completion
Assompriation
I
last
Im
- - devided
- (A)
Remated, 1412
- -
$4,200,000
-
- - - - mass
SAFT DEPARTMENT
1 5. I 1
-
1 1 1
-
- Swip Department
# I 1 1 1 1.
under - delivery
BIGLON
-
(meck
-
:
-
--
12.48
ILAM
IL MI
---
I 1 I I I
FLMP
AMA
15.00
--
NOLM
LOM
2.20,000.00
€ 200 000
1850
maril
ABN
4,440
E,We
LIN
---
-
10,000,000
-
- M Naral Reside not Limity
34,000
21,000
---
ILDE
--
- IF Upint base TEXT
130,990
11,78
16.00
- -
state
-
(20.00
news
el Del at Soni Openion
826
:
name
--
use
---
- of Inspection and and
-
18.98
DAS
15,46
14,386
17,200.00
must Homers
- - Director of Name Commission
36,00
CALIKE
13,00
15,40
10,00$
- -
...
!
A.W
Title if fissal
76,900
-
73,100
ML78
I
-
Increase of Navigation
WLAMI
no
---
472,000
- - - - Total
- (firs
60,00
FLW
-
19,00
30,000
!
-
AVE
12000
frand
(71,000
ULIB
170,000
- fuel - -
Humo of
87,40
MA_000
---
- -
- of Custrorise - first
267,479
15,170
---
- -
a
une
Better IF Définion
-
10.00
inco
IAME
Date: of int -
68,00
20,000
49,000
- - - -
Parent of Medicine -
84,120
66,721
11,349.00
5,00
M,000
-
have el Yarde and Date
21,400
CLAI
26,00
24,800
Bernas of
DR.AM
MA,000
MA,00
20.00
and
E
- -
==
50
Tells - Nary Department
LIE.S
6,031,000
-
que
- - - - - -
MALE
(vitingent riproin, Hr.:
Continuent expense of the Instructions
15.98
11.00
115,000
91,000
- -
can
name
M/S
226,900
40.00
111,000.00
100,000
SIA,000
and - expenses, Office
DAYS
13,000
-
18,017
I :
CTIP
-
Contract at - Karal
20,00
2,00
2.00
XMO
# : E
e
AMT
end
1,000
- historical maral
71,00
-3,000
2,00 €
16.00
2,90
12.00.18
,
l'election estal remeds M We
M
i
---
---
3,000
MMN
Total - signature, etc.
BILMO
WLM
-
790,000
-
I I
---
2,0m
mail
-
little of the Surretary
-
LEARN
LIR,80
1,000,780.00
1,20,000
-
---
----
---
arpenditions IN.
n.ao
12.30.N
-set
Name
20,00
12,80
11,80.00
17,400
12,90
34,200.00
-
Car legars, Island al Usin
21,000
---
34,900
$4,000
===
DOLN
-
---
700ml Laterality
10,000
DR.HR
20000
-
M.M.
It
and nimervation of bei IRREVER
A.TN
0,0%
-
66,00
-
47,300,000
priors farms priva
12,000
12,000
IA,MM
use
was
the Company by visa and -
1.30.31
100.00
Name - Marise Memorial Number
1,000.00
11,000
17,388,000
Payment la Carilia Calishan
478.30
472
1
#
DATE
****
Two, -
LOAD
:
Two -
28,000
I
Total Office of the demistery
LOLZO
LOLTER
- Promo Divings Timery Department
Eurney of
Triving adminisa, - willing funy,
1.098,20
1.50,00
1,500,000
Made - -
100,000
have
196,000.00
150,000
(15,100
14,121.00
and magies.
-
ON
$10,000.00
00,00
20,000
--
- tel. lake serven
-
71,000
75,060.00
75,000
40,000
None
LIMITE
Name
LILIM
1,900,000
1,460,100
LACALE
Name) Hais, Pr.
135,000
18,000
----
198,100
Expense, - - tepes of time IN Pagent
1,00
Total, a
12,00,00
34,140,000
18,823,000
NAME
, with responsation of - -
Regisded!
and
THE BEDGET, 1038
ESTIMATES OF APPROPHIATIONS AND EXPENDITURES
A65
STATEMENT No. 2-Continued
STATEMENT Nn. 2-Continued
ESTIMATES of APPROPRIATIONS AND
ESTIMATES OF APPROPRIATIONS AND
a
EXPENDITURES
Approprivative
Extense if
EXPENDITURES
THE
DE
-
-
friest, THEY
UNITED AND SPECIAL ACCOUNTS
Appropriations,
Appropriations.
las
- -
If
⑉
Ban
Estimated, 1338
Katimaled, 1817
and -
viss DEPARTMENT -
NAVY
times -
-
CBM
---
pass
PAMM
Marine Corge:
- - - - - -
mare
Pm. Martes or
---
$18,000,000
mass
- as
Po # within Matter City,
34,74
m.ra
260,000
-
N,O,D
$4,000
AND
- -
:
- -
CMA
- Mum Dest at Attorne Commissial
-
-
ILEAN
t.WI
440,000
Ante
Fumilia Name Bol. United Vet-
- - -
DRA
====
0,40,000
- Blue - Tex
MAR
LES
-ma
****
- a - -
1 Dep
36,000,000
KALOS
# : E
-
-
11,38,000.00
ARE
(Reations to paral -
- -
- al republic
201.000
-
1
---
0.78,00
22,000,000
- - - 1
of namel -
1
I 1 1
11,000.00
112,300,000
--
123,000,00
10,000,00
+0.0
- - - reservative
-
1.00,00
- - -
2,74,86
at - -
ML/E
22.000,000
21,201,00
casa
Ame, - -
C,000,00
5,300.00
----
$1,000,00
Prints of - and -
Amer, and of -
-
(M.
20,00
5.00,000
3
100,000,000
130,000,000
- AMT ww nating, megno (A) 181
C.745,00
45,000,000
1 J 1
9,200,000
- -
-
(rev. - and -
4,400,000
---
1,428,800
A12,80
- experient
an
1.30,00
- - - -
0,000,000
4,20,000
IM und number of memore competion
75,000
I 1 1 i I il I
[IL We
Little
4 1 I
Tutal puré
187,000.000
134,000,000.00
name
s 1
THE -
0,05,00
- - - - -
-
Take, replaments of and -
138,000,000.00
12,000.00
IMMO
- - - -
1,200,000
-
6,000,000
nos
I
---
ml
uma
came
Case - sein M. BWCP -
30,20
- - - -
4,600,000
Leims
the
1,84.11
ARE
- must
RUE
----
IN
Name: - Name and
28,300.00
20,000,000
Ty(mis una
-
I 1
- - of
E
:--
1mm
pami - of
--
1,20.00
2,000,000
TEXAS
- -
-
a.w
Treal, und
25,00
-
220.00
Tital, -
Email el THE ....
129,000
1,70,00
1,0,40
INCLO
I
-
Timely
40,711.77
156.00
I 1 . / ( 1
-
-
1.18.26
----
as
ase
I I 2 / I 1 /
11,000,000
2.68,000
COURT
sure
Additional limit - - expenditive - owe I
E
100
7,000
am
-
-
T.700,000
7.00.00
Total paral
---
---
-------------------------
467,000,600
-
-
-
140,000.00
131,000
no.
Eximpring
- W -
-
Less
- - caid and issued
/
/ * F w /
1,00,00
minimo
0,00
1,000,000
--
---
----
I 2 I
(67,00)
4-000,00
TMAIL Name Department
, =
1,00,00
19,000
time water
May
20.mg
7
UNA?
11,880,000
amount
- -
11.00.200
I e
F I I n
140
/ 1
47,000.00
31.00.00
----
400,000
am
1 #
-
31,482,000
amex
Regraded Uclassified
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES
A67
THE BUDGET, 1935
x66
STATEMENT No. 2-Continued
STATEMENT No. 2-Continued
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES-Contimund
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES-Contined
- - " - (- prior your appropriations and from allocations of prior your appropriations
of
EXPERITURES
Appropriations,
Appropriations,
- - - consider to - and nax. - the at birth in importing (cheicle Na 2-A)
A. GENERAL AND SPECIAL ACCOUNTS
EMIT
and
i
-
Extinsial, 1977
Anal, are
EXPENDITURES
Insure
. - INSURANCE unints
sen -
I
-
Entrasted, 2008
DEPARTMENT OF STATE-Colled
Address, -
Furner
Permanent appropriations
DEPARTMENT or STATE
Pay of - agents for wasters to American - and
-
ose of the number) of the
$1,452,230.00
$1,W00,000
name
indeficial appropriation Refunding -
:
-
the
-
72,400.00
13,000
76,300
TEMES
port Imm, no
I
112,000
148,000
150,000
INDICE
International 1
AIR
34,900.00
M.DDO
58.500
ane
Total 1
$11,000,048.40
$11,300.00
75,600
-
- -
2019
2,000
2.M.A
24,000
21,000
Total -
- - - el - - Type
155,000
40,000.00
2,000
40,000
---
# -
Total dissign -
11.00.00
ILCLUB
15,486,99
- - - - -
their
LIMITE
LSLMN
2.316,Mn
- - NM - M -
IRMS
Claims and justimento
1,411.40
Claims for -
11,913.00
:
I ! I I
142,30
$42,000.00
MLNO
--
Private - and -
136,470.76
146,000
: I I
1,20,70.00
1,250,000
1,174.100
depend -
- - - - -
---
38,780
472,000.00
NIC.000
EAS, 000
--
reportal deposit service -
- - -
1,001,000.00
2,000,000
L 900.000
LARGE
- - - -
---
218,000
20,000.00
270,000
265,000
Twist -
- - . - - - -
12,000.00
(25,00
100,300
General
17,708,00
-
111,000
Project - - - - - - -
-
266,000
--
adjustment Indived - and - -
- - -
came
1,121,000
2,031,000
REPUTE
THAT -
WALMER
INSURE
11,707,400
17,706,000
I 3 I I
---
SAIL 000.00
56,000
- - - -
50.000
00,000.00
5,000
as, ono
cer
11,00
-
- - - - - -
71,000
73,000
--
1.000,000
disclosed - arpanization - checks
in
! I I I
- # - - - - - - -
123,000
200,000.00
170,000
123,000
ILME
12,800
BLOCK
- - - -
-
Twit emergency
I I I I -
- -
---
--
841,000
-
vene
Total Dipartment et
anome
11,143,500
14,707,80
17,776,200
-
I I I
02.00.00
TEXM
a
- - - - -
11,300
18,280
Increase - - - - at the
Komm et medica,
-
14,500
175,000.00
150,000
130,190
-
- - - - - 1M Mums
- -
- - - - - and Marps
30,000
---
- - in . #
- - - - - the
AR
MLIMA
- - Come - -
0.00
61,00
- - Free - - - - -
02,000.00
42,200
ama
I I I 1 I I I
---
- - - - - - -
ICMI
10,000
00,200
I
- - - - - - Tax - -
Name - - - Times - - - -
VM
48,000
I I I
---
=
45,000
- - - Fill
2.me
===
25,000
25,000
c.m.a
I I I 1 / I
2T,800
-
- - - -
---
18,000
-
I I I I i J
---
3,700
- - - - - -
1,100
Has - - - -
12,000
- - - - - - -
I I
- - 1'm time) Visa No
1,300
LIMP
- -
- - - -
um
- - - - - - -
1,000
- - -
30,000
1,800
SP
- - - -
I 7 / I 2
way.sal
-
I I T 1 , / : I . /
44,000
"
- -
-
1 I 1 I
Regraded Uclassified
THE HUDGET, 1938
ENTIMATES OF APPROPSIATIONS AND EXPENDITURES
A69
STATEMENT No. 2-Continued
STATEMENT No. 2-Continued
ESTIMATES OF APPROPRIATIONS AND
ESTIMATES OF APPROPRIATIONS AND
The - - prior - appropriations end from allocations of prior your appropriations
- - - - - " - - HILL - the - - list e benefits Facia No. 2-3)
Enimée of
EXPENDITURES
à (FENEMAL AND SERICAL ACCOUNTS
Approvations,
!
-
ISM
-
Extimated, PATT
- of
EXPENDITURES
Apprepriation
.
-
197
-
I
Entersted. -
Entended, IF
TREASURY DEFARTMENT-Ct
Public tield
TREASURY DEPARTMENT
Personal
of lass
$2,000,000.00
- of - formiary
a - From: financiale
I I 1 ! I
---
p.m
----
$10.00
BLB
crs/M - - tends, and Federal Be
- - - - -
176,50
75,00
- - -
-
- - being - - - -
- -
LILM
-
LEGON
LMKM
-
Thisd, TVM Date service
1,378,00
6,12,00
-----
Presents - - - - - - - -
I I I
-
---
0.00,00
CARD
of
- la - - your - - -
-
4,00
44,480
42,880.00
4,80
-
-
-
---
2,000.00
2.00
ALWA,000
- - - - MAN return
turned of Commin
departments
-
the revenue this intere
20,100,00
-------------------------
-------------------------
- - - - (***) - - - -
ut
11,700,000
15,100,000
16,000,000
- - -
R.O.
- - - - - - --
-
E I I
Total, home M -
18,200,000
asse
- - - - -
-
- -
Burner of - Bodget:
HOLDER
und -
187,000
183,000.00
-
175,000
1 - of - - -
PLACE
- - - - -
62,00
Prima - Nation
11,000
12,000.00
-
--
--
-
Tital, Time of the
230,000
210,000
217,000.00
300,800
--
I 1 1 I J
-
- - -
140,000,000
25,000.00
! I I I I 1 : I
lifere of Transport of OF States:
- -
1,138,000
1,180,000.00
1,104,000
1,180,000
-
---
-
[100,00
LIB,GER
(national -
81,000
107,400
200,700.00
62,000
-
---
i
Permissional
---
The -
CHETRO
expense, if If the Called
RL.000,000
Bild -
8,430
1am
100,000.00
6,400
12,800
2.14.21
del 1 I
-
WATER
-
Trad, (iffee of the The if M United Rate
1,28,079
1,21,00
1,148,790.00
1,247,400
L.202.00
- - Commit
I 2 1 I I 1
10.00
littles of Comptruber of the Comman
107,000
-
HA,000
--
Islaria
24,80
20,000
20,200.00
292,000
238,000
JOMA - and -
- indical -
--
2,1MI
0,20.00
18,300
21,000
-
- - - -
--
---
18.00
--
10,20
JAMES
Time. (His el Computer of On Current
218,300
368,000
236,200.18
IMBE
ALWARD
--
158,000
THE - - - -
Eureau of Internal
-
CLUB
ame
715,00
60,00
mms
the Internal
---
-------------------------
28,300,000
54,090,000
- - Pressurer
Relavities mindiva
25,000,000
6,000,000
-------------------------
36,200,000
-------------------------
-
15,400
LE
/ I
--
Additional - tax - b Aliaka
12,90
LID
0,288
-
-
--
0,20
-
0,20
400
handigations delivered iss, if home - taste
-
90,00
nam
THE
Alt. end retal - desires premis. employer -
---
THE - -
--
MM/AS, neo
100
$0,000
(PLIN)
1-12-50
Evalue - - - of - and -
---
1,20,201
LIAM
Lame
Total, mini
63,781,90
-
I
TMW, -
---
- - - -
--
missing
I I I I . E
20.00
euror
Total, bume of External
-
----
time
29,900
-
2.000,000
LAURN
E ! I
Polical Umbd Admintetration:
-
Palate seil upons
CLOW
475,000
140,000.00
475,000
470,000
---
-
I /
10,00
:
missing
30.00
170,000
I I 2 7 1
--
00,000
0,00
and
films of Namedar
- - -
-
$0,000
- MIT expenses
1,200,00
LIMOLE
LIMITE
1,397,000
700.000
-
2000
11,900
gin
--
nn
AMP
Code Guard:
s
to
20.00
20,000
--
Office will Chest Thank
28,74
--
SILMO
-
-
TM ant divisions, Card Chard
C.M.OF
17,000,000.00
take
Geing - Com Gurt
---
1,76,900
- - - -
Life
Grand Date 18).
time
Grand namesa (P. w. 4.1
- Date -
(90,00
COLORM
same
-
1,20,99
1935
Grand Raid As. AM)
I E 2 /
Tume el mdis,
tax
Information - bluer Tel ind wate, Comil Quant," Call Owner and mosting cas, sta., Code Guard,"
- Pure - - - - - -
inme
101.00
100ml
m.n. Cash Card," "Orthe Cast "Ontigni - Commi Guent." "Repaire la Chest Oursed
- . 400 - - - - - - - United Nove e - - - - - % - -- a 710,000 Depatis." 1,69,00
- missing "Usel - Cost Grahl
Extures - - terms - - - a fres MI la - An - he - Use Name - Visa to - - of if Charge - and ND4
Regraded Uclassified
THE BUDGET, 1934
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES
A71
STATEMENT No. 2-Continued
STATEMENT No. 2-Continued
ENTIMATES OF APPROPRIATIONS AND
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES-Continned
FREE a
EXPENDITURES
of
EXPENDITURES
provider
-
6
-
I
. GENERAL AND SPECIAL ACCOUNTS
operations
Approviations,
in
DIE
Entimated, USIN
Resimunt, FREE
Anni, -
Estimated, -
Extimated, 1407
Amenda -
TREAMST DISTRIMENT
TREASURY DEPARTMENT-C
- Insuré -
Public Buildings Branch-Card
!
-
$45,000
I I I
--
nie mandio and -
315,000
frimal Invisting's de PERSONALE regulation
- -
in
a
The
I
----
Federal - die emerging expenditure
-
IN.
-
-
Everyring - - - loss IN, IMD
7,000,000
65,000,000
-------------------------
area
36793,000
saw,
regular la used indiber and
equipment - Ave. if
200,000
fundu - Primise
1 I
Energency repative is public - - - -
7.88.20
1.05.00
7,472,000
6,342,000
- Jam - -
NO. OMP
- tentre -
- require " indian
I I
:
equipment card Fater = -
20.00
200,000
11.100
10,000.00
I 3. I
50,100
- - - express (N. as
---
-
----
----
-
- . - - -
430,000
--
mass
- - emergence P W. as
1,000,000
100.00
149,100.00
- -
146,700
under
- for Andre emergency rependitates (in W.
ATM
RTW
LIMIT
4,200
20,140
4,000,000
-------------------------
A.718
1,200.00
/
- - - -
- - Insure and additional and
32,000
--
LOUIS
----
1.000,000
MUST
Rusing AND No - (N. Its
---
than time.
means FIRM. -
I 2 I I
--
Invividual -
-
338,000
11.00
---
---
Nume Green
- - -
Natural Insurance a Business
-
T.M.A
(MM)
1.778,000
1.10.200
1,895,000
1,790,000
Patitie Health service Building
- -
#
--
25,000
---
OU Pwt.
IL/WW
WA,000
I
:
:
---
24,000
I
---
40,000
Treasury having cault, Washington, D. en
----
10.00
-
E 000,000
----
Quarations stations
- - -
---
-
---
Finance - .
---
Inspection -
-
Marine
-
I
---
-
200,500
- -
-
a.w.
SAIN
---
20.300
THE Prestrement Division have belower I
$1,044,50
$1,000,700.00
-
- -
MWLM
----
# I I J
VALUER
L WON
---
-----
- - - Mine
:
A0,000
45.000
€1,000
11.000
Present birthin, Repoir Brando
-------------------------
500.000
----
490,000
-
- -
-
75,000
Ma,230
76.000
-
- - expense
-
And
230,000
+LELGED
MM
111,000
- - - - - - 4d
F.OMD
---
---
1,000.00
- - - - -
LODO
1.000,000
LOS
Number fund,
- . - - - --
1,400.00
5,200.00
LOCAN
-------------------------
Total Presument Dirium, Durply Dranch
$8.000
900,000
-
490,000
170,000
-------------------------
- e
1,152,800
---
I I I I - :
THAM.
6,16,20
LIMIT
COLOR
I I . I 1 I I
I
Thise, -
- - - - -
-
THIS Processional
1.08,78.00
---
-
+ 10,000
15,000
, F
-
Pressury,
Primissive al time Mied
50,000
AM
---
65,000
-
amount
- of that claims, at of un.
1,600
I,WA
1,000.20
- - - -
1,100,000
littles
- - start payments, Federal - basis
481.00
- - the Mark
75,000,200
Working public sente,
-
HELPLE
/
Working found. Treasury Department
125,19
-
-
haven is B. T. Tale
I E
--
12,000
ENER
F I
ILAM
as
3,00
LISA
Funtes erds pay
+21.49
LADE
-
MM
Items of - Transury Department
:
-
---
Certified and
que
9,400
3,000
LAS
LAND
- The
Claims for damage
1,270,000
1,200.00
LISMS
Plate
Primare relat arta.
100
cma
- - Fulds Bulldings
Lame
1,202,200
Epecial depail
1.20.20
1,10,000.00
- - - -
ALM
01,00
-
-
91.29
THAL general
I /
VALUE
1,000,000
VILAILE
Tital,
/ /
112,000
----
SUMP
4.760.000
1
190,000.00
1,421,000
LOCTOR
Trasil Trainery -
U.S.
01,00
NEW
36.60
LIM.WI
85,900
300,000
Va
45,00
1,300,000
1,400,000
United
aux
suma
11.5%
15,000
Mass
$5,000
Adjustres Intwer specime et sand
498,000
626,000
/ / / T I /
8,400
21,00
Total
DUER
SERS
a
200,000
-
/
et mail, box
481,790
MINO
Regrade Uclassified
2
THE SUTONT, 1938
ENTIMATES OF APPROPRIATIONS AND EXPENDITURES
A73
STATEMENT No. 2-Continued
STATEMENT No. 2-Continued
ENTIMATES OF APPROPRIATIONS AND EXPENDITURES-Contiuel
ESTIMATES OF APPROPRIATIONS AND
Rose 4
EXPERINTURES
The encluire expensitures from prior year and /m allentions of prior your appropriations
- abroad
-
R
-
- MI Date registed - - movey MI) resist, the will fata in 2-A)
-
Edition, IVE)
-
Estane of
EXPENDITURES
A. GENERAL ACCOUNTS
appropriations.
Authorities
and
-
I
Enimil, Las
Extrand, -
- -
Fressure - -
-
- - - and
-
WAS DEPARTMENT
-
DEPARTMENTAL ACTIVITIES
----
Then Times - --- - -
mema
-
That Department
1
-
m.so
630.38
BLA
DERID
PUBLIC NEWT
Code of -
28.50
201,200.00
a-
==
income dies,
1.17,20
1,06,100.00
- -
- of U- 1
2,28
=m
---
2,000
IM
-
-
00,000,000
- e december General
336,410
--
07,381.00
-
35,80
I
$4,000,000
-
-
- of Date -
36,30
m.m.
770.000
---
40,000,000
I I T ( I I I
----
a of - - -
775.99
must
TALUR
70.000
name
-
4,80
am
- the Cximi - Officer
mase
zmw
use
100,600.00
ISLOW
173,900
11,000
198,000.00
- - - - - - of
25,000
tax
now - DM Claim a Air Chrol
DLNI
a
26.00
29,100
DEPOSIT
I
- - Use Ground
271,20
BLOW
1
1,400,00
- the Cade - of timber A -
--
06,100.00
58,000
66,000
1,300,000
M Casa of English
19,200
--
-
120,000
- -
- - Orders
438,346
OLIE
411,401.00
CR.000
43,000
cime
MEDIA - Commit Wattern Service
BLDT
0,07.00
10,000
66,900
M.D.N
J E
-
- of - of -
28,16
2018
20,00
26,000
9.00
/ I
( 62,000,200
- Count Was Dispartment
18,42
143,341.00
46,000
145,000
IGICE
means
-------------------------
- da - His
W.MO
01 %
N.M
90,148
SALE
I I 1
-
A
THANK - True Department
ONE
(TAB)
unme
4,722,00
1,84,98
10,00
Coolligent expenses, War Department
20.00
24,00
--
24,000
Library, Nurger General's Office
--
5,000.00
200
--
---
Arma Medical Mussim
38,800
c
=
Prinilling - Mindlege
MG, 306
NAL 000
--
49,300
---
Total Sepermental aptivities
LOUR
1,457,80
LIMITAR
1,48,30
----
MILITARY ACTIVITIES
littles of the Accountary of Wart
- - De Army
18,180
n,m
use
-
12,000
General State Corpor
Trintigue Division
8,00
47,000
5,000.00
R.00
BL 000
- - -
HAGH
--
MATTER
--
TIME name and Cargo
40,775
140,721
-
36,00
--
Was College
--
0,81.00
e,am
64,36.01
adjust General's Department
- - General Ref. - Fort -
x or
24,000
34,190
Vitam -
SA,HI
JA.WF
34,00
16.00
---
Total Impartment.
TLEE
--
06,00
0.m
The if Da Attry
----
162,000,000
Trank of Army
LIMM
AIRLST
amme
1,20,00
2,758,90
- of -
30,00
so,m
---
0,00
46,000
ame
- of - de
2.00
30,000
---
11,00
11,00
8,341.35
LIAMI
1,100,000
Ulima be - such las at private promoter
00,000
-
---
10,000
21,000
LEXA
Claims of aftert misted - and - of Us Amr as
of princes
1,80
:
LOAN
2.00
use
11.00.00
Finder wrytes pay -
17,000
Fermal desires
Working total TEM Department
Formet
Claim of officers - - of Ge Artif - istrunto of
- promite.
Titles DAY, War with Spite
HLD
Tual, Funda Department
-
10,000
NAME
Clared - "Miliary
Treder with que if Mid.
I - at - a - at $50,00 if loh
Regraded Jclassified
174
THE BUDGET, 1938
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES
A75
STATEMENT No. 2-Continard
STATEMENT No. 2-Continued
ESTIMATES OF APPROPRIATIONS AND
ESTIMATES OF APPROPRIATIONS AND
Email +
EXPENDITURES
all
-
Extinates a
EXPENDITURES
140
Extimated,
-
Ana -
DESERAL AND SPECIAL ACCOUNTS
appropriations.
Approprication
-
and
Tabs
Artual
NJS DEPARTMENT -
WAR DEPARTMENT-Cd
-
MILITARY
haven
-
!
$5,01.88
$3,300.00
$7,700,00
NEW
Department
- due - -
may
- - and nivis. know
$18,000,000
$16,000,000
- - - ANY
100,00
:-
LOAVE
LAST
inm est mm/mg application
1 I 1 1 $
É
- - of compress (F. IV. Ai
. I 1
sam
can
- fails - Resk hist ...
N.SU
R.00
HL50
-
- - - - -
-
Expire - -
EXP
CREW
1.000,190.00
1,800,000
I
1.98,00
8.000,00
come
of - solutency -
92.70
- - -
11.00.00
11,000,000
-
hiss
- - - - -
-
- chlesers - FITM typesial -
in
I $ I
--
--
576,118
1 | I
-
Know
$1,000,00
T,00,00
Tital -
17,200,30
---
15,178,200.07
- - . - - - -
Twel. missing
11,200
1
I 1 I I I , I I :
Inkma
Test. Department
----
-
-
1,000,00
I i - i . E ! I #
time
Chestral Harfare Sursive:
1 1 I
(2,700,00)
Delai Warfare fervice, Army
Lieuse
L-40,000
I 1 / $
is
300,900
- I I : 1 I Il II
80,000
Clief of infactry
i f
-
firtual, That 9a
71,200
cus
21/00
-
I I 9
---
III
- - - -
4,000,000
8,000,000
-
11,000.00
Clief of
I / I I
ILARAM
Cavaire - hn nine, Exec.
26,000
au
- - -
FLIME
-
=
-
20,700.04
- - Fe
-CAI
E
I 1
10,000
C
ILAB
Chiefed Held Antillery
mare
- -
0470
full Amility - addition
46.20
n.m
70,000
ema
em
-
191.00
02,00
1,900,000
IMP
Chid of Cuest Artillers
# I
0.00
-
77,030.000
74,780,80
Deal Anamy Twi Main Ye
--
---
20.800
aux
I i
defenses
cas
-
Card -
LIAMI
77.920,000
5,000,000
-
748,748.42
- -
Dated finated, PROVIDED (M) & AU
617.49
- - - -
- - - V.I
IKM
1,24,00
Test. - determine, Visal time
2,000,000
1,000.00
LOLMAR
B.000,000
- - - - - -
N.M.
KNP
- -
226,961.00
-
- - LNC LMS
-see
JAI,000
7 Il
-
VAW
TIMEL - - IMM
TVLTA
1,39,10
-
2,094,000
12LM
! I If
Froma Cash
1,197,200
-------------------------
1,000,000
1,190,000
LIUR
- Forger
---
120.00
JUNE
One, (M 4. B.).
$71,200
1,001,200
- -
Twai - - Casal
1,187,200
---
1,000,000
1,271,300
I
---
---
53,000,000
caws
Time, rund -
4,29,58
LIAMI
Laure
6,600,000
1,451,000.00
/
-
Tex, - -
225,800
---
- -
40,000,000
- -
LOLWER
- -
- - - -
—
Less
Uksa
Milliary Atademy:
1,400,000
1,480,000
The of Millary
1.61.20
1,600,000
I I /
-
LOLD
20,000
30,000
n.m.
to quile,
1,442,000
LOAN
1,400,000
LOLNO
5
I / I
10.00
200
is
11.00
sup
Twis, Millary Andress
1123
LINEA
1,000.000
1.01.00
Date -
Lan
- -
120,000.00
1.100.000
1,00,000
MORE
National Guard Name:
- -
No
Imp. let/ling, - ta
are
NOM
512,000
se
the
ALW
and
il help - - of - et equip-
s : / /
-
1,700,000
i ! / / 1 Ink I 4 I à I
fixes sop of M.
6,681.30
LIMIT
Upons dan - - an Ewy - las -
46.38
--
--
-
-
i s i E
the il property est -
64,100
0,80
e,as
VL.IM
/ I / I
fining opon, and
BLO
18.42
===
60,00
-
-------------------------
The of lapiar Amt den and ONL
30,300
30,00
-
20140
20.00
Transado el - -
20.00
195.300
new
130,000
150,000
- mills telant.
196-1-3
Regraded Uclassified
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES
A77
THE BEDGET. 1038
7%
STATEMENT No 2-Continued
STATEMENT No. 2-Continued
ESTIMATES OF APPROPRIATIONS AND
ESTIMATES OF APPROPRIATIONS AND
EXPENDITURES
-
EXPENDITURES
M
-
1
4. BENERAL AND SPECIAL ACCOUNTS
Application,
-
-
-
-
-
MP
I
India
-
-
THAN DEPARTMENT-Cd
TEAM IRPARTMENT -
Nonametary ACTIVITION-CME
ASSIGNMENT
1
of Affaire:
- buard -
--
BILON
PAR
trade Use
- - - NET
issue
- -
$161,000
$100,000.00
(AUX
$100,00
1 I 1 I E
n.m.
un
building Air Delied - registrations - a Partip-
- - - - - - - -
-
and
STATE
por
-
truny - - - the number - -
0.00
---
Twise Desist NAMES mas — a the
-
1 Islands
113,000
$0,000
$11,000.00
MM
10.00
MM/T
----
17.111,00
---
- of PMR 1 and minutes and Pumis Alive
I 1
-
ams
- required DV. ALL
10,00
02.02.20
---
----
Total - at Address
ILLNR
10,00
$12,000.00
$1,40
2020
com - - -
3,411.00
una
8.00.00
1000
Corpor of Englasement
Require -
Brown and
and supposement bartie
Comer -
evis
67,177,100
11.00.00
W.000,000
- - — -
CELO
4,000,00
- - - -
ILWI
AND
LACO
KM
-
est reported - -
15.00
1018
-----
- W / BJ
- - - -
1.00.00
---
- and provided
m.in
THE - - -
LISTO
-----
126,00
USA
USA
I'gne new
$ 100,000
- Build for If -
- am Orders Der
- -
NETA
46,004.00
----
----
ARE
- Pet Pivil Mind.
1,400,000
- - -
ES
- organizations on W.S.T - July -
- - -
-
- . -
1140.00
I/yer Anne
10,00
1,100.00
- Date,
AGUM
THANK - - - - - -
140,728
MI,T2
$61,04.00
-
0430 #
- -
- pare Prob.
280,000
- -
LIMIT
Maintenane and Impressament of extating me wed lurber
- company - Nra. -
-
and
- -
1963
---
Experiental - Arve and total
11,000
4,404.73
--
-
HERE
BLICHEN
772,198,000
Resirvin as of Bive
Find - - - - e
plus
LN. Γ. 8.1
E
---
272,138,000
-----
- Virgin - (M. B/. ALI of
M.M.D
Just in (RM)
-
project, Virgin rempres EN 2. #.)
7.79A
- - - -
---
- - Prese - CN
- Be det - - - of Mil-
I 1
- River
20,000
01,29
---
---
From - repying - emergency -
- - -
42.00.00
-
37,91,48
Wishings, rede, and streets, - -
I I I
-
415,000.00
MALE
-
20,000.00
----
-
Name - - - M. nad-rees
-
end personal
- une - - - absime
-
0,00
before to
- -
Les
Losse
TRUNKLE
Flood - Come. Calé
400,00
60,000
1,131,000
- essa - - - - -
70,000.00
100,000
200,000
Plant and Dr. Call., -
BLOW
- - Place IF - "
-
UM (R)
/ I 1
or
1,000
1,00
small
1,00
1,00
1,700.30
Find maint Chedi,
00,100
et
employee -
- - -
The
Find Diver, State
125,00
134,00
LM
of
...
- And of instruct RE
Jase P. E
USE
USA
NOT
Productive ---- - - Lake of the Vanta est
VOC,000
---
17,800
ERT
USA
times fire. MM
- -
From resired. Mulism For
--
12,000.00
use
USA
was
IN / 4)
- -
---
-
WE 000
--
Phoe time Form a 18, (JD
time
-
as
-
-
Flair ventral Salme like, Almas
an
-
152,000
NE
= 5 I I 1 I E Insurance
KIMA
-
AA
4.00
LM
Vating had et tarken!
- These - - -
Claims - - in - with - and tartor -
112.00
- Phicago IS - - - Primal - by Army da - - - - Die - -
-
Regraded Uclassified
THE BUDGET, 1938
A78
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES
A79
STATEMENT No. 2-Continued
STATEMENT No. 2-Continued
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES-Caotinued
ESTIMATES OF APPROPRIATIONS AND
EXPENDITURES
- of
Application
-
of
ELPENDITERES
A. ACCOUNTS
supplies
at
il
us
HE
Arma -
A GENERAL AND EFECIAL ACCOUNTS
appropriation.
Appropristion,
fina
7428
-
&etual -
was DEPARTMENT -
WAR
NONMILITARY
of Explorent
-- - - AMARA - 5 B.
Fanama
- all apentitions and dada
I y $
1 I I
time
p.m
pm
Total paint
$11,122,944
-
$11,781,000
- -
- -
ano
I . - I I I
delivers mit and delt
Turna
- - - - und vome was al
10,00
comprate
6,000.00
- - - - ADDITION of -
- -
The
- - - Home, - -
Total have Casel
ILIZUM
31,280,000
E Inco)
Last
- - -- - - - agree -
SUMMARY
number
438,875,000
-------------------------
1 I I
LIEB
188,171.00
- - - - nus -
-
- all - - - - que
ne
faist Wer Department
-------------------------
- - - - Party - the
I
ass
asse
-
- - - - - - checks -
DISTRICT or COLUMBIA
Tomal -
---
KAR
URRY
- Anothel Bridget
Febesi
FI
$1,000,000
-------------------------
$1,000,000
81,707,500.00
DV. 1. as
- - meets - - -
---
Test. if
8,000,000
1,70,200.00
A,138,000
- -
- - of -
---
am
INCLUDED
POST OFFICE DEPARTMENT
-
- - -
in Annual Deviped
- -
Three - -
injury
Tedal and additional parable trais peneral
IT,MAS
-
Inc. -
--
mac
-
I Federal be be determined by after of the reports of the Committee - Study of Fund between the United - the District
RESED
. - ---- - - - -
----
HERE
41,445,100
-
of Funds ADD induded in - far this purpose.
-10°
1. in as United Entel Maritime
Total -
estimated definity - to onlinet air all 100,000 transferred the United States Martine Commission - - of - -
ARE
11,08,20
41,466,100
SHRP
under the Marchand Mariza Att al NAME
I I
I I 1 I I I
-
-
! I
11,162,70
Trank - -
-
----
-
30,123,000
147,428.190
same
413,542,100
-
Total -- - - - - -
14,188.700
189,473.800
-
-
-
- - -
- - -
Visa
- - -
6,000,000
0.000,000
- - - - - -
i
---
- # - -
-
1.00.ne
61,000
-
- - -
1.02.00
1.00.00
-
I / 1 J
77,900
36,00
the
-ILTER
-
Insure
$00,00
. - -
11.12.84
-
Regraded Uclassified
THE BUDGET, 1038
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES
ASI
STATEMENT No. 2-Continued
STATEMENT No. 2-Continued
ESTIMATES OF APPROPRIATIONS AND
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES-Cntand
EXPENDITURES
Extrates of
EXPENDITURES
-
à DENERAL AND SPECIAL ACCUUNTS
appropriated
Appropriations
-
at
(M)
SATT
-
I
Extinate),
1997
-
i
RECAPITATIONS
I
-
$20,300,100
mess
Trust? Department
I
1,00,00
and operation.
(Res
(Kiep - -
660,000,000
-
-
60,300.00
ima
$40,000,000.00
245,900,000.00
42,780
ULW
I I
day
401,311,606
464,535,000
178,621,000
Due I -
INSURE
-
anme
I
nul Theiry Department
I 1
Rmv
I I I
----
88,000.00)
the before Pulice Date
Remyung - - M FREE
-
438,676,500
- -
ENTERY
- of - -
Taxe - -
1,04,00
Fill Office (Hourtment) delivery - paint Artes
amor
INVOICE at Column (Evises)
1,06,000.00
4,100,000.00
11,000,000
I
190,000
-
5,000,200
-
and for distimine dian' a
- - - at - Rist
- - - -
YNPP - -
---
Rama
- - -
17,000,000
24,000,000
----
21,233,000
Trial guard
lames
- - -
11,302,00
---
Total,
7,466,000,000.00
- -
AMERICA
- -
massa
This apprepriations, et expirations (gromal
-
11,000,000.00
ed aperial amminial
-
$70,000
time .
452.000,000.00
-------------------------
400,000,000
- - -
- -
--------
-
MARA
Unud tenal within approvation. and
- -
2,000.00
5,100,00
I
I
---
-
Date of credita, debort.
- - -
56,500
I These items un - by - et appropriation, being insted is this environment the the perjode of employee she pimine.
Time -
I
I
===
4,430,000
11,800,750
-
THE -
I i
-------------------------
1,433,000,000.00
4,000,000,000.00
1,00,000.00
I / i I I
---
I ! , i
-
----
-------------------------
- # -
- -
1
I
-
I 1 1 I I
name
I I I
-------------------------
-------------------------
ama
----
670,000,000
300,000,000
===
2 I I
MUSLINR
----
- al -
----
EXES
I
-
----
- - - -
-----
-
ling
I
LELA
/ 7 !
-----
-
-
72.944,00
----
I
-
- -
----
27,741,000.00
#
27,066,000
case
I
ALW
Have -
and
/
and
21,600,20
COMP
1
11.888,20
- -
<<<<
asize
-
---
/
40,688,000
-
/ 1 1
06.707,800
17,708,100
I / / I I
1V.400
more
Regraded Uclassified
THE BUDGET, 1935
(52
ESTIMATES OF APPOPRIATIONS AND EXPENDITURES
AS3
STATEMENT No. 2-Continned
STATEMENT No. 2-Continued
ESTIMATES OF APPROPRIATIONS AND
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES-Continued
EXPENDITURES
of
EXPENDITURES
-
(RIf.
-
!
E TRUST ACCOUNTS
- -
:
IMF
Pass
- you
Edicated, -
-
of Commerce:
I
--
BUS
ANE
- work, - -
10,00
6.00
D.NO
$1,20 07
-
0,90
0,00
comini work, (-
20,990
-14
34,000
---
- -
/
Pulipobe - fuld - to
21,00
-
23,000
25,000
- -
I I | 7
--
--
- - of - Baresa at
AW,
- must
seo
-
500.00
-
MB
- -
-
Them
see
to - formal Print
70,000
70,000
12,000.00
70,000
70,000
---
75,00
-
- - - -
34,80
2.00
sma
25,000
25,188
- - -
- Anumil - Placet Office
+ 100,000
1 1 1 3
LIMI
nos of Ustad Itstes, instructions
seal.co
ase
the
- - - information
- 265,1941
+26.00
-20,900.04
1 # -
100.00
-------------------------
- 100,500
--------
47,001,700
- - - -
OMB
AM, IM
434,790
- - - -
i
20,00
Department of - Enterter
* - -
12,100
12,900
%,000.00
12,000
11,371.04
I I
I - Material émailes
300
USLAT
- tamie it Endiate
6,100,000
6,000,000
4,100,000.00
4,100,000
- - - - -
treatment - - of -
212.000
215.100
180,000.00
300,400
476,000,18
- - - - - - Has
- - of felso Affairs
LOCA
I I f
1A
are
- - - Patient -
3,7700.000
2,298,000
1,000,000.00
LIMITE
1,300,40
R:00
I I I I 1 I
EACH
- - filse - Tests
6,000,000.00
1,20,000
3,780,900.00
From - - - -
HEA
- - fomb. -
21,000.00
- - - - - - -
the
National INS REVIEW -
-
260,000
---------
--
-
-
- -
- Expenses Memorial, committes
126.000
- - — - - -
-
fining - - 14. Liven National
1 ! I
-
-
z.em
100
2,000.00
Lood
1,000
-
- A - - - deposite -
Namel - this -
11,000
15-00
- - La - - - - -
was
Prints - in of and
mills Name
19.000
10,000
40,000.00
---
---
I I I I I I 1
23,000
1.00
- - " Finaleste Illegital
20,000
IA, 006
20,000
18,000
-
- num - lic.
123,000
196,000
130,000.00
125,000
I I 1
14,100
no
- depende aments,
- * - -
36.00
:
-
Title Dispartions of the -
6,674,540
- -
00,19
-
- - -
*EREWS
Printant or Justimer
- -
am many - non
:
Tea 1 other -
-
] I
Lends el Federal -
600,000
me,me
--
-------------------------
1 F
I i
- corre at Pattel -
Funds -
-
100,000.00
200,000
200.00
2,000
/
- - -
1,00,000
LIMIM
simes
----
THEL Department of Jonis
LIMITE
---
-
/ ! f
WILLIAM
Came
- -
-
-
Department of Laters
creatinary) Ben. Department of Later
21,100
27,000.00
30,000
3,00
----
/ E
12,000,000
permit - Department at
Later
4,000
4,000
4,000.00
4,98
0,000
LUMIT
2 / /
Viscol tes, Department of Laber
T.MI
2,00
20,000
----
T
I / I 1 /
180,000
num
gdi
il depente if alless - public charges,
4,000
LUM
A.000.00
1,000
4,000
LISE
- - - - -
:
"
as
- et - - -
1 /
---
200,000
-
term
vo.
273,000
/
- depail -
--
2.08.00
-
Test, Department of Liber
NL00
0,00
$6,000.00
82,900
/ I 1
telm
LAKVIN
1.00,000
1,15,000
LIZEN
F
ENG
have
-
can
3
ama
-
capi
hast reservation, deic tel
23.88
non
25,000.00
2,00
-
---
des your Xirp.
20,00
20,000
200,000.00
800,000
No for and
2,00
n.ou
20,000.00
22,000.00
15,000
PO of the Story, depesit funk
38,000
30,000
30,000.00
33,300
--
1,90,00
and
Innia of Comunt Sind -
100
7,800.00
- - -
and
-
Zisraf hast
1,180,000
1,200,000.00
100.00
LESAN
1 ! /
IVI of Maries Carps depende tasd
150,800
130,000
152,000.00
130,000
Lane
trust has.
I
:-
LEEN
LIKE
1,000,000
-
Fowell Provide ements
-
4,26,00
LIMIT
/ /
Tital Stry Department
LIPLAM
1,757,000.00
LIMITE
1,702,00
Earl
insure
I I
2mw
Na liftles Department, - depend -
imma
Lesse
(SIP
Email if mills, detail
Regrade Uclassified
THE BUDGET, 1998
AM
ENTIMATES OF APPEOPRIATIONS AND EXPENDITURES
A85
STATEMENT No, 2-Continued
STATEMENT No. 2-Continued
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES-Cestioued
ESTIMATES OF APPROPRIATIONS AND
si
EXPENDITURES
-
-
EXPENDITURES
control
Eximinal
a IDENT
M
IN
I
Eximel,
Harr
TRUST ACCOUNTS
being, Fille
in
Total -
-
of Name
Inco and quality -
RECAPITULATION
$1,00
M2,00
$3.00
$70,000.00
no.
$752,00
-
$30,000
- set -
200,000
20,513
envol Velenue
Tital Taxico lense minost et - fast
284,000
30,000
0,000
11,000.00
$0.00
tax
22,00
$25,000.00
mms
10,000
-
a
ass
yes -
ame
- - -
SELXO
400.000
DES
Total Execute liftle 1
126.000,00
Teal - of Has
pas
--
2,000
-
INL000
1,400,000
1,200,000
XIMIS
of
1,000,000
190,00
Travily Repartment
Department of
130,500
*100,700
+10,200.00
- of - - - A -
Dependent of the
T.TIR,000
100%
0.781,00
11,888.70
bets, - -
1,000,000
630,000.00
15.901
me
Department of Forting
Funer if - - - - -
60,000
AL300
8,000.00
M.DD
12,000
QM
20,000
tax
Department M Labert
Bin M - Mayor - - -
have Department
1,570,600
1,731,600.00
1.6%
LICLEN
+LMLIT
- - - -
-
no
100
-
Post extrace Department. payable from the Treasury
et promit 4 - et Liberty las - of
35,00
3,00.00
sure
180,000
diste Department
twar - - if - -
1,00
1,A%
Treasury Department
15,733,000
17,000,000.00
1,400
LND
- has tel - -
4,40
1,00,15
8,114,80
10,100.00
4,000
Was Department. Passicia Catal.
lies I - -
la, am
-
07.00.201
4A,500,00
42,000,000
50,500
al Comple
* LTILMAN
- - - NI - -
---
-----
Codented
- fax - fast Instruct Imaile
Date
16,90
---
16,000
Expense Excessed Tübe HI,
Twist.
17,200,00
mass
from - M. - -
---
=
30.000
- - at -
20,000
Adjustment to daty Transity administrate
--
-
---
- # - - falle the -
100,000
-
an
CON
N.M.
Total - - sependitions
see
20,00
200
- - " . liaginal 14.
-
180
1. - - - el - -
tool
190
---
- -
11,500.00
20,000
10,000
---
Firms of media,
I 1 1
- - -
Less
- - et Lowern will
- - - - - -
1.00
Las
4,000.00
5,000
UNE
il I I
Total Transay Departments
26,018,000
----
--
Her
Per 5 The - first
Il - - - -
LIRLING
800,800.00
1,000,000
80,100
580,000
MACLE
face et - personal Ver
790,000
790,000
Finalier all I -
an
Emis Tabs if - united times -
ILMO
400 -
me
- (m)
---
Days a Ma) - be town Many . Mar 1
Issued Having
Tape - - . - - Firsty
Program If - Tex, * - - listal
11,700
- - - I time
CMB
5,300
LINE
Final - - la Tiple -
LIMIT
- -
- - 4a - TIME - the the -
na 5 I
LACE
has - - - - - is que
--
181,000
Fulls - - . Em et -
a
MLBR
20,000
-
300,400
name
I 3 / I 1 #
ma
$11,000
---
LOLTO
For - - - - - - Name
NOME
218,790
I : I 1 1 ! #
38
age
- - -
26
200
-
11,000
20,000
ISSUE
I : /
-----
Beuer - if of University - M - - - e the
2,825,100
neer
-
61,000,000
---
I
- I I 2 I I
17,000
DES
! I T I
-
---
TRM
-
-
Regraded Uclassified
THE ACDORT, 1935
ENTIMATES OF APPROPELATIONS AND EXPENDITURES
187
280
ANALYSIS OF APPROPRIATION ESTIMATES
Government Printing Office
resule in onler to suide the Communion be bring service
records up tirdate Theremaing INFORMATION of $36,517,000
The - & = promit or
ADPROPRIATIONS PUR- THE Fresh Year
The estimation for the Covernment Printing Offive slow
is in the estimate for retirement and disability Funds, and
volume (ber appropriation octimist le Nie fast suif
sup of $15,000 for additional employees for the
is covernary to build up the civil-arvice and
1998 and the artivil for 1957 suf 1946
The detailed figures representing Um increase ent -
of Doenments,
disability fund to a propor level artil to provide $175,000
la alone at the additional
Creams to the of appropriations fine Types to
for a now item, the Alaska Reitrund estirement and disn-
down (in efficitivi (M. this and ser
remparion with the approgiciations actually mode -
INTEPENDENT IFFICER AND
bility fund. authorized by the and at June 29, to:te.
1947 am Exa lie hund in - actionary table at the
gol la a not experiênces im
la de figms ih the BA the -
of the of appropriations for mucls department
Office
uper slint Up Care DE les
de three entimates are presental in the enter If
District of Calumbia Alley Durilling Anthority
serjurnt page of the Budget. The unportant ilams e
The estimates for 1938 for the Exemition Office slow a
Non a the to (hre et
- MF decrease non otomarized below, -
decrease of $70,052 below the appropriations fur the
The Authority contemplate et the pro-
des les el 1997 um the
the page indicated
Boral year, doe to the elimination of nanrecurring
enum for elimination of ulley devillings in the District of
atum bill have - male by fingrai far the
- onl un-
/
Itemp far improvements to the Executive Matrion por-
Columbia - provided in the District of Columida Alley
(viguative
valid for in the appropriations for the fiscal year 1937.
Dwelling Ant of June 19, 1944. To namey out this pm
rie of the Tur - final onli Up
-
Endoperatent
gran the Authority authoripate the stare of unoxpended
lat shink la approventations con made The
AAT
University emia - and crulit administrative
Ins alumi La lin law urganization
fiving
American Battle Mongenents Commission
belsons of the of allego plus
8
receipts derival from sales, - naisl other missives ne
mits which the Provide has for list Can.
General No Works Prischas
de
Exemine
The cultrate for the Commênion for 1038 above an
authoried in section X (h) at that APL.
(ine appropriation for (M) fund (our no
Intres of Formams
No appropriations il will M (IFO of too
(in)
increase of $67,073- The appropriation for
1101, trade available $100,000 [rati] prior meyerr
Employees" Compensation Comminication
powers the and and The antival
LEARNATIVE INTABLISMENT
Indences, which, together with the appropriation of
appropriate volionity fund in the impartantal
provided . total of $171,000 for 1117. The
The estimates of the Commission for INCIN show an
suply Milk an and will, your fy do They
Tim appropriation milimation for 1938 alsow - al im
olimates fur INCIA recomend an appropriation of
apparent increase of $5,114,450 in the annual Appro-
are mills and - in They
of $1,120,728 nevir the appropriations for 1977,
$125,673 plus $21,387 of the mesponded fulinos of the
persions. This is the appropriation sus for the
my le mily during the par NE which day
no-grees appropriation, making ovailable, thereboro, fur
focal your 1047 made avoilable the cutiro annual appro-
relate, last Ire personal of
lim your any and
Service
150h, $160,000. This is é reluction di $11,000 below
printion of $12,050,250 to the Commission from balances
de streemt available for the fail you 1037, due to
of the special funds, "Employes" compensation fund,
Inlance E mmil little the Coml" of
The estimates 1st the Vulted States Sensito size as
reductions in mindenance and other operating oals
civil works, 1034 and soil "Energency" Relief
The Tie performed SPP
materily missing nib you ene # jernal uf fine har
invesse of selarios eral expenses. Joins Commi-
Appropriation Act of 10%6", wherens 33,451,160 in new
virtue el (mm/dd) williams annual ention
ten un luternal Reserve Tasation:
Hard of Tax Appails
being for the fined year 1085 of the
remissione balances in special funds for "Employees"
by the Colgram - may las
The minutes her the Board for 1018 show il net des
House of Representative
compensativo fond, mill works". "Employee' competi-
quelific or en w in excepte- of line
emun of 45,000 The appropriation aci fine the found
within fund, emergency entervation work", and Em-
latter e the la met the interest
There B a net reduction in lim estimates for the line
your 1957 lawever, made ovolishle $5,000 If the IIIH
players' remponsation furnt, emergency relief", and
(R) fin unimal - Time THE - oppropriations while
of Representative of $21,570 which results from
expended belance of the appropriation (hr the Escil year
$5,124,450 fut direct appropriations The administrative
- 01 (in be date not
amounting to $20,250 la the estimative for contingest
1905, then providing . total of 5540,000 for 1967. The
expities and the "Employers" competation fund la
products 00 fenten The - in lhe Boulger Too
status or primium - yearly
experience of the House, and increases totaling $4,0N0 for
actival is therefure $11,000. The decrease is
comparison with 1987, there is an ortual
sularios of official reporters and committee stenographen
due to reductions in valury expenditures, trasel, and
reduction of $4,110,040 Fur 1938, corditating of increases
effective Vice F. to the Persionent Appropriations
reporting services, with slight affetting increase in muip-
of 66,301 in ninnection with " evatemplated accident-
for of the PM The l'argina sime
will registed os nill Kan
Juint Committee (MM Imagural of (A)?
ment and other contingent expense items.
proventing program, $1.200 fur a early sugmer, and
$5,000 for printing - qualifications IND accident provintion,
object los what the -- inside - to lego
The appropriation of 375,000 Der the Iráni Committee
of the of the firth of Putrick Usary
with afferiting diamises nd $4,119,540 in the verious
9 defense lever and
193- - - "In-ter" apprepriations.
up Inangand of 1007 is is the
Pursuant to the outhorization contained in the art of
employees compensation funda. Such reductions any
The are los The - of were
Incli your LUMA.
positido benause of the decrease in the nurgher of poter-
Congress dated June 5. use, $10,000 que appropriated
tinl
Immediciaries.
Archited of the Capital
to old in delraying the expenses for the exlobration of the
There isalin a $10,000 decrease alsown In the premissions
Extrive to The Usive cólomo and/or The requirements
of the birth ul Patrick Henry lest at Hanover
------------------------- Say THIS alores the minal
The submitted fur the Architeer of the Capital
Courthouse Va, July 15-17, 10.16. such sum having been
appropriation [Arust Tur relief and rehabilità-
Toa 100% show o net of $1,025,098. The prescipal
Nim, and Marhne Workers' Company
form The Has Read your Them Egminie,
expended by the Patrick Houry line, in
well- a document am adjusted at
STATEMENT requested instude $370,735 for improving der
tion Act. due to e reduction in the lints natimate of the
- with the act
Copital Grounds, $15,131 for maintenance of the House
amvunt which a is seticipated will be received and
the M The as -
dates Thereof, Tim MII
Office Duilding $114,155 fire the Capital power plant,
invested durine the finest year 1938, thrue making a total
Cystrol Statistical Board
- an mind - - The for DATE amt are
$11,400 fur the Library Building and Grounds sol
not increase of $3,134,450.
Num A cash Net informal fun Drem tram 100%
8641,340 The the Lilirary of Congress Annex which will Lei
The milinates for the Board for the fiscal year 1988
time - 14- Card the time along no
complaind forms the appropriation The document
slow 6 dortine of $1,420 due to reductions of $1,050 Int
Naieral Communications Commission
for payment - ni offiligations Tot
the - Swyy storm the opportation mele
$134,2000 the Copital Building and repairs and
salary expenditures, $000 for printing, end with an alle
851,140 for repaire and Deprovationts to the Senale
mitting increase of $200 for other operating expenditures.
The appropriation estimates for 1938 show as apparent
decrease of $245,000 The appropriation det for the fiscal
Column us THE DOB 100 The through le Themas
Office Boilding. both of which are nn activities of income
year 1937, lurwever. made $1,000 evailable from the uner-
Number Pro Una not in Missin the Consenta) Hime
that are in 1999.
Ciril Sereine Commission
persided belance of the 1035 appropriation, thus making &
" in - - - - the
The entimates for 1928 for the Cummimion provide for
total of $1,875,000 available for 1037. The actual des
- - - with . - - with to a
Library of Congress
in represent instrure of $26,621,000 HYPE the appropria-
expire is therefore There is - decrease of
- Ental all and - -
Tie - - the - in Das Statement
The total - in the estimates fur the Librers of
tines for Ner fiand your 1937. The appropriation art fur
$400,000 due to the expiration of the spurial whegraph
the fiscal your 1937 made available $6,000 from the unes-
and telephone investigations, with affectting increase of
services las - the - - and The
Cougress americable Tax $152,240, of which $85,100 la fur
period bilance of the find your 1935 or A total of
$100,000 in procest expenses del provide for
person The comfire PP
salatives, $25,000 in for increase of the Library. $15,50 is
$48,555,000 for the found suar 1037. The actual increase
additional disties of the Commission in rennection with
is detail - in No.: This Hro -
for printing and binding, and $3,290 in fur the cafe and
- Unevilore For administrative expension,
the redistelegraphy providers of the Convention an
of the Library Deibling There is a -
$2,455,000 will los required in 1038, which represents a net
Safety at See signal by the President no July T, 1020,
- $12,000 in the estimates for trued under
DETAILS of $100,000 Aver the eatue appropriation for the
and a non-murring Hens of $74,000 for new university mulp-
the Library of Congrime
firmal year 1907. The increase is nonrecurring and in
ment.
Regraded
Jclassified
THE INTIRET, ross
INTIMATES OF APPROPRIATIONS AND EXPENDITURES
ASO
Enternal Commissione
miney signals therefor; $40,000 for expension of the
The - 6+ no for the stare eu
rand contract work; and $750,000 for experience - a
Protection of Interests of the United States in Matters
and to the blind, $2,000,000. then are esclo-
Repartment - of Emilion the -
work in the enforcement of the Mutor Currice Ant. L
ou Lamb in Family Noval Review
sive of the commition of the availability recommended
- ès the 30% The agt. Tur the
or an offetting decrease of $100,000 for the They
the use of the Inlances the 1937 appropria-
property of carrets, which it is anticipated will 4
ne retimale of $34,000 is the sur es the annual
times fue administration and for pauts to States for no-
and for GST, limever. maile suit simil STATEM
arailatio Trail the unexpended Gelance of the nas as-
hamper currently, slan Commission in revising la relustion lary by
spyropriated las De fival yesr 1117, This appropriation
employment administration, The de-
M for legal pricesslings in the litigation cur
m $12,400,000 for nage resuls, a nontenarring
liam providing é total al (si 1/017.
arming former novel reserve in the Mount Diable
item fir IUNT, and 62, 400,000 for general administrative
The actual therefore The
Immiros of in Irant expenses
Nitional Adriss Committee for Assomatics
action
and printing There is the a ust trial income
Retirement Boerd
las # of di other
of $71,800,000 The decreases under general adminis-
The entimator of $1,280,850 for this Committee Int Its
that expenses take into osteidenation e
- repairs, $1500,000 nantral
is $1,203,700 less than the appropriation for 1937. The
The intimated fur 1038 show an appinal distrase of
l'ewn 100% and en not The line
tion that the inficipated bulance of the 1997
induction is due to the elimination of tim
$47,220,000. Due to the delay, briver, in the payment
LE due My the fast that Une
appropriation approximating $8,377,502 be maile urail-
- to the di will to
items of coletruction, $1,100,000 for n wind final will
of summittre during the fiscal year 1047 there is sufficient
able in the fineal your 1038.
affet en part to increases of $50,000 for additional
tank and threemary oqtépment therefor. The decrease la
$267,000 for lengthereing of the semplane modal Valar
bulance in the appropriation for that your to eare for all of
IIF the entimates of the National Vark Bervino for
HOOK mediumal AMOUNT
the geods of the Hourd during the fistal year 1938.
Tarif Commission
and are la interned salary Representative
Requirements for administrative expenses, including
NOME
maint required for operating the Time facilities, Rin per
printing, liare increased over 1937 by $1,300,000 dun to
The the 1005 show un approved et
for equipment be new structures, and $2,300 fue printing
the nel of morring records on which annuity certifications
$11,000. The appropriation ans from the lieral yver 1037,
Friend Trule Commission
technical rejuets which will result in view of additional
are losed And of clearing an increased number of amounty
however, $4,900 from the unergended
The No The Communication fue (W) due no
facilition, lonving il unt decrease at $1,210,700
applications.
balances of the appropriation for the for
the final THE DEL). making a total therefor
- of $442,000 medi The for
lurwever, Milk, 162 - provided doo 10 the claim.
National Archires
lhos] Clertrification Administration
of $060,000 fur the foral your IVIT. The actual deverse
0 30000 of isume instruded in the 1047 alime.
is accordingly $15,000 or this immunt 810,000 referue
- The - provides for enforcement
The estimates for 10%5 show an increase nE $177,000
The milmates fue 11015 show nn apparent increase of
senta è decrease in solary expenses. Them b " Toriler
the appropriated for 1037. This income la pm-
the appropriations lise the fiscal year
- the Ant and " item of
net decrease of $5,000 in printing expenses,
4120,000 for the form nevery provided DIE in
cided in unler to pormit employment of additived par-
1907. The appropriation for administrative espenses of
Patilie No. Congress
commel and provide for other expresses involvest to the
the Administration for the fined your 1957, however, was
Transure Valley Authority
operation of the unititional stucks, the the of which will to
supplemental for emergency funds of $202,440, making a
neemary during the fiscal year 1938.
total of 91,302,340. The mil income, therefore, as only
An Anoxed Budget has beeu set up fur Man Tennessee
- Pan
This increase includes $317,050 fur admin-
Valley Authority as in 1917, with the appropriation ne-
"The of 1500s Time payments lat ufficers nel
National Capital Park and Planning Communico
benefire and printing express, and d. new item of appro-
quirements - they affect the general revenues of the
players of - Contact Mains date to approvation of furrigo -
printive m the Amount of $20,000,000 for loans for financ-
Treasury brought inin Statement No. 2, The put BX-
- - - - of Tito
The admini included in the estimates for the Commin
runil destrification projects all defined in the (lurs)
penditures am carried En (be General Buiget Summary
En The vary (mm/yyyy) instadest
sinte for 10016 is $203,700 RIBLY them the amount approved
Elestrilization Art of May 20, 100% In 1017, Incide for
and supporting achodules. The appropriation
of the Has
oted fur the current year. The increase and the (bus
loan am advanced, as authorized la (lie act, by the Remin-
musts for the final year 1938 anions to $43,000,000, utul
provider - to Mus making - total of
appropriation M inredent to the needs of the Conamision
Finance Corporation in an amount bot to excend
supplemental thereto is authority for the Authority to
- - far the Threl Your 1007 The actual
in os More in developing il well-munded park, parkway,
550,000,000.
innur contractual abligations in nn smount not to exceed
to Hormfore The -
and playground system in the District of Colundia
$5,500,000 for equipment Tax Ire installed in dama nod
- exchanges vurious in instain dias
Securities and Evelunge Commission
power-bours, the details of which will Der formal under the
National Lebor Relations Board
cuption "General Public Works Program."
The estimates for 1936 indicate an apparent decrease of
Office
The solimates for 1938 show an Increase of 6.50,000
$143,000. The appropriation act for the fined year 1957,
Thumas Jefferson Memorial Clouminazion
Iffline The alima minute THE Ultra for Oho
The eppropriation five Min Board for the liseal year INT
$7,000 of the mescpeinded bal-
- e - or Milk ano The Amountame
was by emergency funds of $18,429
of the 1985 appropriation, making a total of
This Commission, created by Public Resolution No. 415,1
morking " total of $774,420 available in 1987. Tw MI
$1,242,000 available for the Geral year 1087. The setual
Seventy-Hird Coogress, approved June 20, ka
My appropriated BI the PPINE
I white to, therefore, only $11,571. will provide for
decrease is tigerefore $350,000. This decrease results (mm
authorized tax consider and formulate plans for the
- APE Timel your Find
en onledy expension of the work of the Bonni
- midiction of 85,000 in contincent expenses and $348,000
construction of a permanent ammorial to the increasive of
Utter - devolving or the Commi for the
indicated seving in the final year 1997 which or is beloved
Thomas Jellerson in the city of Washington For the
- - with the of Insurance
National Mailintion Hound
can he continued in 1038 due to statulardization of work
fiseal year 1937 $15,000 was appropriated to ment ex-
- 100 Experition Communications
The for 1165 provide list un approved DVNR
and other revings Visi may be expected M a result of the
person of the Commission, in carrying mist its datime as
15 311,205 The Appropriation Act for (lie Heal you
experience gainnal by the Commission sizure the date it
described in the above-entional public mailution
100 Tom - Kim WAS conted Tax The act of
1937. luliers mude available $74,904 of the
was established
United States Constitution Commission
- ex Tax - of participation by The April va,
of of Ne THE appropriation thus providing . taté
Smithermiau Institution
- Num Experition held su The United
for KLASH in the funds available An of 62,89
of 104 Tue 1037. Theiro is, therefore, a not driver
Ender authority of e joint resolution approved August
the They - 1996 -M The - extlomed $275,00 State of
The entimates for 1938 exceed Use appropriations for
23, 10%5 (411) Stat. 730). there wige authorized to be created
mie statisticion in the Mediation Board e offict to
1047 by $24,750. This increase provides $4,500 for four
a Commission las plan for the of the aue-
divrease fire nf $2,100 in expenses for referer form and $5,00
additival guards Inr the National Museum,
hundred and anniversary of the drafting of the
Intending Commission
potient Boant.
contragent especime in the National Retirned AM
itement $2,200 for new time how and $5,250 for new water
Constitution al the United States In accordados with
- The - - of - for CASS Imp the
munertions hormesary because of fine hazants in the
the terms of # joint resolution approved June 1, 1000
/ above Inseg-
- the appropriations an fun opparent the Home
Northwest Irritory Calabration Commission
National Mussum, and $9,500 for printine.
(40 State 1992), $200,000 was subsequently apprupriated
to anable the Comminion to make effective such place
EXPIRATE for
The Commission, to Public Resolution No 11.
Secial Security Board
when received by it
- An The provided the belances la only of
provide approved August 2, 1105. is la
hundred for the others Know and colobration. of the off
The extiuates for the Boand for 1935 shuw ab increase
United States Harmerd University Terrentrutry Commission
- mines - line to increase importions us for
Ordination and Affints Miniversary of the adoption all (M)
of $71,800,000 over the appropriations for 1097. In-
of Main and provide bred resiting of changes from in
totaling in the greats doe to
This Commission were created by Public Resolation
And of 1787 and the of the North
füll Terrivory The all suthorized $100,000 and to
the interest number of States evining within the morview
No. 88, Seventy-fourth Congres, approved May 7, 1936,
of Social Security An am as Indaws: Ohd-ago assistance,
to provide for she representation of the Government and
abount was appropriated
$05,000,000; aid to dependent children, $19,600,000; and
people of the United States in the observance of the
Regraded Uclass
all
THE 1014
ESTIMATES IFF APPROVEMATIONS AND ENVENDITURES
ART
- of the Consider of Harvani
unler The 9570,570 shown for 1927 is only vellines
l'airal Hanning Administration
College emi No Ingrow el higher lo die
pumil operations until the state of expiration
works of the Givernment, such - Frotoral
The astimate of $5,500,000 for administrative expense
rivor and funcluie improvement, und Pood-
Intel State The and without et whill
$1,500 --- appropriated,
Plurrie Home and Form Asthority
projects The milimins of appropriations for
(inf the Administration in 1938 represente a decrease of
102% provide M total of 41 detailed below,
+2,500,000 below the amount allowed The 1997. The
The art. of March 21, 1036 (Publie, No. MA, les
in compareous with appropriated for the
- Montrum Communication
- in doe to the expiration of title 1, insurance of
('onig.), the Elevine Humo and Para Arabony
fiscal year 1947. so of 870,028,414
leans, e April 1, 1957, the reduction in
The Medos los of 1986, approved 29,
OF on servy of the United States mut February 4, not
our the providing appropriations The milimatre fine
for informational purpose, and
DOS are timient as fullowi:
- meted Mates Montime Commissions -
The $125,00 down for 1817 provides fonds for win
(Inje of with in commertion wilh the insuring of marigage
The - of the (or de pargow of Turther
until that date only.
bails
Valley Authority
development and THE and
America number marke fu promoto the of
Expert-Import Bank of Washington
Feieral Hurings and Lann Insurance Corporation
For the program of the Termemo Valley
Authority during 1918, $17,000,000 km prove del. his
1bs Called - nal M the las repend
fattral ntal for purpose Sinen
Unior the provisions of 0 of Uwars of
The estimate for HAS is $39,160 in oness of the allow-
increase of 38,100,000 over the appropriation fun 1037.
Use Anstrument willighten flas funds will be
al, (943, (Public, No. 1, 74th Cong. 2, this know +6
um (in 1107. It is anticipated, hownver, that approxi-
In addition luminver, to the appropriation of $19,000,000
for (ii) extimate
expire on June 16, 1017. Therefore to elimity .
mily 875JMO of the amount procided for 1917 will nui
in 1937, them is almo availaide for expenditure during that
la transmitted Tue thering 1107, the
transmitted for the list year 1035
la oblegated Amentingly, un an expenditure lass the
year 35,700,702 from unexpended balances from foroter
will Is Into the Shipping Board
Int HWB will lie in the visimity of $04, 180, dun to
years, whereas there will be no unobligated Indunce of the
Um Membarst Elect Corporation and the Pust
Name Credit Administration
in increase in the number of insured institutions and
flow of the fiest your 1937 available for sispenditure in
Department During Insb 1972 and is will
Impre of dont impervision.
1008 This will thus l= n lutal availability of $48,00,702
- conside suim which n milerte from The
The relimite of $4,000,000 fire the Firm Cradit M
for the formal your 1927 B* with $43,000,000 for
incerest and [mu the solo of ameta
for valures and rijebses for lbs Doel jou
Federal Surplux Communition
the final your 103X, or $5,600,702 less Tna 1938 than for
102% is the to be appropriated and is the same
1937. Supplemental to the 1028 apyropriation require-
- the appropriation Inr. 1017. The pres which
Loder the provisions of section 7 of the act of June 2,
ments, however, be authority to innot contractual obliga-
Information
will to evailable in TOMA is $5,060,736 in comparios via
Public, No. 730, 74th Code.), the authority for
tions in en emount not to organd $5,500,000 for environment
To - close for Para the activities vil
$10,014,407 ⑉ 1937. The decrease in the and require
this Corporation to operate expires un June so, 1937.
to he installed in dame and power-hous
Jlan - Lie - with "
Tup 1088, amounting to 51,081,731, a due jormanly
Avonutingly, no estimate in transmited fur LOCIM.
SINE un of $2,740,000 below
to the fact that funde available for 1967 included
Department of Agriculture
the - Re DC,
trabile exprisses invidental by the making of lass M
Home Owners' Lass Corporation
For the of Agriculivro Chese are submitted
The of for pervinos and - in 1024
fortunes for crup production and hurresting Sure Y
authority estate for making loma of this character done
During the last e months of the fiscal year 1036 Use
estimates of $150,000,000 Inc the Federal-aid highway
will - enter Insia that - appropriated for
expenditions of the Corporation WIIIT reduced substan-
$6,000,000 for l'ederal-aid memodary or fonder
MAY U.com -- III $7,000,000
the foral your 1935 administrative expenses will to
diverent accomlingly.
Hally the to Name devrase in the number of luans being
rowels (including form-to-market roula, rond-froe-delivery
for - $7,100,000 of which - doe
claim The loaning authority expired OR June 12, 10.46,
mail roads, and public-sulined box montes); $10,000,000 for
yas the - know Compres responsibilited that
D is That 637,505 will be expended is 1,000
and the Corporation - la 9. period of truni-
Fatural nist in the of bacania to life ni reilized
for of credit unions from Inrs collected
annual for ONEZ no 636,700,000
liver Frain 1955 with medical the regular
from mult mains under the provisions of the at of 200
Hoo, its activity changing from that of making funns to
grade $2,000,000 Due Name survey, cunstruction,
d'or and navel - them - an income of
20, The corresponding Gaure for 1907 em 905,281
servicing of loans and making collections thereon. The
revonstraction, and maintenance of main roads through
new operations are BUIV will under way and will probably
unappropriated or unressived poblic nontaxable
Park United - - efecured by the Cost that
Montro The ex valually decording annually,
Printed Emergency Administration if Pullic
marili a peak in 1035. In order 5 provide for this Bew
Indian londs, OF other Federal reservations other than
- missi The oppropriation for har timber
program, the 1935 estimate is $32,000,000, or $3,000,000
forest reservations: and $14,000,000 for Ilve construction
- box/F Day and that -
The inflamate of $10.000,000 for [038 in $1(1,000,00 -
la excess of 1917.
and maintenance of and trails in the national formats;
" total of $131,500,000. This in BB Increase of $113,500,-
- Tue, necurring in the
than the smont provided for 1027. The nummer
Remastruction Finance Corporation
000 over the total for 1987, musisting of $00,000,000 for
- - 190m.
provides for . liquidation program starting July I, 197.
the Foleral-eid bighway $6,000,000 for forest
Der of (co information service send de
Service 1 of the act of January 31, 1936 (Public, No. 1,
result and raile, $5,000,000 for Federal-and membery or
supplative - fullowing the publicity given
100 - Importary of the large number of
Pedecal Form Mortgage Curporation
Title Cong.), provided hir the ottension of the loaning
funder reads, $10,000,000 for Enteral-aid elimination of
The of $15,000,000 fur the Federal Pvm
authority of this Curporation la February I, 1037, of such
grade crossings, noil $2,500,000 for public Iande runds.
exx of the Entere Lust -
Martgage Corporation for the times) year 1938
order date " the President may lis by proclamation.
The 1005 estimates for Federal-aid terminary un funder
so LE United Concernant Tired
- - Names trail - Date be an of $1,821,00
The estimate of $9,500,000 for the Corporation En 1938 is
roads and for Federal sid in the elimination of bearde to
an suctime of $1,240,000 mar the estimate for 1957. The
52,445,308 less than that for 1907, The estimate pro-
life at collroad imado crossings um the first estimates to
- - - of CHARGE on - funds of patients and -
include is due to the larger volume nt lusse to be service
vides for a program of Inquidation. See Annexed Bodget
be sobmitted in the Budget for these purposes, being
- portal from of
and aprio wideh collections will be made, and in
for details of 1948 operations.
authorized by the not of From 16, 1936. Enderal fonde
- EXEMPT INSPORATIONS AND colum
of fario proportion white
for theme purposes have heretofore heen provided by
-- classive argisted by the Corporation Holer -
we Martgage Company
emergency appropriations for evilief smil
Folind Name Loan Bank Board
No ellimate in submitted for this agency - all of its
work relief. The domand availability of everyoney
- To- lo dos Delivery Appropriation Ari,
are paid by the l'econstruction Finance Cor-
appropriation funds tu 1935 for construction work on time
- FL lie sillives information should le
- - The of - : date required
The Tnr TOMA envers the expenses of the
person.
bictway system accounts for the substantial
liste paid Insus the uppropriation of receipts derived ima
increase in the appropriation required for that purpose
- and 11.00 The for
el (In with the
- have, modia nin
- me Intend boue han banks and Inwi aller
Servid Eayort-Timport Bank of Washington, D.C.
Department of Commerce
sume The extimated relministrative expenses fin 199
la encordance with authority contained in section 9 of
de lou Whan the amount provided in 1007 li
the and of January 31. (Puble, No. 1, 74th Cimg),
Fur the Department of Cummerce the for
(mm/dd/yyyy) of the an to,
allowance lor 1007 will am be obligated. la allina
that a substantial amount of to
This acency Who disnded by the President, effective
1955 for public-works enustruction are $1,204,250, repre-
June 20. 1001. This action ve taken by Eventive Onler
withing ao directore of 8940,250 liver the 1037 appropria-
- Findy
FPI provision is made la Ins for promotional activition le
No. 7X05, deind May 7, 1936,
tion. Instance of priver yest appropriations,
PG - = United of drug 51. Just
lunn provide fur the of now Federal saving end
increase the total amount available für obliga-
- - - date lhe (Public, Credit No Cap. F,
the immitions, the conventing of State institutions a
tion in 1937 or years to $2,240,000 The
GENERAL PRIME Winks PRINTIME
other Amilar activities. There is à substantial -
estimate for 10018 contemplates the replacement of a ++
M have Le lical not the Persident April 1, by Everytive if with
vition for HILTON in the examining form in 1948 required
An important item in the Indest for the formal your 1905,
year-old lightship and the rever-
and of the increased mander of member institutions
as il was alio in the fasil your 1147, is the General Public
ditioning of nilher vewels, und Ove of aids
of more (requent examination,
Waths Program in which - made for the public-
to marine navigation.
Regraded Uclas
THE 100%
ENTIMATES OF APPROPREVITIONS AND REPENDITURES
ASKS
penel and correctional institutions, Instuding the me
/ of lie Visal Content Art of June
agreesifical motor of Deliville, Md., $100,000
Indentent of three DOW Federal jule (not to event
including $000,1990 for the making of prefentary
for the payment of Indentation fur rettle slaughterel
No
Do
instruction of dwelloiges for prima Many
and surveys of Rood-control projects by the
of 86,000 in mm) demands far
al winting inditutions (mid to excend $300,000 with the
requireder for altering and signting other Covernmento
(Ver Department and $500,000 for expenditive to the
additional qui reserve mirk at writern
Department of Aprimdeure for prefiminary examinative
market and $174,800 Be ablitional Fedend ment
E
property DIFE prison purposes and extensions to Printing
and any (ur no-all and wairr-daw interdation and
impection service
poi BII
end provision on No interdade of
For the Birronn of Plant Industry A. restruction of *40,528
- in (in and invoice for al-
Department of State
- and $22,500,000 for ontiming the work of thoul
for dry-teme agrivaliture - minualed, and surreases of
The of $1,000,000 live construction www. United
conted on the Missionippi River and unles Um
$135,614 fue various activities in connection with plant
:
My Enforment al Shale in for do International
provinue of the Flood Control Art of May 15, 1926, -
and related problems
-
L'aited States and Meximo, of which I
insured by the ant. of June 16, 1956, The total But
The of annual appropriations los the Forest
100 for -
18 Tar law of the Bin Grande tu the a I'm
for 1004 uver 1VST amounts to $7,572.00
Service, dealing, arang other things, with the administra-
Was - Bird process
- wgrl Xw
late alley unler Op convention Fulmury
consting of ii dorrease of $20,027.00 for the improve-
finn of the mational forests and the application of forestry
1001, between the Taited States noil Metion:
med of rivers and listlaire, and inciress nf
or both public not provide owned lands, Indeste n net
for and control under the Dumilias Flood Control Act
for construction, including surveys and nime
intere of $1,750,177 the amount appropriated fur
-
mapcal mill
me. the Kive Le
of le United States parting of Our projed be
(m) $7,560,000 fir that control on the Mississippi River
1187. This instruction items of $12,305 lue general
and Ha tributaries.
maind the lowe Nio Grande, - by
$700,000 for protection and administra-
Pro
tim of the national $50,000 for Propost manage-
the approved Amerest 19, 1995, de amended lo the -
DEPARTMENT UF AGRICULATIVE
for to Promote
of Mo 21. (606) and 51.500,000 fur imprining miller
unit $44,000 for range investigations:
(louft Manian
live of the Rx Grando project a
The estamies of appropriations fur the Department of
$20,000 for investigations al the form products Infrom-
Agriculture for the Find your 100% invoive approvally #
biry, Madison, Wind $20,000 for formst mayey work,
I
the
No.
by the acts spproval 29, and date 4. 1018.
Doe - Ma
suchading mit M $300.000 for completive of Me
- of only over the appropria-
für investigations: and $1,000,000
-
il
of o diversion dam in the Rin Grande
fur the year 107 In milition la such family,
fue corperative acquisition of Junds for State formate
under the Fulmer Aut of August 29, (93). There is "
- o - IN novel (ani of
in the United States with appurenant la
Upone nas nuels available by Congress for 11/17
not reduction of $140,000 in the item for form influences,
Les - es Mines
arrication systems. These 1965 estimatio class
of unitilizioni balaure of prior your appropriations, and
6m 1014 the estimated evilemplate Hin provivion
up of il of *170,000 don (if of
HOME For - form
suprovimate the 1002 appropriation of $1,500,00 vale
the agains de
for by Ne International Busindary Come
of funds of (lús character to the estema of $75,804,000
the - project of Irem and should in
- - be of The mothé-
04, l'eired está Meriou, consisting of 1,290,00
Adding these figures la the oppropriations mude
Une Point register, affact in part lo un airmas of $30,000
for investigations relative 10 watermal
in a e - the Así
fin rechfication of Un (los Cirando in the El Pro-drum
juy 10A7 and Change entimated for nos given A total avoile
- - all of No of
Valley, for the fuwer Rin
indity of 5712,71 for 1007 and für
Pur the Buman of Chemistry and Suile a tritul invream
the - Card tim also
project, and $1,000,000 fur heginning restruction uf Der
in for 1915 al The prin-
of 803,000 La provided live 1059, of which $40,767 la for
divertments dam
April items of and which ronstitute
investigations of the imbustrial utilization of farm prode
biller (a) (af lb Inso M
Treasury Department
the (11) supporational en follows:
nets smill $10,000 for investigations respect-
lie with or no-
- - - you The of the No.
For la Office of Experiment Stations, the sum of
log agrinuitural fins and explusten date: soû $2,160 for
naval stares investigations.
The - - ID us
Tim milminies for lots for public works unive the
5172,500 is provided fur statutury in payments
Travers Department amount la $40,131,004, na non-
lue Friend and la (las States, Hawaii, Alamba, and l'ierta
not of $12,545 in time for the
of of male and is
- - - - niler of
purol with oppropriations for DUE of $85,550,000, For
Kim I'm the special reserve fund established under
Bureau of Enternology and Plant Quarantine nation-
- et ID- the IN non, and lat
Up construction of public faildings mitable the District
the authorization contained in title 1 of the Bankland-
plains a total increase of 5721,840 over mirrent appropria-
use - ni the Phone
of Colombiar las lan substed hy Name Secretary of the Tream
dates Act of June 20, 196, providing for special research
tiums for varines activities draling with investigations un
the by fla ALL of loss in 159),
life and General, anting juintly, from prible
in have Inc. and principles relating to agriention, and
insorts and their contumie relations, the development and
only - of 110 of of New 10.
the the estaldishment and maintenance of meansh
application of outlande of control and medication of burt
fuilding in Statement No I
on Date Or Email Vein. the in
Informaturies in major agricultural region, e
pesta, and the of certain sportos of a
with - the (ber
in Hous Report No. 1550, Seventy-Mini Compress
of $100,000 is provided
pacadine. This increase in lurgely offict by A. total ne
min - revised, and Statement No. $ attached
signe nu linking
thereing the nil $23,000,00 is
Me the activities of the Extension Service, which anit
durtino el $710,000 mais pusible by the elimination of
If misimution all moils
Fir public billings la the District of Columbia Be
the Smith-Lever, Capper-Ketcham. Bank-
two sontenarring itams of $40,00 and $730,000.
Ilm milianity di
and other acia providing payments lo States,
For the Burnáu of Biological Survey three is & net lo-
is $7,025,000, of which animal 500,000 -
ml - fun
live contituation of construction nil anges for the
Hawna, and Alnsha fur mignessive agricultural extension
PERSON of $144,110, considing of 6 total incream of $174,
-
1
-
all
with a net increase of $3640,000 is included
224 fur administration, for resurd, into the habita of
Government Printing Office. $2,328,000 is lut eximpletion
United principally of - statutory provision of $1,000,000
binds and animals, for protection of migratory link, and
of (Dustruction of the odditional buibling for the Rann
for to State under the Bankhaul-Jones Are,
for the mintenable of mainel and binl reservations,
of and Printing, $3,000,000 En for a sile god
of - now building Tur the War Department
and a statutory provision of 93,000 for payment to
and R total decrease of $30,112 in two jum at appro-
under A limit of and of $20,000,000, and $200,000 is (if
Masks, which increase am in part by a helal
priative.
under
sincture of $045,000 in two other appropriations male
No figures am included in the adimater of the Depart-
Individual unl
the acquisition of promises designated Be 1721 r
NW, which an the housed la the Government
annually the the same
amt of Agriculture for the Bunan of Public Rown.
- - - and metates
The estimates for the Westler Damai provide . mal
There in, however, included elsewhere in the Indiget
Inc the Point
There is also informal an ürm of $10,100,003 for BY
- of Name Atlants,
public of the Circul Control Station Past Office gel
inchear of $357,801, the principal components of with
nnder the holding "Cimeral Public Works Program' a.
n. Twent Hare Industrist Be-
ulline butting, New York City, in accordance will (be
$25,000 for the puchase of an allert prom,
total vitimate of appropriations of $181,000,000 for the
240 for the survive and remark
Department of Agriculture for the construction of
[ - - Using Note Smith.
provisions of the ant, approved July 12, 1032,
and $145,461 for improvement of Mar Fiviers!
abd highways, premisery IIT foodor roads, public leads
- United ET than are Timel Exam
- Relation en
may service la addition, the suga of
inclusive, and forms made and Irails, and for the climi-
information in - Ter Women LA Address: Mo,
War Department
40,100 has been to the of that
nation of grade crowings, compared with total appropria-
- Chip is
For the War Department (hare la included a and
by transfer from the Department of Commerce
tiuni el $05,000,000 for 1937 for construction of Federal-
- la bis To, with Villing Meh, You
nationale of $148,022,101 consisting of entimate al
Tim communication nale of nirway wouther réports from
sid highways and formal couls and trails, If sh increase for
off the commercial allware IIF mil miw repripped
mas of
------------------------- al enditge les
500,822,101 for the prosention of eich projects of -
the - Prime le The mul
provent no rivers and harbon heretufore anthorized 11
with milio and teletype facilities
but the Bureau of Agricultural - total
di the Stilen
Curgram in may to must desirable in the interests w
United the Bureau of Animal Industry, a net increws of
increase of $195,954 over 1947 appropriations - invided.
- - vel at
$290,135 is provided, consisting principally of $19,577
This a number of projects relating largily to studies
and novigation; $50,000,000 for initiating we
of flood mutrol on variaus fevers and waterways understand
for increased minienance and operation costs at the
of the of production and marketing form
Regraded Ucla
THE - 1005
ESTIMATES or APPROPRIATIONS AND EXPENDITURES
Alla
MI)
IL-
appropriations equal in ao percent of the (Tims
receipts from customs date collected under The
Five Use Bureau of the Cruss a mes increase of $107,000
and an dirchase of $5,000 bin books and perindicals las
laws in her und Try the Secretary of (
which, together with $220,000 of
the lilerary.
information injuryzation and domantie Professional M M
me less, - to # 2009 of
commendities. The Instance of the -
word will le used for eximpiling de orimile
DEPARTMENT OF TUE
De commiss principally of
signature individual vital statistics, financial an-
payments ⑉ States From receipts derived -
give of one and States, and (no the calenilar
A comparism of the emlimates lut the Department of
of
the
- not Memial of manufactures; fur Date-
the Interior for 100% with the appropriations for the
Invests Described within the requestive States
- avidence of net of Immodiciários under the Social
fiscal year 1057, exclusive of here instel alsewhere in
For the Unit account items. "Cooperative WITH, Fine
-
Smint the reduction of $1.000,000 for 1938 is
Summis Ad which cannot wherwise - obtained: and
the Bisilges under the General Public Warks Program,
that
Internets She contributions for 1007 and the
(w with proparatory in taking the 1940 results
- not increase of and an The principal
For the administration of five unis concied during The
Herms of increase and follow
time
calimated for 1916.
dare of the Severty-fourth Congress (Puble,
For the Office of the Surretary Chere in a total increase of
-
Xm 23%, (129, 720, 700, and RUS, the ostimates for the
the principal Tinnas of which are Ivr the
REPARTMENT OF CRMMERCE
Birreau of Marium Inspection and Navigation carry (In-
Office of the Surretary, $14,400 fun the Invided of Im
(meas of $0,00,040, This la insile up of time ilevins as
vistigations, $ 100,000 for the Division of Crashing, and
will
!
Extimates for the Department of Consumer be to
* not increase of nearly $4,000,00 a
collows. $4,040 incident to the realizention of positions in
$ 28,000 has printing and birding
I
of
É
oppropriations for 1037 This ligare is extraine e
the departmental services by the Civil Service Commis-
No estimate is fur the Petrodente Administra-
#1,206,200 for construction included in the Geteral
and $115,540 for new employees in the District of Colum-
Bon Incouse that legal existeme al the Administration
Poblic Wishia Program discussed sleewhere in the
tax, nill $512,100 for additional and additional
comminatos before the ont of the present hest your, too
employees in the field
which $20,000 are appropriated
The un for the burnaux of the Department e
the under of their are $2,610,000 for the Date:
for the National Питой of Standards 000 nº
Tm view nil Man of the Court an
5699,200 M. estimated. or this, $300,000 represents " BYW
all last two of the Fool
00
km Communice, SCIONAO for the Threso wl Mariu
stem. the limit year's expenses of e car investigation of
Act of nas, ami hernine the of de Commission
neid Navigation, 8389,200 for the
the proportion and suitability of certain wilding materials
ander Uront Lan will la completed daring the
Burmai dil Standards, $300,000 for the Bumau of Forge
and Domontic Community, $181,200 fur the Code -
with purticular refereure in that - in branch
your too use provision los lem nech for the
(If other Item, $89,200, represeble nalary increased based
Cost Commission of the Creamers' Crumel,
5107 für the Bureau of the Cimma
again millerstions in grade mado by the Civil Service
for which ver appropriated,
É
fin the Bureau of l'isheries, and 850,000 for the
For the Control Land Office there is à funt decrease of
miler
Do
INfive vill the Security Net decrease of $15,00 be la
or
Due
Uniter (le appropriations for the of Täght-
$50,500 which - chinfly by derma of $50,000
l'atent Office qui $70,440 fur the Bureau of Lighthous
MID.
in
for tim foral year 1937 there Will " numberring
ivs the public lands and $13,000 for mp. of the
n
Vive
are provided, Other derman am $240,000 horkinstal to
Item of $199,000 die to starm and in damage rupairs
United Status, ofrich is 0 ml HO in-
the
Invel
just
the of the Shipping Boand Bureno to the Inital
direct
and the miablisiment of - long at the Mar Cagno
crease at $13,000 the persons of procede of vila al Cina
-
les
Habe Mariline Commission and a reduction el $4,020
provided
live
Fuar Kiver. Sure the estimates shouse a decrease
Bar (Organ) Winn Road grant lands and sindar.
in that arrainé tivods fur 193K.
The
of $76,450, the - increase is therefore the
A pot increase al for the al bulian
lotal
For 1997 0 tourveurring itsus of $15,000 for the Commi
details of which am na follows: $172,000 for emera)
Affairs resulte from total income of aul total
Committee of the Arcident Prevention Confereion ⑉
Ext
PRIT
all
of the advice incident in the higher code of
decreases n° $711,167. The principal ilems of
provided. Taking this into consideration. the -
lui
materials, and subsistence personal, the
are $161,400 for payment to lands of Uses.
to
I
Università
provided for the office of the Secretary of Commine to
restem al additional side to novimition, and for orgent
$10,000 for protestion of Indian funela, $63,550
415
for developing agriculture and stock raising ariving In-
to
in
Tell
Since
has a grass increase of $5,400. the principal (lan a
which in $57,000 for printing and binding,
repairs, $10,000 for sularise of seven additional koopers al
bo
Red
indated lightlaness stations, 870,000 additional for solo-
disco, $235,000 Int industry alboing Indiana,
Use
the
lu the 1917 appropriations eviativa wealher
poss
and uir mapping were attiong the functions of the Home
des of cowl comployes, and $34,000 additional for retired
$540,000 for the revalving fund fur time to Indian oib
et
fall
to
the
of
of Air Commerce It is now provided that the and
(x),
parations, $146,731 for development of water supplice and
Or
An (Ditisse of $181,200 in the estimates for the Const
irrigation of laist NTR Indian $600,150 for el-
operation
la
the
will
the shall lin assumed by the Department of Agriculture
and Gendetin Sump includes a item of $100,000 for
signating Indian shildren, 5515 100 for the universion of
and the Creat and Gentelie Survey of this Department
allway rapping paid for from Buccau of Air
the health of Indians, and $333,970 for the general support
last
vanto,
la addition, the valaries of two Bureau of Air Commo
Commission appropriations, $1,000 for temporary vound
of Indians and the administration of floir property. The
lie
Budget
suphores am for 1935 charged to the Office of the Servi
lary of Commerce instead of to the Bureau of Air (in
employees necomity to comply with new Inave laws and
principal devreases are dun to items of
last
virgines
to increase the number of skeletonized FROMS of viside
$51 sin for payment to Sinus Indians for membershipt of
lo
la
de
more Taking the adjustments into consideration
thoto is a grown increase in the estimates for the
luring ligning periods in under that minor repairs may
land allodurists, 8222,102 for compensative tu Chippews
Im effected and the number properly end for, $23,500
Indians for land, and $12.00 for competionation to num-
usr
you
un,
line
of Air amounting to $2,831,250, Class principal
IV mervity pay and allewatives of officers,
Indian claimants oñ Purldo tamle. Other important des
to simile
ilems to which ani $3,120 for additional department
$16,000 for hydrographic work, and 85,800 for missilla-
creasus are $74,200 for Indian agency boildings and $10,000
who
.
promotal invident to the expanded field program
impleted for the coming year; $2,150,760 for the time
(jevice purpose
for payment of benefits in Indians in Should
products
The
your of a Your premium to modemize completely the
Nonrecurring 1037 items of $25,000 for shellish in-
For the Burren of Reclamation there is an increase of
willigated
vertigation and 82,000 fur a small laboratory buildure at
$63,000, of which $38,000 in for espenditure from the
by
misting neway and to establish additional abli
reduce the grow of $129,500 in the esti-
relation fund to nier the ene) of uperating
Charged
in
$196,120 to end operate such air hasipation
insted fine the Burrau of Fisheries . net increase of
esisting irrigation distribution systems and $25,000 H
of
the
Agn-
side, and $20,300 los inspection, licensing, and regulatory
ours Including he the completion of 6 and the
The Imijor items of increase are $44,400 for
from the general fund of the Treasury for the Culumbu
"Inquiry respecting food fulse" for Parific pilehard,
lliver fraid work and levee system. The other items of
metallatory of Il air (milin control stations at originale
sin terminals,
and stream-pollution investigations, and
the Bureau of Reviemation will be Instrul simber the head-
for streem management in national forest regions, $25,340
ing of General Public Works Program
o
and
für
Budget
for
For the Burna of Foreign and Domestic Commines
for "Puberry Industries", $27,000 for the operation of new
For the Bureau of Mines a net increase of $139,970 is
The
ture Irm of appropriation in the en of $200,000 a
under la unable the Bureau to oscertain correot los
stations and increasing the ontput at the Woods
accounted for by increases of $1,380 for the Washington
D
for
Hole and Gloucoster, Mass, stations, $5,000 in administer
office, $28,135 for operating usine rescoe cars and acquires
HAT
OCA
time lieu and obtain statistics relating to industrial
he
commandes, to Have data and husben structure
part of section à of the Whaling Treaty Art of May 1,
and investigation of accidents, $40,000 for testing fort, EXI
for
and entapetition. lo dudy problems of production, distribution. and
1930, and $18,020 for purposes
conformity with a resial act at Cirigree, $20,000 for
income
attural
The hel. decrease of $45,000 in the setimates for the
mineral mining investigations, $30,000 for mining experte
Patent Office involves a decrease of $50,000 for printing
(ment stetionn_and $2,821 for EM production of failieren
Regraded Ucla
THE REDORT. 1995
ESTIMATED OF APPHOPRIATIONS AND EXPENDITURES
,97
x96
plants, and decreases of $12,866 for all and por
pay of supplina and expense of the
regaire to collage e and the gympasium and school
close of the final year IMST BE required by the Ant of
and $2,700 for of miseral
marv, and thanks for judicial officers
indibitions United States courte is
June 6, 1982, without reference to the sufficiency therefor
A DAE increase of 81,304,100 is provided fue Bie National
The for estaries of circuit. district and relient
recommed lost the purpose of extending this
of the fund.
Park Service, the largers irom in which is $1,091,100 or
contains nn income of $125,000, to provide for nos
En A of districts which APT not provided
Transfer of the of Man Canted Mater Housing
that $ 500,000 is adminated - for surajive
edditional efecuit judge and moven additional
with probaram officirs For pundical nut lumpital service,
Corporation relating to the dispond of Income proportion
unit to
purigre were address by
permit institutions. there la an increase of $11,600, et
arquired during the World War to the Procurement
- Individual EN the Didrin of Culambia and
mustell as the last session of Compres, and no include
SIT.520 Do for additional personal, 52,972 the
Division of the Transity Department is propossible Aa o
Tim the - -il and operation and must of
XII the pay mill of refired judges. An of
promotions of register and reserve coroma-
mult, 6. dertvent in the experient of the Deportment of
Government Memo Incomed
recommended for travel expenses of circuit and destribed
- afficers. and 521,005 for equipment, supplies, and
Labor to the eximpt of $9,000 will uneurs
Tax N . and - of estimated for the
judge, Rom to the appointment of new judge Mill the
Thin whent - - by decreases of
of additional planse of lobiling -
materials. The Invoice accivente of the Department of Justice fille
NAME DEPANTMENT
and - in €07,000 The priorigal total of
The income of $107,000 in valories, Form, emal -
de of personal funda uf and conditions aud
- Name live unilegen the correntime and -
medicale, instudes $10,040 for the solary of the
adifare Gends M the several penal and morentional institu-
The naval missing for TOXX have lamo propared va the
- hi Lie, while the principal
für caro Virgin Idents and the malaries of
are deposited in the Treasury and advanced
basis of our paral products del covered by plans avolved misler
demose e for nil INTERNE
(or The surve district judges, and 8161 from law ce
TM spreoved requestive to disborsing illBers for 105-
conditions obtioning under the Woodrington and Landon
disabled - The penson five Mile decrease la Claim
previum. An increase of $23,490 B. recommended for
The estimated for 1935 are $630,000
treaties. They involve TMP expension over what
failure of misim Public do Ladyo TP the tail amount of their
interies and expenses of district attorneye, fund mine Date
(at Damin of priencurs and $300,000 for commission and
had levo planned Indian it was known that treatice
allitment will Tuele Institutions address
missing of no Attorney, amistant altorney, and dose Tur
wellare hinds, which ste increases uver 1937 of $50,000
with not going ⑉ by resewed.
Per & Environment of missing of the Developies
live Virgin termal live additional amilitant
The estimates of appropriations fur the Nary Depart-
and $0,193, importively.
an minust line (10% ilm [ Mink the
in alles districts There is an increase of $50,000) in the
need and Nated Establishment for the year 1015
not Howais will That le in mains
estimate for may of special and intermines, To provide
DEPARTMENT HE LABORE
Amount DI when compared with the
that infl your sur Persone of unread
additional Mark assistance to aid Minimum General
amount of $129,310,000 supropriated for the
and in de Viena Idents - promot # celles
and United States allerneys in aperal The in
A - DICTOME of $2,025,400 in versous Bean of the
facial year mar, indicates a Temb of $14,176,727.
to male to to - enveropment
of $112,00 in the estimate for and W-
is reduced to n ml increase for the Department
The totals stated above include experiditures
for the of les
person all of United States courts is comment of
of of €2,366,900 by in oller extimate
from tenal accounts of $1,670,000 Ine TOGAN naril $1,717,100
The MM of appropriations Manw
4131,200 for the of . nierk of PRINT and two Jersice
The mayor time of given intrease include $1,-
for 1017. The net defence of vertion $34,176,727
un - di 10 En Num of incomp
derke for the Virgin fulanch, deporte derke for the -
198,000 additional (or grants (o States má addi-
involves Increase for vertain and decrease De
fax on by law. MAIN lat to
pulgos stall Der additional places of holding nomm, and alili-
tisted for administrative experior, order the Sorial
others, as compansi with the appropriation for 1937.
Reter (pm require unlike de Missing Ant and
Claims in regious districts to take PRM If the
servity ACE and $720,000 DIF expenses of administering
For purposes of comparients the any herein-
STINLIED mm Immiss la ad of operations of
the 1100
largn imposio its work. mm) $3,500 fire travel PAYMENT I
the Ant, approval June 30, 150h (Priblic,
after claimation by grouje, followed by Irrist explanations
of $20,000 is Tue (AM of commis
No with, 24th
teganing the differences between the furnts required fur
Then a a at limas al REGULDRY in Que armunts
United States murts For tens of with
Fie the (Hfice of the Services a Del of $120,000
1935, exempased with the appropriations for 1947.
IF he attended Immune ⑉
- an invrease in $120,000 is of the
increase of 574,000 for the termifer of 0 program
For pay and allowaterm noil other experies incident un
und FOR fine for Minut National Natural
end 1 for der National I'wès Service
in judicial antivition, and fur the ITEM
too the formulation of standards ni approatice truiting
neval and Marine Curps. personnel approximately
signed additional is required THE pay of bailife relat
Term the National Youth Administration for the Impart-
$10,000,000 additional is required to provide for the
HALE that - of have
mest of Labor and . nor study of industrial standarde
increase in alliners and nien namessary for man the Parger
and la relibated - of Em/m of contributed
and invoices amount to 899,239.
A just instrure of $110,595 Fe provided in the
fur the prevention of 94,500 for contingent et-
vesade of the Devt. the command number of airplano and
two for of l'arwer How, not for
personal et - of ⑉ #1,
for 100% for pensi and correctional institutions. ⑉ which
granses of the Department $13,000 for printing and binds
the greater requirements fuir personnel advice because of
- included $72,540 fur additional curredial referents is
The and $160,00 for the administration of the Weld-
the increase in the Included le the Bem is por
Boystal
and the requirements of the new leave law. The
Holey Art, and a $4,500 Due with the
vision for en experient of reserve activitim in scrundance
RECEIVENT " more
International Labor Organization, Genera,
with nn approved program United Um operation of
appropriations provide for the maintenance of the Feilent
The cumpaise if for The Depurument of
peral ml purrentional Retititions, for subsidence and
The for the Burvee of Talor Statistics
esissing law Use retired lista of rélivers and men are lwing
care of United States providers in non-Federal Institute
template an increase nE $10,000 in increase the coverage
increased anonally. This fact malure university additional
Justing for animal to which " an
and for the operation of the probation of
of statistics of employment and pay nile, wages, and
funda for this purpose. Fur the operation, maintenation,
of 01.120,20 eye the a for 1007
the (nited States marks
Tours of later, mil nost of Bring in specille birefities.
repair, and of the floot and sluire establish-
of los faillings - requirement
An inrrease of $45,000 fur the and Natural-
ment, exclusive of aviation, nil invreme of approximately
mal 400 Rive tital a para of the
Il is milminal that flure will he an increase in
Public Womls Phone lue Mail Test The of
intime Service in successary to take care of submitation pne
$0,800,000 is necessary becarien of the largie date that
at l'ederal institutions in 1988 of 5.2 permit
ITEM 197 and to provide the funds for personnel
lus payment of estra compensation for urertime
will be in the increased and of Talor and
influde M 12% at The Atterney
amires of inspectors for which reimbunsement is moved
materials, the alterations and ingravements required
Good by the (mm) (uf pod mil
and minimure incrowes are recommended for the
by the United States from public raminh, and Cut addi-
to keep the units in A high Hote of ellicioney and the
and $12,192 les That
institutions of Laavemeurth, Kam, $27,810; Atlania, (is.
of Aftormey General in Find of increase
Tim if (In so of al No
547,710; McNoll Mand, Wash, $19,280; Pv.
tional dopartmental employees to hamilin the increase in
necessity of providing - larger newrve of wor,
$72,110 Alcotras Islami, Calif., $9,785: Alderson, W VA.
naturalisation work.
ammunition, and niber supplies
Callication Ohio, $71,400; EL Renu,
The increase nl $2,100,000 for the Children's Burrau yo
In onler to replenish the stuck under the navel supply
13.00 $173,420 fir within Tup
five providence and for the culum-
Springbeld, Mn., 51,540; Petersburg, Vs.
whilly due in the participation of additional States m the
annunt firmal - that in may better and economically
9.0% and Federal comps, $94,000, which (acter
provisious of the Social Security & The increased
supply the needs of the Navy, is is propared that the
thenk of information and the
of where exi for a Outmo ware.
amounts for grants to States pxe 8080,000 for maternal
capital fund be increased for $6,000,000.
amount includes 870 for the establishment of M
of and of Thema - The Foderal of
additional essay. A docrease of $31,533 is show il
and services, $700,000 for services for crippinal
The increase under "Avistion" approximates 510,-
the refiniate for Federal joils. prodicated on a
children, and $200,000 for child-e affore services, anil au
110,000. or this 80.410,00 representative the differ-
1310,00 in only item for
seletains e - in $20,000 Harry
additional $126,000 is provided fir expense of adminis-
eine between the accounts due un prior-ysur contracts
in priway population and [we rapita costs in with -
The entimate for minimistion and repairs at MeXml
trating.
in 1937 and the due un prior-year contracts in
Hallens C. - - all 40L - of Nothomi Parific of
Mail la $107,400 los then appropriated for 1007
While the amount of the estimate for the Unitial States
100% The $4,500,000. - due to the formare
of provided in unly de appropriations for The terms
Five the National Training School Time Boys of Wash
Employment Service to $245,000 loss than the appropria-
in the program for procurement ná planes and also to
la the for & ne
ingim, D: C. there is no Increase of $17,540, condition
time for 1937, a provision is emilined to authorizen Applic
the additional amiunts required los operation and mainte-
of $4,200 for widitional personal, $1,160 for
Comments a States (d) the $3,000,000 Tranks contemplated
nance of n larger number and larger types of airplanes,
- máy fitle the Deno
Tale Email and and
by the art establishing the Service Two new provisions
tegether with the increased net of upkenp and mainte-
1 und clerios of mote l'oited
and parties, god the and operation
(ife proposed in the estitonio, the fint to emual
natire of the air stations med for truining permaned and
Cres of (This and Without free amt
Then is also recommended for this School $27,540 for
alterations and improvements to the refriguestion plant
appropriations for payments to States into ure enatinuing
those serving - authory 10 The Rest.
fund, sent, the second, tit united balances of
The actimale fur public works in $2,363,000 WIRT the
demitories, tropital and administration building. and
1936 apportionments to States within ou days after the
amount appropriated for 1937. The amount proposed for
Regraded Uclas
10%
THE SUBJET, 1939
ENTIMATES or APPROPRIATIONS AND EXPENDITURES
409
united do had - required To LOTT
affirere and derks will permit a inszimuni offormation of
no perval during the final your 10%8 as compand via
Poland: and Sisteenth Triental Convention of the
smit - must when MY and
The 1988 estimate for publicalebi operations shows for
- est sivi be permision les the -
only pervent which may he allowed with the funds
World's Woman's Christian Temperance Union, to be
payments an increase of $8,251,350 and
address - Home 10m
appropriated for 1937. The increase of $21 in the
held in No United States.
for interest payments an of $25,000,000.
for - le - of minil
minale tue sularies of Foreign is fue
- Lieue - Bati the (0)
fintral derhe fin the Diplimatie Service and IT additional
TREASURY REPARTMENT
WAR DEPARTMENT
- they Des in unles and Filing
dese for the Consular Service An increase of EM (My
\ comparison of the extimates Four the Treasury Depart-
- sugaro - loss The delay
will provide for themlaries of employees required to we
ment five the fised year with the appropriations The
The total not increase of budget estimates for the War
- - Mys the
de the construction of trailitings to be evental us He
HIST shows a total not increase n/ 8278,182,177. The
Department for 1935 over the eppropriations for 1997
funing Insury - - you Vez (ii) 111
Findand; Managus, Niearague:
principal Demo of invente in the office of the Sen-
made up as followse An increase of $03,175
that Insure to (i)
Program l'etunce City, Pouame: Truillo Otr Drug.
reality, $211,068,570 Our Bureau of Internal Revenue,
for departmental activities; an increase of $28,140,027
live - DE VET, fill and
para Port au Prince, Haiti: and
the Bureau of and Printing.
for rellizery activities) # the wf $2,032,558 for Bon-
- country
Identis: and 12 additional employees at diplicatic
41,171,570; und the Procortment Division, $129,220.
military activities: and a decrease of $554,15€ for the
- in - w al 100 L.
and numbers
The principal decreases are for the Custome Service,
Panamin Canal. Ii is proper to note, however, that there
-
Time - o net increase of $206,600 in the
$3,250,000, and for the of the Mint, $1,967,100.
is included elsewhere in the Budget, under the loveding
-
of the Foreign Service, the principal items M
The details of susive of their and ultime items in the 1935
"Onneral Public Works Program", an estimate of
when in $45,000 tor communication activion, the
Brotget estimates are given below.
$148,322,101 for continuing work of improvement nb
16- - la lb- 150 my 111-
might and explain III), NEW Amilure, and SAND 4a
The cause of the increased appropriation for
rivers and harbors and other insterways and for Bood
- Paint expends-
register in leablings award by the United States in firmigo
the office of the Secretary le the hocemity for an increase
control. For 1027 the appropriation frir three purposes
PETINDING die Inc. lie
constries
if $236,000,000 in the odd-ngs reserve -1 up
ansunted to $134,750,000
- mir - no " onlel the
The estimate for United States constributions to min
under the Surial Security Ave. There in an important de-
The alinve-mentinged estimated increase of $92,575
- " di If and the General
ontional commissivent, mingressive, and borries for 100%
(These of $24,000,000 in the amount of payments to be
fur departmental activities consists of $66,235 in depart-
livers conditions
in which is 0 decrease of (mu
manhi to Federal Land banks ou account of the
mental salaries for the him of additional personal made
TM - - - COME Due la
the appropriations for 1907. An increase of $30,000 is
its the roto of intend OD
nocomary by an Increase in wirk due to INCLUDE in the
- - - - - Un Information of
requested for the email openating expenses of the lot
There to - increase of $250,000 fur cullecting the
«trength of the Army $20,000 for contingent experiens,
- set 0 - - - The Treasury Anto-
notional Boundary Commission, United States and Med-
Personal from explaims but . desrease of $1,500,000 in the
principally for the replacament of unserviseable attive
la pour minim far (ine -
10, fur the of the netified chinnel of the RG
amount estimated to Two required The refunds and draws
equipment and 1,340 für purpose of bonks and periodi-
The milimite informe
Circula III the K Purshane Valley, The nationale for
Incles The Benus multing up the total increase for the
rals for the library of the Surgrou Cirporal's office
the the - a ADVIDED
the (inum) Die Convention, United States and Meri-
Butrau of Internal Revenue are as Enflows For collecting
is nonnection with the estimated increase of $29,149,027
- Inco - - the
10 have
la 545, Ano, of which $43,533 in for the American unders
Social Signaty Act Require, $3,571,400; for additional
in eppropriations for military artivities, ilena affecting
ent 92,963 live the Cinneral Claim Commission, and mym-
personal for the Office of the Americant General Counsel,
the Finance Department, the Quartermoster Cheque
c of must
and fur additional pervinted and incidental
Signal Corps, Air Curps, Ordnance Department, Sen-
and - loved III the -
me 11812. . reductions 4d 573,779 from the appropriation Tur
vaparies of the Incrumo Tax $105,000. Is is Usewee
mast Defenses, National Goard Burrou, Organized
- How - unler the from
The fullowing retimates an included in the Budget fre
resimated that $20,000,000 renant additionally be appear
Keserves, and the Beserve Officers' Training Corpo are
HAS Tar the registered of participation by Mo I Emited
printed for the refunding of internal-reveus collections
especially worthy of note.
interested DI
Rate in international conferences, eto.)
woul $7,500 ody of to be nade to the
The Finance Department is responsible for the pay and
International Conference of American States, Lame, Pimi,
Territory of Alnaka the provisions of acto of June
allowatices of activo and natired officers, WILD
The - to Um of
- party - DE
STUDING Conference, Calm, Karm,
20, 1994 (0% Stat, 1227, RPD. 47, and of May 14, 1935
rent officers, numes, contribut surgeons, and enlisted num
Finhel States Delaware Valley
CAD Stat. 2201
of the Regular / my and the Philippine Senuts;
an
Commission sto,ch: und the Commission of Experts
Vur the Bureau of Engraving and Printing there is an
at courts martial of him of rivilion
- - of - - e - time in
Communication
de within of International Law, in le Ind 19 -
increase of $1,173,670 to meet the increased work program
employees of the Finance Department in the field him of
of the Bureau and to coser the nost of rookt legislation
etril-service managers of Anny field headquarter,
your PAGE Promite
$1,000; An appropriation of CO,-
One - - 4471 is unles
UNT. his the mild of contain allivere
extending the 40-Guar-week tan to include all employees
interest OR deposits of savings by collated for
and for incruased annual and sick leave of such employees.
or bin of private property: and travel of military
-
No
Complete
and employees of the Fareign Service with sufformi -
-
of personal property - o result of the at
The derrease of $1,007,100 for the Bureau ni the Mins
onil civilian personnel. The entimates for the Finance De-
Der
- - - Office -
Manager, Name Mandi XI, 19011. The n año
- alumed entirely due for a underwring item for the
for LIMS share & net instrur of 87.402,348 INVEST
recommend DI las appropriated $44,003.13 for information
Transportation of gobl builion.
the appropriations for 1847. The will increase in the mis-
The 1 summy last del
- American entiressy drafts, representing
For the Poldie Buildings Dranch of the Procurement
main far [a] and allowances of the Army la $5,025,540,
- time M. Use - et any
as as prevent on certain drafts drawn A de
Division there la a. DUE of $1,259,220. The prm-
and is due principally to automatic provided for
Services of State for the American in Howe
vigul demo any $1,125,000 for repuirs, 8100,000 for прит-
by law, the Increased nist of 15,000 additional infisted que
- 0. - . (L) all Traile of month term
mil Turlor, and trabsfore which the employery in Turkey
aling Turun, and $35,000 for supplies for public hailthings
na a Inll year's haris, the oversity of providing additional
underbook to make by entre communications to alin Sel-
Hinnis which invidvo the construction ed public buildings
graden and ratings fue enlisted turn because of the increase
interest or United
mary of Sinte doring the period from 1915 to
III 1938 are included in the Budget in the ell-
in the enfisied strength and the progrem timile in the
No
income
PAYMENT of obich was deferred
mates for the Guneral Public Works Program. For the
and mutorization of the Army, and to
el
Appropriations But 1937 amounting la 5.127 150 which
Branch of Supply in the Profirment Division there 10 n.
increase in the retired lists of the Army. For pay to
VAVIE
will que in 1035 are for The runting of the Inter-
devrease of or this services, $250,000 repre-
civilisn employees of the Funnen Department in the Seld,
- - - DO Patricio arrive far
national Comming Committee, Rumanis: invoice
words a unreversing lieus for the general supply food while
an increase of $24,150 le allowed for travel of military and
Town - the
patien relating to establishment of a Federal assue state
850,000 is due My a reduction of solaries and equave
civilian personal there is - nel dective of MOT 077 which
- the Clien of
The Medican boundary: arbitration of the anount
chargeable to the Brunch of Supple appropriation
is made by main of change in Invel requirements for
DL
United States and Canada: Inter-Americal
Other important items in the Treasury estimate include
the Geral year 1938: and for claim AD Increase of $10,000
-
-
Conference, Binence Ains, Argention: Special Mesicale
- net of #003,1N00 für the Public Health Service,
la allowed The Bulget celimates fun FORM provide for
-
Claims Commission investigation of the Lake Champiate
5901,720 for the ullice us Communismer of Agemints and
average artive strengths of 12,175 commissione officers.
to Hudson River waterway conference no nil pollntion of
Depusits, and $200,000 for the Division of Printing fat be
771 without officers, 675 mores, and 165,000 enlisted need
Time - - - - - - - line dies name and
envigable waters, Switzerland: International
für printing, bioding, and stationary
of the Regilar Any and 6,415 enlisted BWB of the
Expedition, Purs, France, eviderence to revise the Com-
Sig for DE permanent appropriations are concerned, there
Philippine Senta In addition, provisions is unde for
The - Fimiler,
reation five Protection of Literary and Artistic Works,
IN an increase of $1,100,000 hir the Philippine Trust Fund,
185 dies el the Cargo of Engineers to be employed on
-
line
Dromels, Delying, Ninth International Congress of
Buresu of Internal Revenue, sed a drevise of $097,000 in
river and harbor and werks and paid from
-
International Teleyraph Consulting Committee, Warraw-
Military Medicino knd Pharmacy, Humania: executive of
the of loans for the Pahlin Debt Service
the appropriation for such works.
Tooden
Regraded Uclas
4100
THE 100
ESTIMATES OF APPROPRIATIONS AND EXPENDITURES
£101
Pvr the Corps a nes jacroam of 113,-
for sirplane equipment, supplies and repairs:
176,718 is shown Increase are provided as fullings:
Regul Corge Aquipment; $77,000 for replacement of
which with constructed in the early days of the Canal
year appropriations as they affret the general revenues of
For of the Army, $2,954,510. due to the traing
arrivable and $500 UCK for including au 4. le-
and which have ao deteriorated as to be to
the Treasury brought into Statement No. 2 are to be
mad of the retinu and the harger enfixted atrength of The
mist ill 5,000 men. in the strangib of the Guard For
apir This work of replacing old structures in the Cood
found in an Annexed Budget. The net exponditures for
Areur: lot Regular Arruy @337,000. for statting
(VSA provided E made fun . National Usuard of
hime will be INTERNATY for sereral years to cuine For
the fiest years 19:16 and 1037 ure carried to the General
and company, 85,000,201, dun in increase in the
205,000 affires and
of the Canal Zane the Phalget provides no in-
Budget Summary and supporting schedules. The ap-
of the Army and to the depletion of World War
Fvr lbr Unganised Reserve - net increase for
of $18,207 for additional personnel and supplies,
propriation requirements for 1085, insoler se they consti-
for the mestruction of atilities and
MI the -um of the priminal Here A a
and fir the government of the Canal Zaue an improve
fate à clargo upon the United States Treasury, are alim-
representative as sollitery 89,434,000) for the
which is $723,040 for the detail of 250 additional Air
el 657 510 due to the development of the admit system
inated lona the IDM Unilget, and the amount left for
of Hroit, and bit the maintenative,
Remico officion for extended tive duty with the
and needs of the police department.
determination hy Congress after consideration of Une
operation, and required of and
Ame Air Cargo The Bulget estimate make provide
require repuested by the provious Congress and submitted
- and the restructive and require of
DISTRICT UF COLUMBIA
by the President under separate civer. The details of
lar H days' native duty trauing of 25,000 Reserve officers,
- alimet entinly la tim mail lie
lat detail of I year each on the Cigneral Staff of 4 FORS
the requirements of the District of Columbia are to be
the to buildings,
allows for the dotails en extrauted untive date will -
The entimates of appropriations for the District of
found in the summary and supporting schedules of the
male and - The large
Air Conu of the Regular Anny of and Reserve for
Columbia fur Ne fistal your 1938, togellor with prior
Annoxed Budget.
the the of
attendance at Iron 6 D) 14 weake of 200 Reserve a
unijer largles Air 11;
Alimal to Puild, Canal Ximin Hulling Air
ai Regular Army survice achools: and fur active dury La
12 more with the Regular Army of 500
" C. Beilam due Past. Howeir: Air Inn
- Walls and the and a Md
of the emilo of would lieutenant The milimate alon
United of in compled (or
provides for (las and operation of 246 Orgur
for of the trail and
land Reserve bendquartes in 188-vities: for inserve due
- of The ansiller outobes of home ml park fusil
Bying of Air Howiye officers) and line exterción -
street las professional
for Housve officers and the furnishing of such refleres with
Univing mainster
Fvr live - Empo lie - INFORMATION imposted in
$101,118. principally for (be of additional
For the Reserve Officirs' Truming Corpo the 100%
respilatives Me the Mind Kervine M met an apute
refunate calle for - all from the
to Hin immiliation of familities al
appropriated Five 1037 risu principally to the faci that -
vatenni su India ED provide worker data for Um Au
- Unisiting unite are to be established in 1036. Divis
Carre En totos oner le la impular Charam-
HEW approviquately 172,000 students at and
INNU artuitties other Him ben la Pulis rejuliment for
will be given military training In the name of
rumber - «( the doing and málo
the Milliary Training Corop to change in -
for be the Army Air Corju for
mended to Une 1038 extimates from the 1037 appropriate.
be - of bit Para DEPF 1037.
which THE $2,378,000 and provided Tue 20,000 truinne,
In form is der provided for, la His Bulget
No stated the reliamate of not appropriations for
(* the Sali wis Onligine Department,
100% for notionality purposes in $2,032,858 loss Hum the
il total of applicable he -
1915 appropriation. The principal increases in
of The Gegular they with tendera realte appointive
lasy of $100,000, in to de
and - The 100% employee for de for Corps of
of arrines deposited with the Anny
the United Anoy provide la the of 40
dative their collections and $100,000 covering income
time and in le la (M Urganized
of that funda Offecting Claims and de
and for the National projection has lines
miner - upe Hwn docreases, MIMI of $0,000 de tu a
whene The the of - Mal of %) - amploies,
dermission in nai requirements of the United States the
for Department Use for 190m o (mm) My of 96 $10,726
Wur Department A DE In fire (Ine United
furno - of the Air Prop programs of the
Commissioner in the Philippine Inlands, and the other se
item of $2,320,60% applicable to the Curps of Enciment
which during 19014 will counce in The of
(Arget of atuli for
HYPE and herbor works; in comperative work of Chead -
in Ha visi for determined
- imme
tnd en the Surramento River, Calif., unit Loscell Cml
handled Tarkins la phone of lla of mind directors
and Salmon Kiver, Alaska, emergency and
will tribularies of the Mississippi Rivir: and the provide
Prom. the Company la Firmal Corpon the any
For hair Villary Volge and the Unlime Department
tion and repair of historical fortilications at San June,
=
milimate & (ma) of MIS The required
for Title - - decrease of The
As sisted la the lint paragraph under this hand the
used, and Code di flood the main-
Imagen, NE in Tue the exemption The
extination of sypropriations far 1908 for the Passme Case
allow a DAL of SAM,184, the details at which are
the atal - ni
No the Influince For and operation of the Canal
- and
- di los affiliation and the the
the fiom leture 1917 of $630,201 due to differences
Bodges retionate for 10% is $8,510,000, a ent mine
mi el and par
2 years to the kinds and nate of hellarments and
replacements. The - provided for 1938 consists of
making this - of The for 100%
the 4. the - National
30,260,000 Tue the instructure and operation of the Casel
much progrer etat $2,159,304 for bettermento and replacements,
mt the will - of die primoja) to Items
vided drodging Hest to Typlace unserviceable a facilities par
Min 4) continuing the construction of non station for
- for of (to World by
the Drive Euilame, due to decrease in (noi Tur nic-
stail all Email Training
replacement with of old Winning quarters for white employees
Me Causl was constructed: contribuire the
for The provider of airplanes War and
Nume undern the rebuilding of docks and
the the anquisition of floating and nither plant al
replacement of old order buildings of varimia kind
Regraded
ANNEXED BUDGET
POST OFFICE REPARTMENT
SUMMARY
INEXED BUDGETS
-
Regraded Uclas
TH
THE SUDGET, 1938
POST OFFICE DEPARTMENT
715
SUBPORTING STATEMENT No. 1
SUPPORTING STATEMENT No. 2-Continued
POSTAL REVENUES
POSTAL EXPENDITURES-Coatianed
beil
-
your rate.
pm (RE)
Arting Time
Entimated, fasil
Extimated, theread
Netual formal
FIM Tabs
year 100
year INST
yesr IM
-
Total -
21,008,000
- and
- - -
naw
ania
$1,211,460
$1,31,400
I
I
-
16,700,000
7,050,000
enter
12,000,000.00
100,000
haired and nall via
----
- - - -
LAILNO
- -
30,000
30,000
halmet Mail
Alla
70,000
Estarine
- -
65,00
Travel experies and airesse
1,54.00
1.01,00
12110.00
- -
113,000
170,000
PRINCE
Rema
60,000
00,00
to -
5,500
5,500
Mico
Total hailway Mail Senia
68,713,000
----
Time - -
-
-
1 I
and -
--
MA,89
-
23,300,000
71,700,000
Total. transportation
ARMI
- -
THELADO
200,000
CLINS
Funiso mail
14,760,000
8,111,400
I
42,808,000
Marchest Marge
$ 12,000.00
- - -
Balances the Resign restribe
1,000,000
LOA.00
Village Delivery Service
1,734,000
1,606,740.00
- -
Haral Delivery Bervices,
12,300.00
775,000,000
Blar Name Berrice
Alwas that Bank
20,000
192,000.00
SUPPORTING STATEMENT No. 2
Other Star Baute Service
11,000,00
POSTAL EXPENDITURES
Total the Boute DETAIL
11,200.00
11,007,348
11,088,201.00
Manufacturing and repuir operatives:
Anital
Chical
sont
Mandacture and distribution of stampe and
4,450,000
4,000,000
I 1.
- THAT
-
Resident shops
1,460,000
1,100,000
- - -
Twist, mandaciaring and regald operations.
1,000,000
5,000,000
4,797,431.00
-
and operation of pobite bulldings
26,300,000
17,200,200.00
$29,344
--
/ ] . 3 I
200,191
--
and Medical
- - -
SALES
-
MLW
Adjusted - AND
200,000
60,000
20,000.00
- PM - -
THOUSTO
20,100
domentic mail
€2,100
$45,000
- - the -
447,000
-
Indemation, international mail
15,000
15,000
15,00€.00
- - -
81,760
-
Permission - property Issues visims
$0,000
30,000
68,000.00
- - -
me
-
43,640
43,000
alle
Total Income and indemation
678,000
190,000
-
194,000
--
Time
I
- - Times
110.00
Parment of rewards,
M.INO
$8,000.00
0°
Copsid money unders - than 1 your sid
201,000
360,000
207,000.00
1
1, 200,000
1,160,000
IF-
Other Humar
- -
(ELP
Part - Malionary, - and excelles
2,700,000
1,360,000
1,000,49
arries
540,388.00
-
Rewards la postal the Investions
-
=
3,000
A,000
All
Transportation el - and acpla
us,m
256,800
- -
8,221,000
LORGET
Total other Itsue
LEATH
une
I I
-
Fiberks -
-------------------------
48,000,000
0,000
Total,
1,90,724
7,000,000
5,775,000
/ 1
-------------------------
--
TMAI, Parial Service
: I il
430,190
436,000
-
798,317,000.00
75,000
ELIP
punial
-
133,000,000
134,900,000
---
- - -
- nombre - the mind -
as
2.00
-
- - - -
I
1,200,00
1000
-
8,000,000
7,135,000
Trial, Pac Office Department
THE
USP
1 i
13,533,000
LAB
2,000,000
- belone, P. 112,
437,645,000
423,356.000
Regraded Jclassified
THE BUDGET, 1938
716
POST OFFICE DEPARTMENT
717
STATEMENT No. 3
SUPPORTING STATEMENT No. 8-Contimed
APPORTIONMENTS of POSTAL REVENUES AND EXPENDITURES TO CLASSES OF MAIL AND SPECIAL SERVICES
APPORTIONMENTS OF POSTAL REVENUES AND EXPENDITURES Continned TO CLASSES OF MAIL AND SPECIAL SERVICES-
- - of different
(Figna - la at dillan)
Entiment ched price 1678
Editional ha - 1007
- (max) for - im -
due (a) -
Entimated la final your 1857
Antial for Bank year 1341
Kuma (4)
Expend-
Euros [+]
-
- -
Represe
- della
-
must
I
one) (=)
-
Euro I+I
Kinne (4)
any (+)
$
.
Revenue
Experiti-
Euan (4)
Remum
here
(-)
pares
- (-1
dency (-)
- -
I a
IAP
MIC.SS
the
"Es
I anima
5
-
5,20
+21,30
TAXT
M.00
+18,380
00,440
8.00
-
His
$16,190
-ILSI
BILME
-$1,00
Mile
45.20
15,190
--
CMI
112,00
TMI -
BILTR
8,70
ILIS
-ta
- -
THE de Per - Department
149
-100
1.5%
-1.M
ANN
-2,00
!
34,00
+10,50
BEIP
30,112
XLM
YOUR
in - insties of la Unressions
"
-
E
in
⑉
Ted -
14,76
0,00
-166
0,00
as
ILME
2,00
-1,81
-
I
LIN
7.10
4,00
7,48
-1,20
ATM
7,28
-CM
- - - - -
-
am
-LIP
ue
5
-4,19
5,000
-112
-
-
-
FROM
---
V.O
sua
-17,100
1,7W
15,50
#
--
acus
-H
-
9,787
-28
A,WI
are
,
-
2.00
-A,99
0,00
MART
39
--
-4,10
- -
--
---
False
0,40
:
N,130
2,24
-0%
Fund and
0,10
A.M.
678
FATH
4,385
+1,79
I H
:
15,100
-12.00
A,172
-12.10
2,835
-
I
1.00
--
6,801
30,541
-2,16
11,5%
-5m
Tesl - -
M.IM
N.A
-11,171
06,90
94,20
-16.20
60,00
BLT#
- N,WA
— -
!
-4.00
-
-4,90
i
$
- - - -
70,99
TOUR
-4,401
-
TELMS
----
VILVIN
74,200
-1,20
-
1
-
---
----
23,000
ILIN
-R,912
20,000
J
111,730
---
-
LW
+19
1,00
1,345
+42
1,300
1.30
f
United States - himis
10
-16
a
-fill
700
-
0.00
being
a
-14
o
F
en
-MI
-
-0.27
31.00
-41,480
112.440
-1.8
to visa operatu
ATM
-1.78
K.582
-1.10
-LAST
LIB
+11,43
15,250
1,847
14,318
--
+1170
n.se
-
------
M/CI
40,000
-se
- -
THE -
JANT
14,30
16.773
V,SEI
14,318
a,stx
+4,7%
-
1,4m
-
+4
1.880
LTM
447
1,790
1,740
4d
Twill -
TELINI
main
THE CH
TELTH
-6,37
-415
TALAD
---
40,200
I
-ne
⑆⑉
--
24,150
100
1.50
-348
1,944
-
1,000
10
-
-
am
-1-
2.1%
30,041
-1,70
:
25,7%
n.co
-LIF
-
2018
zure
26,181
+4.711
W IN
24,018
-
Unit total.
335,000
am
-30,789
1-30,20
-AP
-
M,450
14m
H.IM
11,445
-
41,301
ILEM
+UR
Las - a months withhow - the Trae-
-
5,700
-
-
i
-
6,224
443
- - a of like definer with the
-
-
-
2,000
-11118
will
+50
4,400
2,241
2,140
46
milled the -
1.1.159
LAW
us
6,470
+
ILMI
-
4,349
M
-
-m
113
MM
6
National
76.79
-30,789
THE, 000
110.20
000,244
-------
-
--
-11.00
-
144,091
-12,218
120,817
-AR
I
Indiation definiting of sous für contract otr - - summer BILIMUM - - C.B. Maritime Contration - - of - units -
under the Membant Marine Mn of NO.
2
-
--
---
18,340
-----
--
13,000
60,114
-x.
. definery of for - are mail.
#
. 60.000 in 0 & Minitos Comminion
- -
List
1,004
AXT
-
Bat
-
I
1401
T.00
----
1,365
7.38
-481
1,000
4,00
-18°
-
1
05,2%)
34,40
15,48
C,IIT
-1.8
FS Place - -
F- - -
Lieu
-1,14
---
kee
-to
1,000
-10
I
12.00
-10.00
ETD
-1.72
M.M.
-11.32
Program
10.007
12,671
-gm
till - -
in
⑉
--
I
196
J.
T
à
m
-
-4
-
} I
as
à
-
,
ATS
-
!
I
-la
in
-10
a
:
:
i
- -
1-0.00
$0,20
to
Regraded Uclassifie
THE SUDGET. 1949
EXPLANATORY STATEMENT
The - for the Park Department live the
allowance, shoreforo, for the appropriation of $22,000,000
- a - --- - at $755,000,000 The
los whip submidy in 1037, not included in the estimate for
CH to provide - d'une the final your
ESKEN, the contination Inr 1938 represent an immede of
shall - your Min contal live confinued
$37,159,889 over the appropriations for similar purpose
The for the I year MG seche
fur 10.17. This would represent an increase in -
or 15 performed over 1934, for LOBO they
of 3.A pervent, while the increase in receipts - -
- In or an provist 10:15: for
mated as 5, N parent. Comparing retimates of approve-
and if Next Ne contral
actions for 1988, $755,744,478, with estimated receipts,
- L.C. overwed aver and Host for the receipte
$755,000,000, indicates ass excess of $30,744,475 fur poul
- new - 23 personal DEVE the estimate
operations Lo be financed from the general revenues of the
The These for 1957 asut pas are
Treasury.
ARE) the represent ed postal since
An increase in postal revenues reflects an increase th the
2811, und - apon the tresil last July and
volumo of mail to be landled, which in Um manime
Une that work Improvement in business
additional expenditures for personnel, transportation
- ill contrato 11/15- The Art 100 1002
affice and work space, equipment, supplies, and other
infrement the pure of for mul frota 2
facilities The principal reason for practically FREE)
ANNEXED BUDGET
MI a cente en mine. Bout provided that work increase
increase in the entimates of appropriations for 1938 are
nest. conditions Legand Image 100, with-
1937 - the foes that the revenues for 1938 Are extimated
HECONSTRUCTION FINANCE CORPORATION
- year Uni previsions for The in rutv June
at $40,000,000 more then for 1937, which refleces An
lean continued The latrat estension will PAPER nn Jame
increased volume of mail in less invelled with its attendant
SUMMARY
DO, HINT The codimate of receipts live la DE pura
increase in expenditure. There am 4 few Items homis-
peofected (MI) the than the Congress will
after mentioned for which the increases requested new due
I
-
recommended au this Busignt,
in part to uther casses,
-
- -
reserved
just -
Finnes such dont letter Enter University die from your
The estimation the expansies of the mail.
to do - will result in " andication m provided
both freeign and by the establishment of new or
-
of fur EXAM whink in com will
subditional routes, the extension of existing routes, and the
. -
2
----
invoice one on the personal délivité to that
in the frequencies of trips over existing
1 Reportations
No.
600,000,000
The of for der Past
Tle item for foreign muil transportation includes
*** - - name - erimas di - Finance Corporation.
148,600,000
be the I year 1935 appropate $785,744.-
$4,000,000 to PRIVIE at pennalage rates the cost of trans-
- for - - a the - the two of - - supervisions from -
474, oboh, - with the appropriations for 11037,
purlation of AND mail previously paid from the app-
Transfers
claims a favial of mic 85,150,859.
The für 10.12, EON Trute
pristion for transportation of mail under the Morehant
Additional Nº - - Timely
Marine Act of 1928.
(or personale of INTERNATIONAL under (he Merchani
- -
Mexium of DEA This for 1007 includes
The other major increases of importance not directly
related to the increase in the volume of the mails are the
" Associations -
the of the
L Community Code Carporation
No 1
----
- if el the mil encried on
appearing under the appropriation items for operating
1. Expert-Iment - where
the
1,000,00
-------------------------
minter will emt in the
fürun and operating expiplies for public buildings. The
1. Primi Administration
I
16,000.00
11,000,000
-
- all on and of the development of the
increases in thom items ann stus to the large mindor el
4. Regional agrinitural - organizations, end and experies,
No
- 6,000.000
Federal buildings that will Ivs completed during the last
L bina lower - repital una
PUBLIC
-------------------------
maile Five 100% the Postal Servion
unly Lat of mus all Insurance
half of the fisent your 1982 and during the your TIME and
A. bird Admission
12,000.00
1 Time Cradic - inforting in -
- 200,000
+ 500,000
------
name Mile - - an -lifferentials in favor of
turned UVPE in the l'ont Office Department for administra-
, Tim Credit Administrative, -
-0,00
America - (If le determined used provided for by
tion and operation The cost of operation of the DUE
M. - Salef &
123,000.00
The Clandi The Communication Aller moking
buildings is member residenbly more than the SATURE
a Tranker a Zum Appropriation
-------------------------
in reuts of the privately uwned buildings vacated.
Total expeditions I - -
-16,000.00
---
-
é
James
-
majored
wate
for
the
Social
your
1957
und expeditions
I I 1
-
Respt -
-
up
-
-
Even e mills
- 43A Ma expended by furção Commition Carginia
737
---
MM21
---
--
21.99
-
1000
saw
-
----
-
---
----
una
AND
DOLD
31.06.18
-
36,74,49
i
I
-
/
10,000.00
STATE
-
[
11,000
ano
- - - - - - - - - - - - - - - in - en - - a, - --- Mia - M for de o - # Metion Described le - - " - - - -
I
2
-
/
I
Regraded Uclassified
THE BUDGET, 1935
RECONSTRUCTION FINANCE CORPORATION
739
735
SUPPORTING STATEMENT No. 1
SUPPORTING STATEMENT No. 2
RECEIPTS-DIRECT OPERATIONS
EXPENDITURES-DIRECT OPERATIONS
Introasted,
Remained find
Name
Extrated -
lust
peral rise.
PPM TAIT
-
your rites
- THIP
part
The -
- -
$11,000,000
-
I
130,000
190,000
- and that -
46,000,000
Rme
30.000,000
84.008,000
60,000,000
45,000,000
case
1,000,000
11,100,000
66,000.000
11,068,600.00
-
-
2,000,000
7.000,000
0,000,000
itas
and I
500,100
1,008,000
2,000,000
8,000,000
HELMS
comparies
1,900,00
2,000,000
21,200,000
Federal lot banks
- -
1,000,000
MARLE
has
1,000,000
1,500,000
150,000.00
1,900,000
- -
500,000
500,000
area
Limited credit corporations
1,140,000
100,000
100,000
RMV
agrinitural gelit
000,000
806,000
mate of deposits of public many.
-
Es
Fishing industry
-
42,400,000
L.R.000
Internet and
Misis, miller and working -
1,400,000
1,000,000
861,000.00
AND
at pridenta
-
66,100,000
13,000,000
-
12.000.000
(Hare
BALOGO
ama
Repair of - by floodi and other
2,000,000
1,500,000
I 7 I
13.000,000
30,000,000
I
8,100,000
Más
Currying art unlety metring of agrection? condition and livestnek produced in the United sistem viller this
I ta Credit Corporation)
5,000,000
152620
Uninip. lever ent Cutrida
22,000,000
- - - - Cabit - -
1
2.100,000
Purchase of presented stock, polet and and lasta soint is personal park
13,000,000
24,500,000
1.800,000
-
4,700,000
2,600,000
VILABLE
if struk et dericles -
1
236,000,000
Further of ha Fairni Emergency Admisistration of Pable Warks
100,000,000
30,000,000
00,000,000
1,000,000
Internet 5%
167,671,866.57
08,000,000
63,000,000
amo
interest of - to
For - and preservation of relational and atter
8,000,000
3,000,000
- - - - Corporation
Medicine
-
-
-
2,000,000
690,900,000
Total expesitions
3 IF
- -
Nell expenditions.
to the of the Beiget - hasts of tras the Treasury
- 208,300,000
- - - -
196,000,000
A - la of deits Transary maiment
LICENSED
110.000,000
-
Net resilpts, diret operation
I I
- - - - - - - - le - - - un - to De entimates of the -
Eum of
Regraded Uclassifie
740
THE SUDGET, 1938
RECONSTRUCTION FINANCE CORPORATION
741
SUPPORTING STATEMENT No. 3
SUPPORTING STATEMENT No. 4
COMMODITY CREDIT CORPORATION
EXPORT-IMPORT BANK OF WASHINGTON
Extimated, first
Extimated, -
year IRM
year UNIT
- les
Proj
Estimated,
- la
your TABA
your -
year -
-
- -
1
of pesital in Inco
$1,000,000
-
$30,000,000
ERGE
800,150
5
the -
(mm)
THE -
2,000,000
1 I I ! i
Total reviste
18,000,000
4,600,000
LIMITE
- -
Pas - - -
200,000
-
I - - - - - -
-
came
M,100
113,000.00
- - - --- -
animal
Hime
WWW
4.90.00
- il - -
- -
- - - " - - -
the
i - | 1 I
Total administrative -
117,708.00
1 : I I i
-
-
25,100
THE
7,500
4,08.00
- - - - # 1 - -
-
1 1 I I 1 I
LIKES
13,000.000
---
— - - -
Total
- - . - - - - - - -
came
3,068,000
PHE -
348
name
Aljustment to - el daily Timoury enterned
- -
36,000,000
113,278,870
PURCE
-
4 - -
Minis of
- -
I'm taste alimated by Please Corporative
15,000,000.00
- -
134,00
- tambi by Invide Warks Administration
241,00
-
- - - -
-
-
- -
! E
2,000,000
I 1 I
1,000,000
SUPPORTING STATEMENT No. &
-
200.000
- -
FEDERAL HOUSING ADMINISTRATION
!
- - -
30,000
--
-
Extended -
Activel Beni
---
- I I I
- -
- san
year TAM
I I - I I I i I I
LES
1 I
I I I I I I 1.
HEREBY
Insure
- -
Commer - one
$1,984,000
$1,136,168.00
Presince, - and namil -
7,200,000
4,787,000
Fina - - - - - of - -
an
682,500
$40,811.00
- - - - - -
CAMP
himd in invoicements and income Irom mil property
may - - is - - - - -
1,000,000.00
Tital respo sessit applicant
1,907,000
T,201,000
1,141,000.00
-
M.I.
Les resigts renal ta Batter Investment
70,000
his you mijo applied is 1887 and 1208
/
SUITE
Total remiste applied sesions expeditions
10,000,000
8,000,000
1,000,000.00
+ - *
+ 21,000,000
* 206,000,000
mace
Expending
-2,00,00
innimil -
- -
Permissi NIVEN
+25,000,000
* 125,000.000
-
-
1
Other -
/ I Inc. / -
I
6.000,000
11,000,000
$ 30,000,000
+122,000,000
-
Total atmoint special
Ocher
*1.00,00
Claims under - 16 sitle I, National Busing an and justo at bines)
7,380,000
4,000,000
26,000.00
I 1 -
$ 2,000,000
and
Loss la united Indictions
+ 135,000,000
11,005,000
8,90,000
1,000,600.00
natual lant
35,000,000
13,000,000
-------------------------
Total
be
16,00L 000
15,000,000
+161,586.14
tal - M daily Tway
11,000,000
11.000,000
el fisatzing:
16,000,000
14,72,000.00
The lasts should by has Corporation
From fanta slimint N Pulle Wall Administration
16,000,000
12,000.000
Erma at
Regraded Uclassifie
THE SUDGET, nos
742
SUPPORTING STATEMENT No. 6.
REGIONAL AGRICULTURAL CHEDIT CORPORATIONS
-
- -
-
- MIT
I /
E 2
I
---
- « -
-
I
-
- - - - -
In
new
7 I
-
ANNEXED BUDGET
-
II.
(RA)
TENNESSEE VALLEY AUTHORITY
I
-
- - - - - - -
SUMMARY
- -
-----
-
Bind
Extirested, -
Action this
I I 1
----
supporting statements
yes -
year -
[ il
I I I
-
- REVERTED
L Service and prem.
-
01.00.70
- -
1. Odiva
17,181
67,00
---
- - - - - -
-100.00
+ 5,000.00
a (the
LAB
-
LM
IN -
No.
1,21,19
A,041,80
1,14,28
. - - -
e - but
-a,w
EXPLANATORY STATEMENT
- - -
- in cell spill princi tryatement to lost a non et -
The Reconstruction Corporation, organized
- resulture
1,08,20
are Indicated in the Corporation's Aunexed Reder
sujestisary shown above,
Applied unins
LOLIN
under thousand of Junauce 21. 017 Stat so, we remaind
for the purpose of listing Inrilities
for banking and office and for agri-
The direct operative of the Corporation include law
TE. maune BARI)
united to lumba, railmada, aud commercial busine:
L that unint, - mevo
No.1
41,000,00
cultural commercial and jurrposes. Tipo
1. Feidur and pupin
% I.
1.00,00
180
eral acope of the - anthorized
Touns made for financing the marketing of
4. Nonal-dation prignes
if
€5,10
VILIA
be that will, has Benefits estimated by ------------------------- Impidation
of stock in banks, ngo
L Regital dadas, - - preve
Del
167,10
25,90
68,60
The ant of Jamerry 11, TMTA Stat 1), extranted the
panies, and nortgage organisms: and for all admis-
6. (Me understand especiture
No €
AM
IRR
367,800
obligations milluris of the Componsation for Felumary 1,
containe expenses insurred in connection with surb tran-
actions Direct receipts include repayment of principal
Teal -
1997. las being Immicate) el ench parlier date de
Events of -
-4,16,07
may - fixed 30 the Prodices be performation The
and interest (new Supporting Statements Non. 1 and 21
Etems of expenditions me
41,200,00
entimates his the Diwal keep pursuast
make fimile available the advances to other
Government Agencies and corporations, or for
Type - -
MALIA
ann
to writing : of the Final Appropriation Ant,
from your 1976, are in Une incomery administrative
Name to expital stuek Those Tunds have been
FILL No (care nom)
---
16,000,000
expenses of the - a Equidation Image alaimid
to profession the capital stock of the Regional Agricultural
the - estent the authority of the Compution
Credit Corporations, Home Owners' Lanen Corporation,
TE Must ne missing
levend February ner
Federal Home Term Banks, Export-Import Banks
L dimet inter Naired Internal Renvey Am,
Poderal Form Mortgage Corporation, and the RFC
a - Energency Appropriates Am,
The regital dies of the Man
-
38,000,000
t. Argremative - - of
atod your for the Mornetney of the Treasury
Mortgage Company Fords have been also supplied e
a - appropriation available in UNT.
from en made hy Vongeres in accordament
the Feileral Emergency Relief Administration Farm
44,30,20
-192,14
4. - statistic Le -
-86,2H
with the of law. Additional funds am
Credit Administration, Federal Housing Administration
A. Devembed Indoice liewind
provided be - bo - Bulter, debendares,
Community Credit Corporation, Rural Electrollestro
-------------------------
48,600,000
45,881,421
" General Design -
law Time of the Treasury purchase the while
one) offer Willing limite prevised by
Administration, and for the purchase of securities has
The Federal Emergency Administration of Public Work
allows in No. 34 I BY INC (MM) signature - as clipin bein. Ins -
of the whenever additional formie nine
and for Tenmier to the appropriation under the
Relief Appropriation Art of 1935.
The - Valley Authent) 44 authorized ta lane of BLVIN la - at - of operation be mt. - will lame - Name
stared collinte by the
- Hot for will proctival is is Similared
Mana nit the agruction ne corporations, which have -
743
oursing us perpose and
The improve for EWO mediums
Issued allocations Term the Reematraction Finance Colo
Invo alon Trank francis other united San
require nied directs to distain agreeliments be "
making borno - In of -100% Swill
am LO nell obligations directly to the nublic
transactions are informal a -
Others obtain additional capital from private subscription
Corporation Family Du the The
The receipta, expenditures, and income of
terepital stock, or [men moneye appropriated by Congress
referred agencies 10 117 as mile The Transfere of funds hereing
thran corporations, together with the direct receipts a
financial
operations
expendientes of the Reconstruction Finance Comporation
are ahown in detail in the foregoing statements.
Regraded Uclassified
THE BUDGET, 1038
741
TENNESSEE VALLET AUTHORITY
745
SUPPORTING STATEMENT No.1
SUPPORTING STATEMENT No. 2-Continued
RECEIPTS BY PROGRAMS
NAVIGATION, FLOOD CONTROL, AND HYDROELECTRIC PROGRAM-Continued
-
Limo -
And -
1938
-
-
- - -
and
- - -
- -
20,000
35,100
- -
lumit Date und
344,000
E.IM
Original
00.000
- -
3LM)
Rained révestion
$100,100
Le
200,000
76,400
-
$15,400
--
DATE
- - -
au
Their - and - -
10,389
$21,080
Tomal
1,194.381
TRUE
the
value, and -
Ville understand
+ 67,260
14,477
-
Total
60,000
1
anis
-
221,462
313.MU
9f.in
1
8,000
AL10
end
-
170,400
The
SOLHO
BALTH
MO
I Dam and
Original provide
-
Project investigation
I
2 000,000
1,714,00
NEW
Last amplication - protection
$1,500
446,187
1,000,122
TIME
0,00
University desiring. - and protection
--
==
ligitent registration
04,128
THE
T-Ail
1,63,00
1,775,400
I relencion
$3,900
IS,ON
time
Other
10,000
40,747
- - - -
4,200,00
2,900,000
ICN
Date and - made
Employee - - and operations.
- -
Other
THE
-8,21
-
57,00
67,185
ce
-
1
Total
41,000
1,300
8,700
IN
Additional and Seltements
ALMO
-
-
1,00,20
LIKE
Lending Ihan and
Print investigations
52,448
101,232
Surronting STATEMENT No. 2
List and backwaire
-
1,000,711
1,012,007
and protection
474,483
NATIGATION FLOOD CONTROL, AND HYDROELECTRIC PROGRAM
relegion
548,745
45,108
relicative
100,000
31,000
4,700
00,100
Than and - -
4,200,500
-
-
Activi.
Resplayer broing, and epention
$1,142
400,748
-
Other
-a-
Total
4,60,133
$132,725
NO
MM
AD
lieuse Inn MM
11,528
as
Prided
65,09
12,490
ment
!
Last segulation not Instructor
-
26,072
297,241
21,00
ISR
derive and protection
35,141
11,001
4,921
-
HAME
1,000
1,10
Exitral minative
7,100
1,100
251
/
-
ALON
sur
Other relasting
38,100
8,047
no
I
11,000
(0,000
IN
Date restruction ad - rede
75,738
is
-
-
OLIO
:
Employee here, and
270,945
GOLVIS
AIN
0,38
00,4%
80,000
12
Trist
ANOTH
20,000
-
4,300
LIII
371,200
Den set
I
#
38,27
Prijed
N.S.
75,100
I
Last and
436, 05
- - -
90,70
Remie destrict and polation
80.04
21,884
20,222
2º
lights mindio
LIMIT
21,54
2.36
LM
240,900
70,000
4,87
Sm
11,19
a?
Other
28,48
n.m
8,1%
Dan metricas and -
8,112,784
1,684,000
Thank
I
ML20
MP
Enjoye Ima, nervis -
NOT
135,787
66,12
LILE
Other
17,301
I I I I
-
LITER
670,29
I
Tax
17,000.00
LAS
1.000,00
Name - - -
- -
135,000
12,00
all
Time of madia,
Dome
-
- -
! i ! É /
K*
are
ILM
of
20.00
LIE
Regraded Ucla ssified
746
THE BUDGET, 1038
TENNESSEE VALLEY AUTHORITY
747
SUPPORTING STATEMENT No. 2-Continued
SUPPORTING STATEMENT No. 2-Continuml
NAVIGATION, FLOOD CONTROL AND HYDROELECTRIC PROGRAM-Continned
NAVIGATION, FLOOD CONTROL AND HYDROELECTRIC PROGRAM-Coniinced
Extimate, an
sur
- -
becaus,
-
total -
-
- - -
-
$100,000
-
-
- - - - promite
as
Emails -
- - - -
87,418
3.19
William Dest
BALOR
$174,20
Name -
$11,000
C.M
Kerry Dam
85,000
48,130
MM
as
- -
2,000
600
M
The -
0,00
ENTW
-
une -
127,450
Sin
-
BL40
70,240
- -
- a
TLWI
$7,800
- - - - und éjetation
28,180
-
10,180
5,000
7,200
-
-
- -
196,000
P.O.
Tax.
78L100
06.70
EX,114
Times -
internal sintent) -
$1,400.00
-LOSS
- -
1
138,20
18,60
46,12
- - - an
45,947
FUN As - - - with
-
-TL.00
-
----
Friend
360,000
INC.
- - - - -
THAT statement?
- 366,245
- -
4,000
8.30
insure -
THA operatione
- 783,500
Times -
190,00
DAB
THE alla the control and per
---
- -
- - -
4,700,000
5,000,00
Invest --
AND
$00,000
- of delived.
100,000
- - - -
3
100,000
SUPPORTING STATEMENT No. 3
Total
1,100,000
T,200,44
FERTILIZER AND SOIL CONSERVATION PROGRAM
Tood - - -
Eximate, -
Edimate, JUST
a.cound, LIMITS
was - -
- United -
- sed
$345,00
BARA,THE
NIM - -
Name - - -
14,188
n.su
as
Major plant at demistrativo inits
1,08,00
060,274
2,8
44,781
GW
mit podtation, - missing expely und -
190,000
243,000
200,000
lave -
Hunderizing
L,000,000
LIELON
1,645,530
- -
4,000
4,000
LTR
Contrated - sid belüver
200,000
211,423
184,800
4,100
1,00
set large - 1 -
650,731
437,499
TRM
and development of farm -
136,600
44,771
12,000
72,51
36,00
Seive Time - -
Internation set - entid
300.000
ISLAND
200,400
- - -
- - - -
THE
2,000,00
4,17
sur
- -
11,7%
M.493
-
134,111
148,943
+15,700
SUPPORTING STATEMENT No. 4.
-
NATIONAL DEFENSE PROGRAM
- - - -
26,14
" - - -
die
Actual, -
1 I
Last -
TT,WIT
TLVO
- - - -
24,74
135,560
0,00
of Like proper
NOR.IN
$4,113
Commes wit
2,00
61,800
130,800
1
12,70
no
und and
2,00
3,900
INA,TEE
Missing
NO.00
100,000
C
- - - -
23,100
7:2,201
APP
Total
20,TM
$27,960
-
--
Operating -
1 3 I
/ # I 1
SUPPORTING STATEMENT No. 5
I : I
1.000,900
RR
-
3 a I
248,800
152,300
SP
REGIONAL STUDIES. EXPERIMENTS. AND DEMONSTRATIONS PROGRAM
- - - -
131,300
100.000
I /
1,590,000
:
Entires,
Katimale, -
Adad, -
1,000,000
Time
0,20
:
643,000
$44,000
MP
- - imjorte
$130,000
BNLID
11M - - news
8,400
SLHD
36,20
Error of - -
4,350,000
Freury provide
00,00
0,00
40,80
11,210
118,827
the reselt
Depending - and extende
41,200
45,36
34,000
Indigo
SAND
21,49
c.a
36,80
--
THAT
Regraded
Iclassified
THE (a))
TENNERABLE VALLEY AUTHORITY
749
TAX
STATEMENT No. 6
The antimate for the fiscal year 1935 provides for contin-
chiefly Unun Indured ley alectrical procuss and relut-
others ENDISTRINES EXPENDITURES
unders of the work EN 88 persont of completion, and in-
ing to phosplines and other elements
large our of the funds required for the installation
Major plant and domonstration anita: This ammunt
VISAN
Enimals, at:
of 100 contrating units of 23,000 kilowaits ench
provides for improvements to the ordiving Cortilizer plant,
Construction of the Chicknomugs project which was
IL purtions of Nitrate Phone No. 2, to reduce operating
submitted in the Emal year 1926 will. by the end of the
expectes and by befier working conditions: for
Has
[oval your 1007. be approximately 23 perment completed
tion of smiworks unite to deministrate the franquility nil
The amount requested for the fiscal year 1038 provides
process and equipment designed
TVT mother quarter of the work, including part of the
and developed in the lebonatories: for construée
IND
:
finale required for the installation of two goverating unite
time and inprovement of en experimental blood furname,
(23,000 kilmwatte each. Must of the rewrvoir clearing
and The emproving the major enjolipment of flie fortilizer
and information work and all river-channel improvement
plant
EXPLANATORY STATEMENT
will be undertaken in eusuing fiscal years.
Phospbato mek productions and Ivages.
The amount requisted for the Gilbertoville project for
This provide= for not expenditures fire williamal
Tin organizal IS the Complete post 1948
in the como of projects already Maried, -
the fiscal year 19% provides for the continuation of pro-
expiriment anywary for handling priveptate mdi in the
for This amount with -
achedule provides for continuation of the work -
investigations now in progress. Is Lie proposed
maning uzva, for primper-ling for ne plamphate rock de
visitions of DE lural Invigot
⑉ proceed with engineering surveys and studies on all
posits, and for obtaining il supply if permptiate rock.
pour designed le the maximum of
for - procedro (ie flun
fratures of the project
Cierges to fortillare manufacturing operation im the
and the creatment possible stability of
line 100 - of IL dans and me-
Funds HPP requested for Investigations, surveye, studies,
basis of quantities of are reserved and provent an
ment.
credited to this arrollat, the entire mil of which will
us? projects provident fue IX (Dee they Are
investigations projects This plase nE Ihr polo
and explorations for projects on the upper
and no its tribilaries. These will include den
eventually be cluirged into manufacturing operations.
lat confirmation nE medications 00 processed and
grown metiules, liest continuation of investigations -
proposed - Ne Transment Riversed lis
informing to the integrated development of the rivir no-
smogents bown da Walls The and Coulter Shouls, des
The estignated expenditures will empro all
in the report (ID the Unified Development of the
supply of faw insterials für montacturing operations.
sul (ell the all articlum
tomo (o arbiove the greatest possible navigation and Renal-
- have
learilla, Second, there ato included less-
Transuree Ricor System (Teunesse Valley Authority,
Manufacturing operations: This amount provides for
legi MI the impresement of nethods for the
March which, alien constructed, will provide,
the of of bew plant-food printacts to
Iw requirements - - the
Pokers Landon Conter-dio and
while the ullier projects for which construction funds API
la wel to domonstrate their agricultural value and to
transmission, and distribution of surplier power. Fundy,
Date of
mquested us Unis Hudget, a U-Tout narigation channel in
encourage oner erops for purposes of control and
three jemjerta include the compilation of plaminetric
Knoville- Also included are sinilar investigations for
protection. If roseb labor, FOOM justorials
et - Up purchase,
land un, and other mape of the Transmer
and FI Inte - all distribution,
Valley Such nape un matorido for #
the purpose of proparing plans Our water-inited projects
annually taken until unit eredited to the phosphoto
ent di and
milked program of divelopment of resources They in
un the Franch Browd, Tittle Tenumure, Unition, and offer
rock production account, power mailted to electricity
utlar application line the mind main and
cributories.
operations, and other general
being (impand in conjuration with the Unital Valor
finalage Surviv.
The annunt for electrical plant shill equipoient provides
Crettelled will end fertilizer investigations This ni-
e Inharni a (is of
for the continuation of mistruction of a transmissiones
bale provides for studies of the physical soil rhomical
aml de mining al investigation De
and improvements The estimatio under
Hos plane of Ha (migram provide Der the et
system intercommenting all dasns and providing an outlet
characteristics and biological relations of the new found
perpose and No mindorting of -
für disponal of surplux power. Is also provides fur the
plant foods and the physical, claimical, and biological
mi to - lens
Vermilation ist mindractions on dam and reservoir
- ami of the Valley Nothority The
continutiva of a program of rural electriliration, and fur
characteristics of the various types of mále in the area to
streets started, investigations on projects considered for
The wills Boy have additional
incomery additions to the revolving fund for general
discurer the relationship between plant fund definienties
intertruction on the Tennessee River and the
totico, comfination of construction of
agaigment and inventories.
and proper fertilization. These are main with
[wing Dendito ante The 14
How Limit- adi le matal (if - required Insurant
Operations: Estimated revenues to be derived from the
plant funds such just superplempliate, pho-
person levily un to or My DE and rano In missing tax
- and distribution projecto, and nonembry additions
disposition of surplies power will be sufficient to novel all
plute, fused phosphate, and divalcium phosphate. The
have Form when be
and Interments to and reservir projecto new a
direct operating expenses of electricity and navigation and
methods employed include luboratory and greendiouse
ploce) las tim m/o pour of the - to 110M.
operations, and leave a balance of $2,717,843.
investigations: um 111 experimental plats, pustare and
The requested for Wilson Dam provide les
which REFYCE to reduce the net amount of the appropria-
mendow tests, feeding tasts, adorted pilat farms, will
volor En the powerbouse and generating
time,
tion requested Water-control operations include plan-
management studies, and elamilication, description, and
- and the dase, lock, and spillway. The -
ning fair the unitied capital of all projects a) as to obtain
inapping of the máis la the area These studies are jer-
male fun Nume Date M principally for legal code - last
benefits, control of tralaria and sunitation in
furnied in with agricultural experiment de-
Commination fir - one
-till ML condition, and for the ensupletivo of Nail
the reservoire, anrvices funished for lock operations, and
time and the Ruman of Chemistry and Soils.
and Dome - med on.
terms Additions und letterments are controplaint
the maintenance of reservoir properties. Electricity
Farm unit and large-sesle tools and
and key Mos Miller ha approximately information
lie farthtine limitary for the maintenance of the reservit.
operations melale operation and of dans
The farm unit tests revered by this estimato involve the
To complete - number statust in
The infiniale for Whenler Dan provide a mail amilisi
and transmission facilities, and georral
practical application of the Authority's fertilizer products
proposed Toy -n 1/1% will Implice additions
The the remplation of the acquisition of land now is (if
minimistrative cunta.
in cooperation with the Carines and experiment elations
$12),000.00 The no (movide
domuntion and relecation and etlot a
of the aren, meltuding the mintenence of recurile of fight
- Trisan the
ways. Additions und bettermints are
PARTICIZER COMMENTATION PROGRAM
results, affiniency of form organization, of pro-
number of the
plated for furthties secomery for the maintement al de
duetim, and increased standante of (artis living: terracing
lay Congram
The estimate for the and mil couservation
as air adjunce DI improved cover cropa; intensive NMP of
In Marri Tam -
Pickonk Date and Reservoir will THE approximately -
program provides. the continuation of the development
coxer crope as en atil to soil Tertility and emainu
for Congress (live any Uo
unmpleted by the and of the fiscal year 1957 TM
and of siew furne of plant food, testing of
and extension of methods through signational deminnstra-
numé of the Transise Nove with
für the final year 1938 provides for Or
these plant frods in evaperation with agricultural agencies,
liven The large-enale area teste involve the name with of
program for This - (be) in I'm To
1) of the Visit -
completions of the project.
and other work resulting in the prevention of will emaion
metionls employed under the farm unit tests, Test applied
The United project will be apprecimately our-hank
and the allting of reservoirs,
in compation with will the farmers in selected areas, eich
In addition, Toking
completed at Nhe and of the finen] year 1937. The smant
Chamical empibeering research and experimentation
- small untersbole or districts.
advantiser of . which - and
loe de fined year 1936 provides for control
This project provides for chemical engineering and Te-
Bescarele and development of farm equipment: The
time This ei-m. Swam of for the INSP -
- all the
the ours, including purchase of practically all
lated remarch ELEI the elupment of equipment and
estimate for this project provides for the development of
empleted. the plant - will I (mployed is
of The land required, and completion of Imployment -
pertaining las live manufacture of plant family,
farm equipment which is required if the unost affective
term tamp construction
in the of fine before - le
same lype of 11 41 the du et paymet to
Construction of the Guntersville project was www.hard
⑉ the fest your 1036, By the end of the foral year 1M7,
approximately one-thind of the work will be complaint
Regraded
sified
150
DE DUDGET, 1848
in las the - of the new forms
REGIONAL STUDIES, EXPERIMENTS, PUSIGRAM AND DEMONSTRATIONS
of plant Imide Durtie 1035, anny all Live projects will
met the provided requiring a small
- not (In astimate for disting which they
Sections 22 and 23 nf the Tennessee Valley Authority
Art authorize surveys and general plans fur the Valley
STIT in the experiental -
and ensire - This project Fimil-
and adjoining territory in cooperation with local given
gives reformation, format and related examing
montal agencies or other organizations for the (Ditional
control (if) Samile adjacted (6) and desising ister T. V. a
perpose of recommending legislation along the fines et
la sun of provening silting. The
control, navigation, surplus power, sise of nurginal
lands, reforestation, and otherwise,
ares is performal BIL responsion will the Civilian Chip
surretted - and formers
Industrial in this program are studies of the region's
ecenic und recreational resources; studies of
Compertation facilities de related to river novigation
- -------
plans fur utilizing forest resources for protecting the
ANNEXED BUDGET
and developing new forest-product industries
Ent persons provided
atudies of the opportunities for comperative undertakings
DISTRICT OF COLUMBIA
for Un commented in - mismily
and the general exploration of mineral resources in relation
of II= sigute plans and facilitive at Musrie
SUMMARY
la instastrial development, river traffic, and u market for
Il glos - of misminal No
surples power,
- of the valuable national déleme
-
-
- -
- -
Afteral, /
- The los 11014 representive under
OTHER EXPISTRIBUTED EXTENDITERES
date
- -
- THE
- TAB
i
that has 1937. rentimg from . is the amount
These items represent expenditures not allocable la
for anneral and iler complete of construe-
spocifie phiersms and projects.
and improvements
General injuipment and inventories: A small
# - - at - up FIRMAL TRAN
The in - provide fair
en requested for this revolving account, through which à
I - - amant
-11,000.00
BURLIN
(6)- nf 1 expirating investigations
7 name ME -
423,218
458,HRI
handled resportation, office and similar general
1 Rue -
WALCH
1,000,184
and
ni - products and the
ment, and inventories.
E The -
LIMITO
summal - ne 10 any which sm acceded
Administrative and service expense: It is estimated
0.00
Tue national Included are
that this revolving account, which is distributed to
THE
lather ⑉ the of nont,
diming und In addition to Chese implemal
grams and projects, will require no additional funds in
n. FENERAL
PI
1037 and 1948.
arguite miss of Now - will also
However for An amount of $1,000,000
ni.
provide una - for will premi and rem fertilizer
L unit THE smot
38,477,00
anno
*A* set sp in 1937 in accordance with section 20 of the
- Internatory at Nitroto
= special empla call
Plant No an untital défense amet.
Tenaccere Valley Authority Act ns B. reserve for Principio
SAA -
LANE
vies and to insure continuous operation.
ITalar -
LINE,00
1,473,40
1,148,340
I Trail -
LAUR
Two in
#
-
a. - -
6.00,00
. Final emma
MA -
1,10,20
Walm -
1.88,00
LOLES
I True -
1.70.00
LOLD
Tetal.
No.1
49,036,043
MAME
-LINLMI
LIVE
4. Geseral revisue amount
132,000
-
--
. Handles tas -
BLD
WILTI
COMLINE
1 the -
1,166,702
1.151,78
4. This
TMAIL - 1. n. et ni - IV.
- - - la Extensions be Course she - # tempert of the Comite - male - Pail - Between - United States - De Transfer
-
751
Regraded Uclassified
TAA
THE BUDGET, 1938
DISTRICT OF COLUMBIA
753
SUPPORTING STATEMENT No. I
SUPPORTING STATEMENT No. 2
REVENUES (FOLLECTIONS)
OBLIGATIONS
Extimated,
Entimated, Divil
your estas
year
Anne -
Enterned, Rend
Bond
Normal
- Title:
per TAIN
- FRAT
year -
- - -
- -
$17,580.000
$17,900,000
l'alted DUSTRICT of Commis Rest relations eats.
1.100,000
mea
- -
LIELONI
Use
liesend - arcount
1 I I
2,500,00
1,400,000
RICE
Circeral - and - of
is . -
2,100,900
Genrral administrative whichtone
Pross - - -
95,000
300,806
ae
Continuent and
26,117
36.24
] I
508,000
RM
- under F. W.A. Less Art.
1,000,000
1,000,000
T,000,000
- -
1,286,000
1,100,000
Little
- -
20,000
as
THIAL outlient - -
1,131.00
- main - -
775,000
70,000
No
I 1 1 I I
$30,000
:
Departmental objections
- - - -
1,254,000
1.200,000
LALE
HIME and net - and regult
276,000
20,00
-
430,000
:
sum
1,391,900
- - - - -
196,000
HR.000
-
NO
(sladion and disposal of
1,380,300
150,000
150,000
me
fine Loney
547,840
----
-
4,180
6,000
LE
Placements
36,36
84,80
190,524
I I I
20,000
20,00
as
Electrical deputiment,
-
-
- -
31,000
21,000
his refinds
- - -
2,8%
20,000
200,000
- - -
RU
liperstion
20,000
40,000
:
Buildings at prode
LITALION
LMLMO
775,160
- - - -
Parchase of last
422,000
28,000
80,000
and
Pila
1,206,908
1.713,600
and
--
- - - -
- ... -
Fire department.
Sindli department
MT,00
507.479
1 T
-
2,430,100
L 400,000
Law
curs and private
LINE
-
(20,000
190,000
--
hills value
8,635,850
8,277,900
I
71,000
00,000
-
Millia
42,7%)
37,000
Delevation, Ansmitia live date
NL000
40,000
- - - -
2,100,000
2,000,00
the
Public parts,
-
! I I
National Capital has et Pleasing
617.800
Main -
National Evilopies Park
227,006
JILING
-
1,210,000
1,400,000
Determy and
350,500
20,000
I I / é :
1.50.000
as
/
74,000
XM
Twist, departmental
---
31,900
1,000
Я
- - --- -
Tel - - smill
LELM
LIBE
cose -
arrents supportive
4,255,000
LAS
Date - - chilization
1,100,200
! 1
L.MIT,MIT
sur shiptini.
-
- -
4,118,850
1.198,000
Total quid
- - -
as
- -
- -
500,000
SAT,000
--
That email
30,000
00,000
:
M belivering - -
400,000
433,000
48,78
and niel net
- -
250,000
548, 900
-
790,000
230,000
-
minuel tel
50,000
50,000
N.C.
THE
45,000
40,000
30
lesses funds
404,900
427,297
had
130,000
TML900
--- --- -
1.642,000
1,825,000
LMF
trust hat depette
45,000
42,000
Funds - the the
I : I F I 2 I 1
- - - - -
Launt and main
- -- - - - Less -
firseta by Federal Emergency Belat Administration
500,000
- 1.0
LIAN
Office of highway nabi ky Department al
Lease by Telend Exergency Administration of Public Warks
3,972,433
1.10.20
200
120
Two
PM
614,000
30.00
Brants under Poctal Benefity Art.
8,138,000
-
I di I
68,00
-
Tital the unscate
and
1 : 1 I s
-
Total all - of Durent of Columbia
141.00
- e - - -
e.g.P
/
fornde District payment of - of - Fredmen's HIM, nom no. HIM. BILER
-
/
Regraded Uclassified
TILE 1035
DISTRICT OF COLUMBIA
755
EXPLANATORY STATEMENT
PUBLIC actions
FURLIO WELFARE
Tw für Dian! of Columbia
GENERAL EXPENSES
The increase of $210,520 from operation and institle-
The Hourd of Public Wellare has general supervision of
- a (HIP (10) am - . the persong
- of public is composed provipally of the
all public studitable and correctional inditutions and of
- DI sul la crimi Time - Summit Redpy
Appropriations are made under this hinding lie -
following Lane Administration and supreventy, $4,605:
the care ant of dependent and delinquent
- - des citizensi - governal
solorios, and in mine instances the expenses, of the Mr.
$11,300: teachers and $212,750; enfored
children The nels insuress of 517 under the Bosid
and of (Is Thank for una nm repended.
sigal nlicen of the District Downtown
traf wide, $2,000; vocationsi entremation, 44,375; core of
proper, which includes the Divisim wf Cinid Welfare, -
in Intell - with the -
and explain other municipal sgrucies, such as the Super-
Irsiblings and grounds, $11,700 and erippled
reado up of $1,500 for an additional untal worker: $15,000
lalume 1 and (yont -
intendent of Weights and Measures, the Public Unity
$3,300: feel, light, power, $25,000 matingent
for the board and care of guardianship children, and
of mmer or then No and your ner. will
the Department of Vehicles and Trulle the
DATE note Tim aperiali whil
Resider of Dooda, and Register of Wills The net in-
- $26,100 Informatory supplies and equipment,
far the resplivo and detention of children
action garden $3,600; less the following
Yor the jail them in no increase of $10,000 There is e
United - Int - all et
ander general expenses of $762,300 AA due Drive
- imme Attendadre department, $600; funitum
will of 516,780 fur the Workhouse and Reforma
It by fint les will to il que is of INC
cipally Tu the Enllowing items: Ciril-serview -
and equipment. $40,000; end musics and improvements,
lory which la made up of income at $56,750 [ . $50,000
IND the ml 110% proje no - Inline
and disability fund, $1192,700 (this larger increase is the
+14,500
minimuring construction item. There M an increase of
Towal - - and @ CHGH
Detoct's lisbility by required in order to place the DL
The not decrease of 847,500 for bulldings and grounds is
$50,000 for the National Training School fine Boys Pin
- the IM - and
India claire in the fund un a sound actuarial less -
unde up of 0 construction and land-purehase pingown
the National Training School for Girle there - e devrease
water - and Inst amails Surpline of
under the recent ovaluation by the Board of
intuling $1,500,000, less the (937 prograte of
of $105,600 no account of construction tem
=1 INCIA 16- - the points arrume
unemployment (Diams) of
The program commists of the following
Univer inedical riberties. Children's Hospital is de-
will by en -6 commint - Com
Colombia 550,000; Municipal Architent's
dene To immplete now Vennison Viscational School,
cressed $35,000, and the Easiern and Unity
provide Product Any
Ullen, $10,060; employees' componsation fund
to begin new junior high school (VB) Banneker
Hospital itum of $40,000 is Time reluctions
missing debit stand by BY abo
80,000, office of the pound master M
Playground. $200,000: Tiumily School addition, eight
in are, offset by « III-
properts 141 nin OF the Direct food
(line hand from the Health Department), $10,620; muse
neime and AR $126,000; to begin
covide 50 aurle at Gallimsor Municipal Hospital
11. in - and to sueli, additional
bird holder regulation, $5,500, less a that reduction of
any vaentional school replacing School, $100,000;
The estimation Jue the tuberrilar Imopital and sens-
committe - read
912340 due to items
School addition, «ix $03,000: to legin
torision and the Children's Daspital have bein commiti-
- nothern high school, $350,000; Shephen]
dated, and dow 9 total ant justrar of $0,770 or Following
Das of Engine,
CONSTITUENT AND REPRESES
findale four coune, upper floor, $25,000; and uddi-
825,770 for personal services and 520,00 for
Instructions No. I de minus of
time hand, $425,000, including additional playgmand
maintenance: and a derme of $72,000 under repairs Exe
Under this loved are included automobile, priming,
the District Bive join, di alawmel to Un provide
lamil in cirinity of Banneker Playground: site for ele-
buildings due ⑉ II lange nonrenitring furnaisure demi Eur
pulice, and alline expenses, together with the of the
school in vidnity of Think Street and
the stuit hospital. There in no included of $117 AMT for
special ENNE (Ind emails is (lo flow will-
Public Employment Service. The ant increase of $2,00
Amount SW, additional land, Margarat Marry Wash
Gallinger Mynicipal Hospital, primarily full additional
legine lie the time - - for
(11) and der - un de estad -
instructed fre principally MP follows: Printing and bim)
Vorwinent Schunk additional land adjoining site
nurve. additional new smhulences, and
far 1956 & Total como - mil
portuge, $1,000; general advertising,
for les Leave Vocational School: and additional land
a truck This will permit the Inspital las care for its in-
refunding taxes, 325,000, les $12,607 for
cressed patient lond and to perform certain
000000 09 we n)
adjoining site of old Deumiseu School to provide space
It-ail lo Gall (i) far the larger entry of
the new bioking
survices an be dienntinued at Children's and Commity
- los 0 the the - ml -
FREE FUBLIC LIBRARY
FOLICE
Hospitale
Fir the District Transing School there in ao increase
to entri for TGM Field information
Than ha under Une levil a ani increase of $5,000 nm
The int decembe of $8,075 is made HD by fullive In-
al $101,200 mado up as follows Purment $9,000,
number visal them Mism, the less had least (
-inting of $111,000 for increased book purchase, in à
in replace policerson now doing clur-
$12,000 repairs to buildings, $8,500 puts
- (MI at Il a you hundred
item.
include work; repoirs to stations, $3,000; miscillaneous end
The - sur nl % intere MYYY Hm 11/27
chair of truck. onstruction of 6 new Inspital and
vontingent require. 84,125; less the instructing item of
valuetive willi tur Indian you
administration huilding, $100.000 les a $730 unreaming
The us RE personal property - (i)
unintaining under at Immagral $21,000,
item. The Industrial Home School be Colored Children
yold $1,100,000 The
Div Service Department constructe, out
has an increase of $22,580, made up (1) follows: Personal
FIRE
E lessi
error 51,870, $4,500: contruction of "
- and =ewage-disposal system TM
ja/F Insulted Tin - of
titull andrew of $288,717 is compound of $1,500 to
The ver divrease of $21,000 is componed of increase in
vumiumal building, $15,000; les . 5750
der Americant far ONE
amount of $500 les $22,400 nomenime of fine
imm. The Industrial Home School las sh increase of
and repairing sewin; $50,000 for al
The yida the les - with -
SI,000, $500 nil which is for personal anriem and $500
mens; $200,000 five end
is estimated at RE/C/URE a as - valuntion
HEALTH
[nr maintenation The increase of $29,520 in the item
of of sur - (P) The viluation, e
provide work, and $25,007 fine the anwerage
The net increase of $139,960 includes the following:
for the Nome for the Agent noil Infirm includes the fullow-
increased ne
Plant, min Income 91,710 additional topses under permital
for A henlth outer; $1,000 fur labor-
mg: $4,7020 for personal writes, $8,000 maintenance,
Other longe in Min Mem - of to Un
sinry equipment $1,50 III) services of realization of
$18,750 for the of - additional hollar in the
tod for 1945 No the (V) mili An,
WEEDNE
pottions, less $10,620 fine the Office of Pound Master
hearting plant, not 82,500 fire iM track, I e antirenting
amountric M - five
The Return Department is responsible for Une
from this department in general expenses
item of STED:
which $675,000 permitting internal
$150,000 - known med - lätte,
of vul the collection and dispinal of mile -
and $2,400 for nonrecording items.
The fun public amistance has been medoced
Under this head, there is a ont of
$135,000. which reduction is offict by an increase for
$2,000,000 time Name
unlining flaw additional motor finaliert et
sid-age pensanus in an amount of 000, while personne
cent 3
$16,500 Insu hosterning equipment items, $7,000 god.
Provision is made under this herel for the operation of
Int the needy blied lave been refund $0,000 rus account
In 1985 the Waire twice - provide
the metered to is to and
additional Inpose in provided revire of $1,340,
the Juvanile Court, Municipal Court, Police Cuurt,
of overentimating the item in 1107 The National
and the nos en - (ent of
District Court of the United States for the District al
Library für the Bland iceur of $0,000 is eliminated. Them
theme chince.
Columbia, and United States Court of Appeals for the
la on increase of $01,950 to cam for the District indigent
PLAYGROUNDS
The not Instrument of $5,250 is for personal -
District of Columbia. and for the maintenation of District
insure at St. Elizabethe Hospital. There la likewise an
APPROPRIATION Two 1X-reas No
consumed to - two additional playgrounds.
in Federal penitentiaries. la all. there
increase of $115 for humal of men.
a a decrease of $551,905 made up we follows: Increase
The appropriations - Top de Disne
Juvenile Court, $420: support al convicts, $11,200; les
or FLATE
the fiss) your 1935 Other Mia %
IMPARTMENT
discress-Police Court, $640,500 (net result of a. with-
the District
recorring building item), District Court of the United
This item, amounting last year to $50,000, has been
The increases and - Em this has
The net imma of $22,560 is composed of $2,500 -
State for the District of Columbia, $10,326 met result of
eliminated. It to falt that this work abould les tempso-
any explained in - - below,
**** theme of of responsation of positions, $15,000 for mplate
instructuring rejust item): and Court al Appeals, $1,500
namily discontinued ontil the Unancial situation
delective and $1,000 for additional 1
(Det Twill of rupair item).
undergore improvement
Regrade Jclassified
756
THE BUDGET. 1935
PERLIC FARES
beginning construction of the Pennsylvania Avenue
The increase of $16,550 includes: Personal services,
Bridge over the Anacostin River, less $275,000 nonrecire
82,580; general expenses, $9,000; park police, $4,270:
ing bridge items and a $50,000 reduction in the amount
for condimnation of streets.
uniforms and equipment, $1,000.
WATER ACCOUNT
NATHINAL CAPITAL PARK AND PLANXING COMMISSION
The increase of $2,650 under this item will permit the
There a an increase of $30,000 in the Here for the
Commission to employ A full-time planning assistant.
Washington Aqueduct on account of a large increase in
the annual consumption of water. Under the Water
NATHINAL MINAMICAL FARK
Department are the following increases: Maintenance
There in en increase of $2,000 under this item for
$12,300; extension of distribution system, $50,000
installation of new meters, $120,000 (it in planned in
additional personnel.
complete metering the entire city in the next a years):
ULMIMS TAN ACPIENT
new mains, $137,200, less a nonrecurring item of 135,000
and il decrease in water-rent refunds of $1,500.
The increase of $665,400 includes the following addi-
termal amounts uner last year's items $305,400 for new
Permanent appropriations:
paying: $25,000 for murh and guilers; $100,000 for
The net increase of $20,000 includes teachers' bitten
repaying and $135,000 for maintenance;
ment fund deductions, $5,000; and Washington
$425,000 for additional bridge rentruction, including
tion fund, $15,000.
Energency of of appropriates for the And your 1139, compared will sypropriations for the Famil por 1917
- -
Buter enti-
Dermas -
time,
sales, -
- 111
Assume -
- - - el - - -
:
- -
- - -
LAIN
I I - # ! 3 -
sur
+2%
1,000.000
1,001,00
Ind. - - - - the
4,100,20
+14.00
INFORMATIONAL TABLES
Tim
- un has - - -
MM
FLUI
-
20,00
20,00
-
-
LR130
any
Pulice -
1,362,300
E
+2%
Emumi -
21.30
BLW
4130
aux
No -
1,00,400
ICE
819
- -
I 1 20
16,007,00
11,00,00
471.00
TiME -
LIMITE
-CM
- department
12.194,900
0,000,00
410,00
Prima seut Invoice -
Fine Important
1,705,000
départment
Destric
LELIE
-AW
Fuide -
-
Minis.
-
Missis - kas
5,171,200
HM76
National Commi Falls
12.7%
41.76
I I $ ! 1 /
30,000
-AF
National Individual Fais,
99,160
01,20
-AW
-
-
+149
THE - - - -
20,00
207,000
418
- -
26,571,000
-
Resides las INFORMATION
Reter -
===
---
THE 1 and repended -
LELEN
-
True -
THE
Urand fetal. all - Diase IF -
1,800,000
-
4EF
Regraded Uclas
TABLE No. 1
/Stimates of appropriations for the have year 1958 compared with appropriations for the fixed years 1957 and 1986 and
estimated receipts and expensitures for the fueal years 1998 and 1957 computed with artual receipts and expenditures
for 1958 in the basis of the classification appearing en the daily Treasury elgtement
A. GENERAL AND SPECIAL ACCOUNTS
Entiracios of
appropriation,
I
Approval
1
SMT
Eximent, -
HIT
ARME -
EXCEPTS
ILIBITAL -
- tax
Internal organ
Depart VMS
Tua anim - flassity Att
234,900.00
(SAMP une ourses and their expiryees
04.02.20
-
tad - form problema
suma
40,000,000
----
- melpar
at entel -
TLIM
---
016,76
AU other
-
----
Facema Cash listle, =
26,201.00
2,000
----
Requirements
27,000.00
-------------------------
Use
NUMBER
Tital
1,200,000.00
EXPENITURES
GENERAL
Departmental:
Expirative -
DABLITED
ann
20,00
2,01,24 0
Employer prepar.
are
03,130.00
--
Department
3,75,00
Treasury Department
----
16,000.00
amex
War Departations
1,481,00
1,48,00
Department of Postion
----
amma
76,418.00
in
CRISS
ODe Department
Department - the Image:
- Carges
11,00,00
Other
AQX
----
Dipartment of Application
--
ans
Department of
---
08,711,18
Department - Labor,
ILCLURE
11,218,200.00
17.128,000
HUNDR
name
- Burd
20,000.00
----
United States Maritine Commissioner
21,000.00
Bird
1,000,000.00
mm
- and -
ame
44,002,400
I -
- - - checks
-LISSE
Total departmental,
memo
-----
an-
Febile
-------------------------
-------------------------
21,108,00
Public highways
-------------------------
herer and barber work
----
Canal
11.40.75.00
Proted
-------------------------
-
---
----
- Lei
Administrative expenses
1.01.00
LEANE
mess
Amaly perceds
----
7,000,000
Incrity -
(Eministrative -
Social Femality Bard
---
----
-
of Causes
20,00
30,00
C.M.
Department of Later
am
---
---
--
THE
IND
to Rates:
Hontel Insurity Board
-
i
Department if Later
LAMA
8.170.000.00
---
LOVE
Theory Department
Address
- -
----
340,000,000
---
+1.00 T>
4 - of evills, -
Regraded
sified
THE BUDGET. 1938
INFORMATIONAL TABLES
823
K22
TABLE No. |-Continuel
TABLE No. 1-Continued
estimied receipte and for the food years 105X and 1987 compared with actual receipts and required
el appropriations for the paral your 1938 compared with appropriations fur the fised yours 1957 and 1000 4d
Kilimates of appropriations for the fiscal year 1988 compared with appropriations for the final years 1937 and 1950 and
estimated receipts and expenditures for the final years 1938 and 1937 compared with octual receipte and expenditures
for of the description approving on the daily Treasury
for 1989 on the laste of the classification appearing en the daily Treasury itatement-Continuel
A. GENERAL AND SPECIAL
A. GENERAL AND SPECIAL ACCOUNTS-Cetinuel
- el
RECEIPTS EXPENDITURES
il
RECEIPTS
Apprepriation
Appropriations,
-
MII
-
Extinatel, 100
la
-
im
I
-
Eximul, -
-
éntial und
EXPERIMENTS -
UPSERL -
RECOVERY AND
- - is - -
- este
- - I -
insure Cuspos project
1 I I
---
2.00
-
-
- will " FORM - ⑉
ruves - - --
---
----
IRELINE
AND
ans
Lee eminale
Total - I
-----
-------------------------
---
-
--
Pur impirment
- of - -
-------------------------
1.000,00
him - number and
15-06-20
- -
has
-
----
-------------------------
----
- Finance hish
i
----
1,200.00
-
NIME
— - -
Mores I'nume
- -
-
-
-
i I I
- - -
-------------------------
Additionality Table Rista
---
-----
- a - - -
Legistive establishment
- - - - -
-
-------------------------
-------------------------
- -
---
17,900.000
Department
aur - - different 441
------
In-mine
-------------------------
BEI
Public belding
10,200,000
-
- - - est
----
-------------------------
Other
20,00M
-
---
16.50
-
+201,532.76
I I 1
-------------------------
----
----
44,006,000
Satual -
AM -
I
-------------------------
- -
---
-------------------------
- - withhold
-------------------------
-
-
HOME
Card
-
---
n.m.
-
of Partian
1,062,000
-
---
- - - - - - is -
Members - n° Via Inter
- - - - - - - Warks
-
3,790,000
54,387,700
-
---
====
1,245,000
6,500,305
of Contains
----
-
-------------------------
Name:
Department of
Administration
-
Transmed -
-----
----
18,800,000
-
Information state -
11,000,000
----
of Columbia
-
- -
-
30,300,100
theme
23,000,000
Total -
MIS " - INVOICE:
-----
---
-------- 410 8000 F
- Corporation -
-
S.M.A.
-
and loss
-------------------------
- -
-
a
I 1 I
-
-
Friend Detaing
I J I I
Internation Time Corporation fails.
10.000.000
14,727,000.02
I
+2,000,000
-
- -
116.500
196,254.37
- - -
-
- - - -
- - - 000
aux - Website:
I I 2 I
Finanis Curporation todo
/ I I
-
When
M.000
! 1 /
:
Vehang
- AVE finaired Bener
2,000
Wes
JAME
- Finance -
--
-
- -
1 i
+ A,000,000
-
- Telley Authority
-
Art of -
----
1,000,000
-
lixited Art. et -
!
I ! /
----
----
----
21.00.00
seed
1,200,000,000.00
Prieu - - -
-------------------------
0,000,000
-
Trad, and visal
- - - - -
Office - a - -
-
- Una
45,000.00
450.000,00
756,000,000
- - - -
I 1 I 1 I
T.000,000
- - - applications. and
and
:-
LAME
unable
I / I
as
- - - ...
4,000,000
(am)
has el -
of - -
540,100
asi
From et rependitions -
- - -
66,000,000
807,300
18ᵗʰ
Excess a details
1
Plass - - to et appropriation, being untel a - - de prso al - the - pors
Regraded Jclassified
THE SUDGET, 1938
INFORMATIONAL TABLES
823
822
TABLE No |-Continued
TABLE No.
/ - jur the And 1038 cumpared with appropriations for the fiscul years 1057 and 1000 W
entimated comple and expenditures for the fiscal years 1988 and 1937 compared with actual receipte and
of appropriations for the fiscal year 1958 compared with appropriations for the fisos years 1957 and 1986 and
estimated receiple and expenditures for the fiscal years 1938 and 1957 compared with actual receipte and expenditures
the 11000 un the Address of the deminicative oppearing 06 the daily Treasury
fie 1956 (ii) the basis of the classification appearing en the daily Treasury statement-Continued
A. GENERAL AND SPECIAL ACCOUNTS-Cetiel
A. GENERAL AND SPECIAL
Extimates al
Appropriation.
Instructions
Mines al
signature
-
ONE
or
the
Expend -
bill
(VII
-
-
MALE
Extinated,
Actual,
EXPENDITS -
RECEIVERY ism
- - a -
sele will
- - - -
- Case prijet.
$1,854,900
-
-------------------------
11.80.00
- and - is di
- - -
INSURED
----
HALDER
IM, 80
-
, - -
- Ame -
----
-------------------------
500,000.00
100,000
-
---
- -
134,546,000
/ - - —
----
Lime
final - Me et
----
- -
Bank -
MINE
----
-------------------------
----
CLINE-
- Faire
Nom
----
---
- - -
noto Frames Administrative
1,400,000.00
- -
-
-------------------------
-
- pains miss
- - -
-------------------------
-------------------------
Administrative - Puble Virgin
---
-
-
----
- -
1,00,000
Americant - - - - vi, -
-
-------------------------
-------------------------
-
76.00
----
- - -
-----
2.000,000
97,040,000
change
Tream Department
- - - - MII
----
-----
-------------------------
-
Public Pullizar
18,2000
-------------------------
awire
- - not
-------------------------
***,000,000
-
20,00
Fee - -
-------------------------
-------------------------
4,000,000.00
fish Department /
36,MV
I ! I
11.00.2019
---
-------------------------
-------------------------
- -
46,000,000
Melhod
Any
15,04,200
----
I
have
- -
----
-------------------------
- - - -
400,000,000
----
Famina Cinal
---
440,000,000
-
- - - - - - - -
-------------------------
-
-
-
Department 4
Department - the forma
26,013,000
of - la -- - - - was
Department of Agriculture
3,790,00
----
-
-
-------------------------
-
4.206,500
Department of Consen
-
1,400,000
i
---
----
-
NEED
Department M Later
-
administration
304,500
1,88,67 N
- -
-
----
18,006,000
Indipendents - sad -
11,200,000
16,800,000
una
----
of Complex
130,199
DLCIM
- - - -
-
9,100,000
60,200,00
AM-
-
----
Total -
... - -
-
-------------------------
evatem
año ****)
- Fram time, -
- not
-------------------------
-
boxed - -
10,000
I I I
-------------------------
- - - -
----
5,600,000
Fedexal Units Administrations.
- - - - - -
Depended emb.
M. 000,000
-
Other
: ! I
+3,000,000
- Administration
-----
- - - - - -
a -
J / 1 I
Deats of
Comp - - -
1-700,000
-
Finance Dependes -
-------------------------
-
- HILAST
-WEAR
1
The
ALWO
- -
De Indemal Banney
21,00
I
I
- Frame Corpention dest - et expecti-
Permi - -
CF
the
+------------------------
FREE
Taley Antimity
Empay Exter Appropriation in at und
64,000,000,000.00
- - - -
- MP - - -
-
1,000,000
-
Estat Approvalle AIT at -
---
-
-
21,000.000
0,000.00
LEMI
-------------------------
I I ! /
---
THAT memory et mat
-
Leimmes
I / 2. I /
- - if - um
email
Palmi - - - -
DINE
-
----
----
truey - - - -
1,000.00
CMF
timed - - applications, and
- unital email
ONE -
ar
- - mus
-
too if resigns -
Department at Koming -
4,001,190
540,000
nes
Exim et not
20,00
- - -
-
15"
from at mills, dest.
The by - of - und la ne - - (ta parties di - the
Regraded Uclassified
THE BUDGET, 1038
KM
INFORMATIONAL TABLES
825
TABLE No. --Continued
TABLE No. 1
4) - for de just your 1000 compared with oppropriations for the fiscal years 1957 and 100 and
end law the UNITED 1538 and 1957 compared with actual receipts and expenditions
Permanent appropriations included in Statement No. 2
- No to of the description - the daily Treasury
A. GENERAL AND SPECIAL ACCOUNTS
M TRUST ACCOUNTS
Extimational
appropriatives.
Appropriations
Expenditions
Date
int
HOS
- -
-
I
-
-
-
une
LEGISTIVE
HD
- -
- service
LIMIT et Cognet
of M. Holdert, and
the
$800.00
$533.04
Laney el Coune trul time. intered ⑉ person be empi.
Las
4,000.00
I
-
many
- - -
$1,072,700
personi poursi - under "Lagilathe
4,800
4,800.00
AILH
I I 1 I :
-
I I 1 1 1 4 1 I
INTEREST -
-
44,818,000
45,000,000
musted
I
-
—
134,400
-
- - - - - -
1.10,900
20.00
- - - -
--
-
!
1
1 I
-
400,000
-
-
Fum Credit
- -
7,022,100
- - of credit milet
-
1
name of nota - spowly code Indian
-
390.00
-
west - has Bank Board:
21,200,000
and Federal lime Loin Bate finel
1,195.00
---
-
-
500,500
-
-
Time Commission
-
20,787,790
Payment - - wider Print Walls Page Aet
H,300
ama
and
I
True - - 1st - - unle
4,154,30
LICENSE
!
reals
DEPARTMENT - -
-
United
Corporative MICENSE well
- -
----
INSURANCE
-
Warting fixed, -
- -
----
----
of provide taxe
- - - - -
----
- - - - -
12,000,000
20,000,000
A - Ist éventicy al the Treasury min - the - Me 11. -
Expertision and of smitted ampotitie
---
-------------------------
-
-
- - - - - - - -
45,362,000
Personal as Phone and Terrisies has treis
----
-
-
- - cards, Annum said New - - Cuit.
I I I
30,000
RPI
- Má for States, lust
400,000
------
1
-
M - Md fund, an Mar. is YSM:
to
----------
- -
--
638,701
to Department of Application under Total AVE, Jane = THE
178,340.47
-
- - -
Promote 10 - unter Migratory nos Commition Art
2,500
200,000
-
1,200,000.00
CARD
4,700.806
- - - -
----
Total permissional approviation, - and - - under Department of Apinition
---
----
24,000,900
20,000,000
CMT
. - -
COME
34,174,700
29,536,500
DEPARTMENT (if -
Timeral -
-
-
-
Orders for agrinalisme and are
1.500,000
205,047,538
- -
Fatiral Reard for Edention:
Principal of verstional education
7.000,000
T,000,000.00
-------------------------
i $ 1 /
-
Termente la Plates - resipts under Graing Art
500,000
400,000.00
I I 2
Palmenta to Etates has maiyo venter Miami Leine Ad.
1,750,90
1,632,000.00
lie lands amendy -
906.14
- Day Wages Boad grant hat
4,000,000
funda a (lassifi)
Almas Ballond quil had
1.800,000.00
1,196,000.37
Chan profession, belium plants
-
Trank permissional med and - pile the Department el the
12,700,000
12,380,000.00
EXPLATMENT 18 JERMS
United -
hiture of inclained - depended la det of ours
---
TRANSFER DEPARTMENT
Parment of internet en of puble - of the Politypies Islands
L100,000
1,100,00
LIML000.00
Expense of inage (an Exps. DL " et
1,678,00
nmaly, and delivery of Feiend Instruction Credit Bank benti, and Federal
into
18.00
- - internal name
5,4%
THAL personant part and amount, under Treasury Department, If products.
Lame
CARD
- - - the - -
---
of mills, -
Repaired et & provided appropriation for - 4M Parame Regal Ant. 201"
Regrade Uclassified
THE SUDGET, 1938
INFORMATIONAL TABLES
827
820
TABLE No. 2-Continued
TABLE No. 2-Continued
(maint appropriations invisted in Statement No 2-Continued
Permanent appropriations included in Statement No. #-Continuel
A GENERAL AND SPECIAL
B. TRUST ACCOUNTS
Ellowe a
Ampropriations,
of
(all)
-
Repensitions
la
-
-
-
II
um -
-
Limity of Compres
- - Libury el Completed train not investment -
$46,000.00
- -
-
Liberty of Compres on tated
36,000
41,000.00
- -
- - - - - -
11,000
----
LASE
at nate, 4. of Tresting Other
- passed - - - Twice Wirts Alimia
1.300.00
2,000,000.00
Timel personnel - - under Legitative
CLOW
76,000.00
-
EXPERIMENT ENTABLISIMENTS
!
-
ADDRESS
- - - - public
name Tax special depails
Ciril
CWM Devise und distilly hist
---
- -
Cod Pase retirement et disability fund
- - - un - - - - -
-
Talia - WAS will -
111.8
Total, Civil beview
- - - -
--
- - - - - - - -
Compensition (
-- - - -
Beltef and and Harier William Competies in
- - - - - - missiver
UMD
Bellef and
20,000
60,000.00
I 1 1 ! I 1 : I i = i I ! 1
Lete
Investment.
---
1 I 5 E 1
=
- deposit -
1 I I / 1 I -
20,000
48,000.00
- - - -
-
Tesal Employee'
- - - - - That -
HERE
Fine One Administrative, special deposit
Faland Administrative of hale Warks, Depart amounts
!
LICTRON
LALITLWEN
LIABLE
Fatent Administration regal deposit semile
Train Campletes, quil rigness -
- Office queld apail
-100
Adviser Commission for repaired deprait
I Capital Full MM Phoniag resultaded hand
BI.D
Delived retirest hand, Retirement Board
- Administrative
State mural relabilization Tradit
-101049
Epecial depail
Total Besttlement Administrative
SSA Exclange - equal deposit -
50,45
Harplax Corporation tor
Vissor Administration
0,0170
Disited States Government Date -
- visa net
Functs due
M.M.
-
se
13,000.00
Central - soit Ward trads, sattinal box
Possible request ammunts
1.10.00
1,18,000.00
1,872,690.37
Presental funds of patients
Total, permined appropriacion, true somerts, Teams
Welfare - - at Public and lines
$1,617,401.00
-------------------------
Twd, permissions appropriations, trist - min Explainments
or ADMINISTORE
1,000,000
1,000,000.00
437,912.38
work, Fonat Service
married Famis.
deposit Amounts
LOSSOM
primenting taxm LA. A: A.1
2,000,000.00
-
THIS provided appropriations, that amounts, ente Department of I
Erom of credits, delost
Regrade Uclassified
THE BUDGET, 1935
829
828
INFORMATIONAL TABLES
TABLE No. 2-Continued
TABLE No. 2-Continued
Present appropriations instaded in Statement No. #-Continued
Permanent appropriations included in Statement No, !-Continued
IL THIST ACCOUNTS-Continued
IL TRUST ACCOUNTS-Continand
Extimates of
Appropriations,
of
appropriations
Expending
Appropriations
Expenditions
-
-
Tax
TREY
use
I
-
STATE DEPARTMENT
- - - - to
$23,000
$22,000.00
- - - - -
36
500.00
- - - - has
- must IMPREMA
-
---
- - -
"FRICE
Summer - -
- - - - -
as
- - - - -
78,000.00
- - -
an,
- - - - - and - -
30,00
5,100.00
Late
1 - - Insue Department
3.00
20,000.00
- - - - of - -
21,001
21,131.00
U.S.S.
i T i I
2,00
38,100.00
TERAPORT DEPARTMENT
1 - - - --- - of -
192,450.00
THE
- - of the - insured at Federal Runks Tach Credit Admission
are
$44.00
- or livid
- bust AND -
-
-------------------------
- frod hand
71,014.00
Most - - - - - -
- truit fund. - tax.
500.00
Hears of provided appliment Sherty - - elone and -
I
148.00
- - - - Cuise - Page
1,250,000 00
10,000.00
- - - - uma post. -
MARLE
Rine (Internal (
- -
- Department, - Little n. National Probilition Art. - - Bim and Virgin
281,000.00
- - - # - -
Eas
4,300,000
- - - - - leure He
4,000,000.00
(ans
- trest fund. Public Deld Services
- # - - não de - insue -
LOUISE
Benefits - promeds of - of Liberty Lism Americations of and trust - of New York
1.00
1,000.00
315,000
251,000.00
and edents at Insured gatient, Fublie Health -
:
200
--
-
- Publical Registro - -
20,000
290,000.00
has United Marine LA
-
196.00
BUIL)
- - - - -
1,155,000.00
Pumpil - of - of Barms
2.M
20,000.00
2,040
E,040.00
Jame
12,000.00
" - a - - - Orks
a=
To primis line if de
From - - -
00,000
-
I I If i i
12,000
13,000.00
una
Timed Reposit -
from - frame
fomilate of en fant
3,000.00
I I I i = 1
2,00
11.000.00
AND
National Institute of United ein Assist
I I E
13,00
196,000.00
that Davis
- - -
12,000
17,000.00
Total perronal appropriations them - Department
-----
-
I
-
I
-
- - - -
was DEPARTMENT
1,000,000
-
- -
E
Pay et the Army, deposit Actil
24.79
Exision if - - War Department
-
50,000
000,000.00
-
of Aumber -
M.M.
- - -
--
Estate of - sumbers, Citilen Commention Carps
I
I
-
20,00
347,800.00
Area
1,842.43
- device -
Army
I 1 il
Cerps. levings final
el William F. Exigned und Libery
they
1,000.00
I I
Receased al Charlitte Taglir, Walur Red Circulal Homptial
1.000,000
-
13,500
LOLDLO
-
Funda submitated for and barber inprovements
- - -
242,000
132,000.00
Famila for bel memi, Missions Enve la word
I I J
2,00
27,000.00
Funds minimind fir Nive, Cult
MLIMI
INLABLIT
- -- -
-
y
DALIM
- -
L000
4,000.00
AIR
Feals for - Submo River, Alaiks,
347.43
- - -
24,000
24,000.00
Family street le timer soll better
18,200.40
- -
5,000
1,000.00
(m)
Finale sistributed for - Fart Mark, Va.
en
depents -
1
-
i
/
-
- appropriation. truit - under War Department
C0067@
-------------------------
00,000
un"
Personal -
or
-
520,540.00
For il FAS from depend
- NM deputives
730,000.00
Per el - - - -
(rus. Ausd deposits.
190.00
136,000
497,000.00
- - -
75,000
20,000.00
aNd
41,000
11,000.00
Ress - -
Tub - classified
12,000
-
20,000.00
-
as
Funds, and Discript of
1,890,727.00
1 1 I 1
- - retur nest
zure
No -
20,000,00
LING.006.00
Lews
1.942,000
1,12,000.00
- - -
Trial, provided approprialize, - tenna of
SILAR
315,000.00
AM
22,000.00
È
Trank -
LESS
United How
Littless
Time, apprepriations, mas -
- - -
Trial, product appropriations
Form. -
Ecms of ostita, feltus.
Regraded Uclassifie
sem
THE BUDGET, 1025
INFORMATIONAL TABLES
831
TABLE No. a
TABLE No. 3-Continued
Summary of entivation expenditures for Federal public works, final yours 1958 and 1957, compared will actual orpendition
for the foral your 1930
Nummary of estimated expenditures for Federal public works, fiscal years 1938 and 1957, compared with actual expenditures
for the fiscal year
- - le - a - - ARE and pible - liess is name represed reporture amoning to -
- - - - - sea - - the In 21 does nit -
-
Name at
-
Extinated, IND
smal -
- Tele No APRIL
-
Submit -
Eximated,
Eximated, HIT
-
DEPARTMENT or AGRICULTURE
LEGISLATIVE
indian - Appropriation Ad. -
/ of and sports, MA
M.D.B
IF il
- - - House use -
VSw -
--
jell
Cestri AND mill and pasare, MM
- -
- planing - water - - ever -
Fun escim, hood, and dewing land at experiment
LMW
1.34
--
- - - - -
may
- - - Other of Expensed
I
- - - -
visa - M donute, INMM ist
:
- if Experient Martini,
- € Times -
if lomi the fund, proving liver,
Gerrar lead it Federal elation a
--
The - -
- -
NW - - - MIS - -
10
enger (et. If of Apinitimi 4d, -
is -
1,10,00
-
purti En ne lead, providing lame. non -
at I - - Partir Har,
NP
I I 1
Comm - - - -
200.00
1,400.00
16
(If of Ad. IF most
- - - Company - -
-
72,00
- advised
Frank MIST And president, form -
A
6,340
P.M.
w Approvates Ad. jen.
shall - last M insular dates
Total
1,200,000
- names Road, if Admittion
Plant datim and ous I listre
100,400
an
need -
- and (indiding purmas licent) DM - -
747.600
LAWS
admini registed of United States
Total -
1,200.000
1,211,48
LOCAT
- - -
INDEPENDENT
une -
1,001.00
/ Approvimition 4d,
- Commitive - Demone Ad -
Listing - provide line " - - - du
1,000,000.00
- - - -
- & - - el - -
are
4. of 14 NO
Plaine -
- - And - % -
25,000
any -
sush SAID - - of
Fun 447 - includes - ML
3,000
C/A -
----
---
- - AFTER - - -
Address, (mm/dd/yyyy) -
- (stated Entres
form - - - para MY
21,000
-
- Name - - -
INLINE
- word -
MM
100.00
- - - -
=
De
at resigned in - - /
Firm and -
-
-
- - - - -
36,100
Appropriation ARRIT.
WMW
- - - Issue. - through - -
del IMA
Rate, - and made --- and
48,000
- -
Family - 14
-
insue
at - Fee
I I !
Form
1.38
- - if There -
Within Uness - -
Frances Ventry - -
mu - Name
123,000
138,000
2,000
(miry company
Railby Address
-
National - -
Laboratory assistant valor - - -
---
trans Number - -
lime --- -
- -- -
42,200
1,63,20
Exergency fished MI -
repairmed - -
stamp
I ! I
- - expesses, Plant Intern
Farm - - - -
$1,000
4,400
---
- - - ---
Owner Mail - -
prints. - -
- is - - -
--
T- - -
liviviers, remains a
- - -
LOUIS
- Authority, - -
Vensi fulumal -
- páras end implement clinic - and
48,000
Teller -
/ - - -
expirating - proving damá, - For
- - - -
- Has - -
vira - exteried storm Name formal and besting
- - - -
MICE
- - Address
fine - - restral buildiare lest Reserve president
Transfer -
- - - -
a - individual terms persible
F
I
1 ! I
- -- and -
12,000.00
LESS
LOANS
- lisure each - partriz - end Ave-
Taing - -
- - -
Allan - - w land.
-
- the - -
- repairing - - pointing tellinge
-
---
Emmare - - -
Form - - —
- -
MAMP
restrues and wells expering Anting paste many and
Transport - -
- - - -
64.30
a constructing - - - - -
Treatmer Fina - -
- - -
INR. in/ provide reported - immining Amail
— Train -
- -
HOLDES
classing 4P - - -
- -
AMF
I
aux - tree
Transfer Value -
- PM
4,700.00
(SALAM
10.000
From -
Transure Twive delivery - -
- -
- - indo - that, butter -
1,100,000
1,134,001.00
— Tales -
/ 1
- at -
300,000
00,00
- has birth from
Veng - - -
I /
-
und helps - pulic - -
1 ! I
I I / /
2.98
--
ILIER
stand Submittery number:
- types -
- - . - - -
LIFE
-------------------------
Bonb and truils for State animi hand the
Basits and mais
Total -
I - I 1
we
5,281,000
Form nete and
at -
Telex 1
(MP
Corperative work
Bank, train. - -
10.40
1,436,400
---
Twis, - -
-
Badi - MM/ Date pride, instruct
JL.00
federal - (physical per
United Rates - -
I
jaria, just tel and
- - responsible de
inter -
s
and believe
- -
-
1.100.00
I I ?
/ma - -
fundo and insile
I
- - Al
- - - - 150 ----
his lit. -
A,00
nos
- -
i
-
18,000.000
8,000,000
- - (A)
- - -
Provides
40,00
INLINE
fine types IN / ALL
(liging reserve
480,000
Total -
- If -
- und belig - et water &
-
m.w.
-
- - ALIN -
THAN
/
6,000,000
LIMITE
harring Maled ALL -
is.
You, ground
MLW
- et - hand al (besity el -
Well minim
-
1,28,94
1650
IN - - - -
Vest dires - end -
5,148.79
Total -
Name from April
- - - - - provi wive
7,00
1,00
1,401.00
520m
DATE
Name form of and -
41,88
-
-
EXIM
$1,400.00
⑉⑈⑈
Regraded Ucl
THE BUDGET, 1938
INFORMATIONAL TABLES
833
832
TABLE No 3-Continued
TABLE No. 3-Continued
Summary el estimated expenditures for Federal public with, fiscal years 1935 and 1957, compared with actual expendition
Summary of estimated expenditures fin Federal public morks, fiscal years 1938 and 1997, compared with actual expenditures
for the jural year /&M-Continued
for the fiscal year 1986-Continued
NAME
Enternal, use
Hast
Appreviates
Name of
Extirnated, -
HAT
Actual, -
Allie, -
DEPARTMENT BF -
REPARTMENT of
- - new - - upone
- cominión Benine
Experimental and reserds unders des
-
- ml expires of devise
- Serving
issue - mainen - - am
box, comp reliart, inesto are
May
- e NM steving -
- del dama, nervin, relataing walk.
- AN -
- chide
dams marring deviced) - par - - Image
time
- - - of - -
- - - - - larter
and
planting - be -
Migrainez - - fami, - -
- - - - will, 1
$215,000
130.00
ching
- les
Experiental will - musing devices,
205,00
- - -- - - -
in - fill mini
That - (form of Fisst Intery
sawr) buildings. - at and for -
- - -
- Industrial - - -
aM under: - - - -
478,000
10,00
(m)
- Conservation -
betti - virk
Order - and mile - - an
medium
- number - - -
MINA, - - - -
Z.M.C
- 4a del.
dont, memire, maining -
14,000
I
- IN. A R.).
Goods - name -
- - -- -
DE aller, Ami, - (reim,
$0,00
lesse, Amp callens, - president -
-
- - mort, resepacting and for
- A/L
Miles - type
86,000
- I
these entral check doma, members - walls, en
n,ms
- - - -- -
t
1,088,000
- ext, yung, Jalaria, As
/ pill MMW web
- - - -
IA as
- Nativery -
- - - -
125,000,000
$4,000,000
Eurna of Paral Indus
/1,000
| I 1 I ,
6,500,000
PM. DATE " - Irriv
Flexis -
3,000,100
IN / RA
- - -
2,600,000
1.770,000
nas
and Approprimation AM, -
service I and (storming - -
-
17,489,232.00
-
Anima, - callars, priminale
- - - -
limits, start diarms, names, realning walls, atrair
2,500,000
- - - -
tares / nir restrul presenting land for adva
- - - -
de
ALEN
-
17,100
are
the Appropriation 4d. INN
- - - - la
27,00
318.00
- Desires Center
find matretion
дом
1,300
-
- --- -
use
Timel, point
----
-
Total,
- - - -
LOSA
-----
-------------------------
- within - - - -
TELMS
40,000
LMS
THE Department all Agrinities
4 i i
a
- - - - -
DEPARTMENT OF COMMERCE
- - -
CMA
Classifies of drop and and - of required
---
277,693.00
MML.
invoice
I il : I I
1,000,000
18,138,000
- - LA.,
of - end - and required
7,800
-
18.000,000
more
JA. MM
-------------------------
I j I
- name W.L.)
é
-
---
de - - - - -
10,000.00
Proparation of lied
financial improvemento la land
0,000
I I I
Folivery
Technique Identify
- - - -
beloting neb - -
can
K710.00
Francisg - and mines Bilative if Aleska
improvements to lass
zen
761.10
I I E 1 I
127,000.00
video Date
40.100
monthly of midrita, and NEW - at Ast-
---
Vehicle Industrial Army,
- - - -
our INFONM - priv - vale a.
-
retuing maradine - 4 Inter IN the of medical
Pune PAR - -
M -
- virys
ama
DL
V AIR and -
I'ville - -
-
-----
rau-m.
-
Orders -
oljer alle as nargation, persons and
--
43,000
-
-
11.00
-
Grand - Lighthise farris
information of -
- - -
Alle to limits Service
Lightlane depots, vitne side to nas
--
0.M
- del -
113,000
ANY
-
479,000
-
and et Indulation of equipment.
20,50
- - -
Able . empos, devia -
4a.
I 3 :
8,200,000
come
et of July IL me
i
jube
poin, remb. other sa simplies
1.000,00
- SUPPL alter is - - and
12.00
196,001.00
I de 1
-
and -
- e -
- - - -
and b mele la AM
anrew
NY Clast sad liever,
-
LIMI
and vill
of prema - tousey - - Claimina Magatic
--
1,00
MA
- -
me
Than, email ein,
if time - - Code a all
Emergency
- - ---- " min
el - - is Or ===== / California et
1,30
DMF
De
-
/ - 1 I ? i
- Frunter the
Commition of un - in the if allinity a
1.00
72,00
la
Narte - -
-
1 F I I / 1 i
Bij.
THE
/ 1 I I 1
-
Visa hised us-e
# - last is IV - of New Jerry, missy If
/ and Drug
All,
(N.C.)
12,000
4,190.00
2,000,000
ML
LACY
Tital -
---
-
Tax,
Time, Destruct #
Regraded Uclassified
534
THE BUDGET, 1933
INFORMATIONAL TABLES
835
TABLE Nn 1-Continued
TABLE No. 3-Continued
Number of estimated expenditives for Federal public works, final years 1838 and 1957, compared with actual expenditive
Summary of estimated expenditures for Federal public works, Ascal years 1938 and 1937, compared with actual expenditures
for the favol your
for the fisind year 1336-Continued
Seare - -
-
Extitated DE
- as
- at -
Entimal vasa
Retional -
Animal, -
DEPARTMENT OF THE INTERIOR
DEPARTMENT OF THE
form - - - -
- and - - - - en
#1,200,000
mess
- --- National Paris, comprete
- registe include of excessary - 4a -
para
---
- (N
- and -
Ars.
di
united
- - - - -
--- weld - - - Failing -
- and main, compracy regredi-
MI E.A.L
- IF 45
- were - - - impline
$1,730,000
á
2,80,00
LIMITED
- - - - - -
100,000
- and -
I
-
yes, - el Jase (#) are
- - - -
plants, - - - - - de
4,400,00
Lass
- a - - Natural Pura
- do - - - ---- -
new
-------
-
- - - - - -
- move ed of -
125,180
659,000
- - National -
and truile, - - - in partives
REVER
- our - num
of - port - ni company -
7,000.000
€ 000,00
EF - -
- - - - a
- mm visa water of - number
- person
I
ama
:
Mail - Memorial Depart-
- of ligure reprevemento a
35,000
a.m.
are
- - - M - - -
- - - - IF - -
5.00
San
- M His -
IN All
- -
AND
5,00
S.O.A
- OR -
- to prover plant
==
- - - - - ---
- - -
2,000.00
National Park
at will
2.0MI
4,000
......
Mes - Natural Park
- - - - - -
$4,000
tive - Natural Purk
Comments el Milly
4,88
- - - - quartives
-
- - regular al - by
10,000
-
1,105.00
- musinative und sens tune in
- M - AND - - -
- - (M)
- -
- - expenditive IA
said la Fideral - in the Inand of
1,190,000
- - - sais -
- Entire -
- - -
2,000,000
8,500,00
18mg
- com - Columité:
I
- - 1 -
- TIME
6.89
Timiles of IN. & W.1.
-
26,000
-
C.M.N
as
Aloud complete
Amix - - -
- - - - -
-
70,000
sa. M.I.
test -
if result
4,00
Muster must -
- an - If - of -
- - of - - - -- - - -
Alexia Editional Frand -
Cynstruction - - at julinel natest, Individuals,
200,000
160,500
-
- be - - -
- etc.
- - - (All
Impremento and in signess -
£,000
1,00
- - Invoice may - - - and
12,900,000
and the Virgat
- -
Houd construction regions la est réalization
$11,000.00
- de Virgin organdé
- a - -
-
- un 1 R.).
at nonr und Form
a
-
Content w IN - upon
Real -
- -
- num - - - - - -
company
of - Amilitive
-
11.80
- - -
- - special PM of -
Traporate -
- resert - - -
- - - givenn - - -
-
IN A.
$10,000
42,20
C.M.D
Exergency may - - special (land, retá-
- -
-- -
- live - - and
- - - - - ALL
7,000,000
active
-
- - - - - -
- - - fund,
plants and - -
- - - - il
-
- Animes ISSUE a - -
198,600
-
la - minit -
-
7,808,000
Paints - special ford,
- Extending of Puris -
41,000
PALAM
-
4,000,000
4,000,000
4d - -
FREM is - in. surving
4b - - - -
plane
6.79
790,000
- Prime Miss apecial Fand, ---
-
- - el tax - - MM IM Ninz el ak) INVINE
M.M.
65.300
e - - -
- - - - CAN
with Pumis Place - fund, -
Warden'
- - el a - - du -
80,000
- is - Mine
AAI
E
I i I F I
/
Fiese und
- - - - theye and - - - Biving -
Mont - - -
1,180,000
ST,ULD
-
PARTY Parts - / nec-p
- - la na - NM.
- - - - educational word.
they -
- - Value - IN- and Tell. l'at -
and -
- - Insi
- M Cyu, -
1,300
1,000
cmw
- - - - -
with - Partie - Association
family of - - and and
e.m
21,20
/ - - M assess -
-
1,000
-
4
- - NMI ... -
IMP
- Authorized and - -
-
- - - - - - is
In
Mide reading and - - Fulmer provide of Pum Any -
-
4
- the - the and
AND
- -
- - - - - visa - - la Mate
- - - dipartment if will
(30,800
- - - -
- - - - - - - P8 diversing
HANP
NOTE
Emprisa - the
1
-
/ - - - -
- - - - paying - has Fir
MM
No
Fable 4 sad - - - -
Autres - Miss - - -
- No
-
is
- - - - Fine iss
AM
- of - m/ of min Aun
145,000
---
-
- . - - -
M.
- (secial -
- M Myse, - - -
-
10,000
Genege - - en resulter property - ****** - -
11,00
2-
IN
e I / !
-
- - - - -
-
Planks and - and -
(1,00
116,892
X,-
Energing made d'ubersion, Perio BMA -
- - - con - - - um -
N/W
- - esd other /
Howels mi ves. -
I I I
- - rest.
/ / I = !
quick, - - - - limit, - para
-
-
Administration I may -
1,000,00
-
livel Faterial, Mine -
Naimal PHI -
/ I I I / =
-
- address, nic.: and and
- - and publical charred.
- - - Address - - eyes -
J.Im
AND
140,000
-
prints
- - @ - PM - -
1,000.00
---
- - - - provide
ILNO
FM
- Make - - - - - - la die
the
Ave drained MEDICAL and - Friend
(A,80
10,400
Anternal All / - -
- - - - - -
properts of Partir - -
---
M.A.L
are
- Avail Interne, -
Form - - tryils
- - and silier -
! 7 !
-
La
Invoice compa.
Regraded Uclassified
THE BUDGET, 1938
INFORMATIONAL TABLES
837
836
TABLE No. -Continued
TABLE No. 3--Continued
Summary of extimated for Princil public fiscal years 1938 and 1957, compared with actual expendition
for the finest year 1936-Continued
Summary of estimated expenditures for Federal public works, fiscal years 1938 and 1937, compared with actual expenditures
for the fiscal year
New el -
-
-
-
/
Approvales
Name et instruction
Extimated, 1488
Extrasted, -
&ctual NAME
DEPARTMENT BIF THE INVENTOR -
NAVY REPARTMENT
- ---- -
$10,000
317.50
Inmation abrope / labor and changed
BOLLOW
- - - - - -
- code Am. (%) I 2.1
inf. attending - - piente end
- - - - -
distributing epairms, the provides, - struiz and amount resi-
- - - - -
- Interé - - - - . -
nel. el and - denta, exaction and
- -
- - -
evigit Address applicant, - etale la - -
L
Form -
7,800
- insurporation justine, HE
4 I I
- M the PMT el - publicts.
29, 100
123,000
- mc film You and Date
w - - post. and
- -
- . - - Name - the parts
(5,40
plants - telephene - speciment:
- - - increased belaves If and M BULLING for -
water Avec trants, made, weilt, AN group construction
-
of bank - of lightling - and
- - - -
--- and - If and
184,000
the
de
- Aml Key Yes ml Date -
Repuir, and of property, mine
a - - - - -
- - - armad - ---
Usa
AM
- endors, a - applymind pirm, -
- -
receipt, dr.
& 1 I I I
end almitine to -
1,876,800
Res
- Any, Namp Yards and Date -
Repair, registrat, exit instruction of - Jul and -
- and net.
Him is FREE police willin, - pensas,
THE -
Rose
- apalyment - givends, recorde,
F
108,110,000
- - -
administration bulling and - pient, retired trader,
Place - - -
53,500,700
nass
-
INVENT Amt. 200g Your - Dedi, pain health
- - of - admini preside,
DEPARTMENT - JERSICE
- MM and MP
neils walls, - mail una - dirept
tem importing -
- - - -
- - -
(2)
importry port and desting plant, emplina & express "2P"
? - i I I
plant. - HT.
- - - - an
I I il
21,349
- -
$10,000,000
ground
I I I 1 I
- MI
ser
mayors
I I 1 1
13,000,000
/ - - - - -
Trial, Name Department
-
DEPARTMENT OF STATE
- - -
- - - resues = - of perchase -
200.00
1,000,000
The by provides - contration of -
630,000
LIVE
mms
Funich service fund
- - - M varies Himing -
sait (mmilar grounds and
!
1,00
13,200.00
- - - - (will
I ] I I I s
XP
1,200,000
Instructional Comminity, Valied BAM
ad PETE -
- - - -
- - -
17,000
121,000
11.500.00
mil
- Grade Departments of -
Landi le - - bridges
96,260
-
18,276.00
4
for get
ACAR
47,273.00
- - -
- - - -
-
135,400
112,000
LALE
Re Crede Department of New (N. AL).
- of -
30,000
Line Rin find waint, Department of State
Classel and I
of Product echore struction.
11,000.00
The
Live (the Grande And maini, Department if -
- - and graining
I i
854,160
2,104,000
--
(P. A.1.
love No Drive I mov) Dependent If -
4d.
-
THE - -
IN LAS
to Unitede Department of Blach
Land M - if - - all mail
1,200,000
-
201,180
1.11.90
DUE
REPARTMENT IIF LLENS
salim projes
N.M.
60,000.00
April food mural 5. W. A)
Determine of for animal provide
7,686.00
I 1
Signature - entri (X) I. an
-
-
-
436.00
: I I I I !
1% - - - - -
106,000
cast
Investional livendary United
insurance - -
5 3. I I
4d Canada, and Unio and Catala
- - - - to-
12.00
ema
2,46,200
- - - - -
-
Trist, general
20,00
- - N
TIME
ILAX
10,00
- -
TITAL Dipartment - liste
I 1
8.00
100,000
AMP
TREASURY DEPARTMENT
- -
67,000
-
- Dant
8.90
60,300
-
/ bdd, Chal Duri,
Aum
ANY RETERTMENT
NO
(73,000
not
Informal herm, There Out
Salue Amyant, -
Govt, me
7, M
:
I I E
Milling and repairing stations, - Cost
Rathe within
-
Own, TAN at -
10,00
/ / I I 1
26,000
lives il the Mist. - et espere, - at
I to fullives
J I ! I /
7.800,000
May -
1 ! I 4 I ( I
Dirica, Purio
20,00
- - - Pas - - the
file and at Mar
the -
: / I I 1 19
= VIDA, "
no
06,40
---
Sury,
it trangle propertion,
film.
- DE NO
- - -- - File froms, Vehre
D.C.
in I É 1 s 9 for /
12.00
20°
poix building priste
0,90
- - - a.
Name term, Ky
fulline
ILM
136,090
Frida, AC
- -
in
se
E
I Institute of Death,
-
D.C. C,
are
34,000
115,454.00
Transury valid, Valuate D. c,
Your
Regraded Uclassified
sas
THE BUDGET, 1935
INFORMATIONAL TABLES
539
TABLE No, 3-Continued
TABLE No. 3-Continued
Summary of estimated expendidures for Federal public units, fiscal years 1938 and 1937, compared with actual expendition
for the fiscal year
Summary of entimated expenditures for Federal public works, final years 1938 and 1957, compared with actual expenditures
for the fiscal year 1986-Continued
Same of -
Katimated, -
-
IMI
I #
Appropristion
al -
-
- -
Attail, -
TREASURY DEPARTMENT -
WAR BEPARTMENT-(d
- pate: - -
X additional
and Far, Drgan -
of - elc. - mini of
- - a - - -
Re and
27,000,000
main
- the promotes
- PM 1912.
- - und - -
- PERMITS
---
- AVIME Mr. Organ tel contral
LTN,000
au,
- - on faimli
- - a -
- mini, the Carps of
Report N Conduit lised, 3/4
11,300
- of - - - -
- of patrie -
No,
ends, est
- AVTNT - -
1.04 - Massip never state -
Comments of me, - - Date) -
$50,090,000
25,000,000
- - I-M's
19,000,000
RNAD
4
Had and - essination - Paly it.
10,000
- - - - ******** en
200,000
on
A.
- Has et une
Dolling ins. revoluments, and reserves.
30,000,000
- - -
-
1,000,000
F,100,000
ene
name New for
(P
/ have
of lines, restructs, exents
(71,000
have - - - -
-
A,000,000
⑉01
/ (no, Other
$,000,0%0
12,000,000
- g IF "
- Rist, Own
e
31,000
- - - - -
I
00,000
- e due
- Mirr. Am
da
28,000
the - -
"
4,780.00
- of
- -
3498.00
(RM)
- - - - -
Mem, alam
- -
100,000
60,00
⑉
land is mini an tributarie -
lane
300,000
300,000
----
- - - - M.A.
! = I I | I !
4
- live
280,000
-
500,000
— - - -- -
Final - Applicable have, Catt
Dradging builing Invoice. thank protetion. hypes water
IML,000
----
Hand Rive et et -
Reventments
130,000
LID
- - - e - -
Miller
- - E
2,200,000
2,900,000
car
Name
! I I ! 1
Part restribuied and adventes NP mer and bacter
- -
120,000
200,000
-------------------------
- - -
DO
1,200,000
1,100,800
Name
-
! 2 I I i E
- " tel means. al
lerses
T40,000
- - -
E el
Bives
for Sed period, La Acquires
(resenting anna - guarai Bard entril works.
2,200,000
Na - - -
- -
- -
- - - - -
- distrat.
-
270,000
2019)
- . - us - 1440 the Wall and
Temp - and tack payments
77,300
---
1 I
name Birth Mine
Tital -
20000.00
ILEASE
- Pumi Mai. (mm/yyyy)
# reads al name of everapt,
7,700
----
THE Insury -
- is Type -
Internative of -
----
WAR DEPARTMENT
in Firgit bimdt,
-
ACLES
- -
- Time TRANS representative to the
of use and - of offine and residence
467,490
-
Physician -
- di -
- - - - - - - es the
I
06.017,200
1,000,000
T,005,000
Insurance) 1 . Inc. . #
Two, energing
11,06,100
HOLDER
-
- 4d al -
- - - -
Time. - willines
147,188,400
198.611,200
-
- - - - - - - - the
- of - - -
- premi
112.776,400
13,150.00
up
1,000,000
-
- - -
Time, We Dependent, section al has
130,000,400
DISTILIN
para - -
- - is BM - at
M -
12,700,000
HARD
Coust
- -
All - -
income - -
Promo Cisil
Magines - - me
I / i 1 I 1 J I
1.40.00
amo
- - - trail
Completive if delive prime station. partet -
LOLOR
1.00.24
- - o - au,
"
America Dulk No. 11. ad -
- -
1 I 1
--
TOLOR
present al detrial set was was eyes et to -
---- - - IV
/ I I
due of NP equipment and lighting eyes at two
I i F
/ I
Louise
making vot a the is in curten - AUNE sys error
/ / i
net
nice tarps (34 bdei, drive, the due
THE ---
IL4N
:
falles, sue - m tank firm. -
Two -
Annu want briting, his Sem penise -
LIE
nex
- an health
-
-
have pel de Issue end - calla lines
error) Cimil el de et -
- -
COLIST
-
- - (N. N.)
el also end -
46,00
Implement - - - -
- - 1 - et - - Use
Total -
12100
1.00.24
- - -
0.00,00
(ne
Two,
Pate 21, 192.
No
Total Punes
LULAN
2,00,24
mar
Polér Wirds - -
- -
- - -
-
-
7M, themá
- av, Himi --- - for -
1,00,00
-
-
TW, -
3,711.00
THE - - - - -
Tital, for Department, midia Paim
570,00
4,000,00
new
É
Regraded Uclassified
840
your BUDGET, 1933
INFORMATIONAL TABLES
841
TABLE No a Continued
TABLE No. 4
- of No Interal public final years 1938 and 1987, compared with actual expendition
for the New year /DOW - Continued
summary, by "charucter and objects of expenditures", of estimated obligations under estimates of appropriations for the
just year 1058, compared with entimated obligations under appropriations for 1937 and actual obligations under
- instruction
Editional, just
expropriations for 1030, erclusive of thom for Pestal Service
Eximated, no
1
- -
-
Entimated,
Actual, -
APORACT OF HALBER
GENERAL
Amount
Percent
Amount
Person
I
Firmat
-
- - - ... - - ends
$1,000.00
Blues
- - -
- - - - ⑉
il I I :
-
-
80,30
animal
as
-
MM
SH
1 1 : I
- spart Liclared a - - -
61,002.200
TM
...
5
-
4,000,00
Little
-
LOLD
ORDER
40 Formal with nee
---
H.S.
HAMS ID
12 migutes all natività
in
LM
---
1.00
- ----- -
Lines
- - - expert of poss berran
BY
-
MILIT
-
" - and un if - - when et - of
138,472
-
---
=
WILWO
=
I
-
- ante
-
LOLD
a
---
-
1 I
- Travel -
y
-
-
il a Illigi certify
5
-
-
"
! ! I
---
- Printing. name being and
uning
If
SAID
-
- H
is Advantised MM pullicition il - part
44
HOLDER
et
-
- Fundableg of list, light, - - -
IT
-
"
II Filata
€
-
11 Repairs and signature
1,46
is
UM
" and - expesses
"
-
-
,II
" and superies of and - mains
1.21
4.14
-
18 and organization of that
14
DELA
XIN
L70
. namel operation charges
42,732,462
-
---
.
24,407,500
y
Total - -
1,246,240,730
31.45
--
12.48
First Airps:
DI -
12.00
-
u.e.
# Translina, recement - and World Wat
18.77
4,60
44.32
= Grants, relation, and -
-------------------------
-
ST.00
--
Total Casil charges
42.98
41.42
--
- of properto
- Taxt as equipment.
1.00
----
4.50
---
A.M.
# Cud and in last
a
19
a
an
e insure and parti and improvements to land - State must
-
NW
1.34
-
" - partnet - -
-
2.18
1.00
----
w
1a - -
n.m.a
-
----
LM
-------------------------
IM
True, if property
11.19
14.29
TOTAL
1.04
Filling di de
e - too purchase
6.00
8.81
----
--
Payments la tiglio and déginas
MI below
---
11.00
411,000.00
= 21
-
" Trust
21,300
=
--
4
20.140
-
e Program of dependis
AT
-
LOLAR
in
as fiture, mm -
1.00
:
--
:
THE processi in rights and obligation
-
(L49
AB
4.12
Tital, perent
MA KT
:
------
:
et
.
a
asso
4
Trial,
---
-
---
--
Virmum la Deman appropriations
resigns, und
-xeo
---
Formis
-1,00,00
Train Milleres
imp and uniligied twisse
+46,743,00
Tel minute or appropriations
+1,711,000.00
Fa of - - Office Bulletin No. L cunt May n. NO. as
lodate "Torms) mendis carried M a con and individual in applemants) - la
I Entain al la paid to mia Feteral Not classified -
Emizing of to Faired land was redutivo to rais a entable sed la just to - Fairal last sear, stantled -
visition I daking Ind repirmed) arrill 115 - - et a - ente tax - and - - - -
1 Entain if - at Adiling MM H in - will - is - is at -
Regraded Uclassified
THE provist, 1039
842
INFORMATIONAL TABLES
843
Table No. -Contimied
TABLE No. 5
/ by word of of entimated obligations under estimates of appropriations for de
Statement of expenditures under general heads, fiscal years 1930 lo 1936, inclusive
was Tida, with obligations under appropriations for 1037 and actual obligations We
appropriations you applicable of the for Fund Service-Continued
-
-
-
-
we
1991
an
-
-
-
ROUND
name
---
EMENUENCY
desent
Formil
I
Persons
- of Department
ARE
1,04,201.55
/
-
LOLD
HEAT
- of the Capital
LEWS
- -
- el the use -
16,300
0.0
--
IF
Reported -
NAME
BE
- our
---
WIDER
15,12.8
17,00,0
| 1 I 1 I
-1.9
ace
-
Come
1003
Email
MPP# - Commits -
M.K.N
I 1 6 ! :
u.s.
21,200.04
----
as
-
2018
LOAGN
2,15,000.00
- - 1 -
una
-
19,007,200
TO
10.00.00
La
- - - - * - -
II
-
---
10
=mm=
- - - - - - - - -
B.C.
e
no
-
275,00
-
- - - and
1 I 1 1 I I I !
=
UNIVO
.
1 5
-7,000.00
- - -
in
.B
=
- Two E -
4.98.771
_TA
10,000.00
...AS
.
TIME -
IMPLTER
CARTON
amma
# - - - -
are
-
13
.
- - - - - --- -
e
HAR
#
1,457,200
A11
1.20.20
-
- - arpenditions -
- Navel - - - - -
LMT
IABI
-
----
- - - - - - - - - -
I,MEAD
...
1,884,457
-
-
.
Il -
1,100.00
-
7,280,752
-
-
- -
ama
--
HE - - -
re.m
-
#
---
-
is - - -
to
4,604,300
111
4.00.00
.
XMA
20,100,000.00
ace
====
-
" - - - - - -
LNLID
=
---
#
- - - - - - -
am
-41
40,000
-
.
- END INDEPENDENT
T.M. - -
13.27
11.00
---
94
-
non
---
---
THE
-
Frant -
I I I é I :
a -
---
14.00
4.35
LN
-
" - - - - - - 9 - - -
number has
E
a I I $ i I
in
10.20
- --- -
=
13.45
as
- Troperty
is
21.00
21
ADDRESS -
---
Bilage -
3
MIKE
LESS
Tab final -
REGISTER
--
AN
Code
+2.00
- if
---
162,451.78
-
-------------------------
- - panyman
hard y the
----
WILLISM
STATEMENTS
- Flan - -
. last - - -
is
12,104,00
-
-------------------------
12
Home «
el - -
is
17,000.000
211
LP
College Twich - Registions
I I I
visa Indianal hand
-
i
M - - -
Thereas
12.0
1,72
200,000,00
18
Wall's for Codernal Cristration
-
-
I
HELP
-
45,01.00
- 1 -
RI
MM
-
Child invoice -
----
1 I 1
res - - aprillim.
14.19
:
1.2
- - Fie AM
El
7,200.00
LOCN
---
M - -
Committee Data commer irpendi
- -
-
-----
- - -
--
0.94
LP
- Information persons
il
-
25.30
131,000,000
4.77
10
-
- -
50.71
B.IF
- if Chambian benis City
- - - -
,
I
ORD
2,000.00
1,500,000
1,00,00
- - - - -
TRUER
E
Las
0,000,79
,
- MI Online sing During
milivary certifica
use
my I : I 2 1
-A
the and Form increase
-
sta
and
-
78,311.75
Tital -
--
have - emi
----
445,000,000.00
another
Les - -
---
sere
:
Employer's Compension -
AMOUNT
170,010
COMP
-
4,60,90,00
--
Creparation -
3Vwl - - -
----
-
---
Drive Camal, company
-
---
----
Date National Energency, at
My . FMA
Dan Impet lasts of
+1,00,00
0,010
Term Critit
- Only - argendi-
lane
Fulled Date merjory
#.M.#
30,00%
and
an min.
Enturne el En e terred não "E, a. Continue - -
Mil Trairy Department
formal a Depertment of the Interior.
Insue trail -
- loss true -
Consitions Nethod Exerancy Carril H one No. - -
Regraded Uclassified
THE AUDGET, 1938
INFORMATIONAL TABLES
845
844
TABLE No. [-Continual
TABLE No. 5-Continued
if under general heade, yours 1950 to 1936, inclusion-Continued
Statement of expenditures under general hends, firstal years 1950 to 1956, inclusire-Continued
tast
(NOT
-
-
-
1843
-
-
1992
1831
-
-
-
parame ema em
- -
-
E
sury
missings
a
-
--
have - - - -
(um) - Burden Balief
(11)
BOB
ans
anz
AMER
/ - - -
-
даз
-TILNED
LAURN
operations
- - of
---
-------------------------
1 must 1
- name
- - # - -
conditions
CALMENT
-
LUMIT
- - - M -
-
- -
RW#
- I - -
- et -
LOUND
-------------------------
- (MITTER)
1.77.10.8
WAWT M
1,000,001.00
LINES
1,38,111.17
1,170,007.00
- -
- -
PV
-
- Dari
remo Done - - -
301,000.00
I
WITH
WAND
NAME New - - - - -
Very Juliety, -
I
----
- - - - -
Tues Exparted
LOUIS
-
-
-
Turni Minutel Commission
HAZ
Phaire - -
zue
$1,434.79
10,261.00
s.m.n
E
u # Conditions - Cinnie
- -
VALORIE
#
i 1 I
FRM
in
-
-
------
---
D.A. - list
a
1079
--
ENMM - - - -
Tables - Commission
E
me
:
are
Elivel
---
THE
M # - - - Marshast Time Date
Federal - - -
-
I
----
I I i
3
-
AD
DI a - Timel Commission
:ace
LIALRIN
07.43
- -
2.02.47.10
1,761,000.00
Vehmal -
-
-
name - - - -
- cymiltem
LAWN
01,001.00
-
-
to
Far - Corporation
---
+2,000
MMW
mass
- -
Law
LACER
illie - remitter And
ame
I I I I
Other
CMA
1040
-
and
- - - - -
- - -
-
LIBRA
provides
......
- - - - -
Hirts Premar -
a
- 1000 - -
-
-
a
MLSALD
460,127.34
160,200.19
i
- no (MB4 -
TELES
Have M - — -
C.S.
une
(Hm) -
---
-
-------------------------
- -
- -
(77)
-
SICE
TIME (mayyyy
1,000,000,00
LOUIS
----
-
of - - - -
Twial, - ( -
-
-
-------------------------
-------------------------
73,098.41
and
- - - -
-
no
17,002 79
---
ARE
must -
---
11,001.00
Name) - -- -
---
---
- - - - -
ne?
Expiration) - American
-
- Team THE - -
NUMB
of Company
notes
Department the
i
Dependent of
---
Kyomi - -
---
---
1,167,000.00
Department -
main
-
comme
I I I F
-
11,000.00
Triends Department
Va
SAMU
-
-
- - - -
- Labor - - -
THA Drawn Rate
NAME
- -
- -
- e - - - - - -
---
Da immigy
MATE
von
! F il
AMB
-
issue of Ambry mm/my a
0,0LM
-
ATIT #
- An - -
---
I i i
---
05a el lla soow, expenditive
11,10.0
Priors -
(dia if Intervitive
I
187
just
na
- -
uws
mene
Cowey, and
WEST
HEMT.D
I I i il . I
---
X el
- - -
- - duins, mayoring
Public - - - -
nice
110.0
IMC
eel
- Capital
sme
Eines al delsa
Indule that
- of máis, -
E
uma
to Dependent of the later:
-
come
. - la virus
LOUIDS
il Insuel name 100m
- with Fax: Cysto -
trum -
. - coller - - - -
a. Telmal - MI
-
-
I
-
will
- - - Department - M
. - -- ven inder de dipartante set - is por yours
Control with Civil Details -
Regraded Jclassified
THE SUDGET, 1935
INFORMATIONAL TABLES
847
846
TABLE No. 5-Uontimed
TABLE No. 5-Continued
Statement of expenditures under general heads, first yours 11430 to 1000, indurire-Continuel
Statement of expenditures under general heads, fiscal years 1950 to 1836 inclusire-Continued
-
IMI
use
(19)
1982
-
-
-
-
-
-
-
-
1
- para
148,76.0
ULMO
---
- - - - -
- ITM. -
aux
-
- -
BILICA
BEHLACE
summe
mass
- - - -
less
mean
- -
the
- leves cab and
---
- - - - -
and
-
- -
-7,26,00
- - Insury
----
UNION
-
when
Miss
- - - - -
Titel -
mass
---
10,300.00
-
-
-
- of MMS -
---
and
245,000.00
-
TLHIS
-
haveng
PAMS
-----
- - - -
-
-
- insire - -
- Their -
---
imme
-
inal
- -
- 1 - - - -
-
1.00
- -
-
signature
VEHICLE 11
the
- - - -
-
- - - - -
1,000,000.00
1,0,000
12es
7wL Department of -
-
area
----
I I 1 I E I
-
---
-
- or
- - - - - -
----
100.00
1 1 1 I . I
- of Use
735,171.44
36,772.40
-
----
-
- @ a
- / - -
LIMITED
LEAULE
(Ree
main
CRIMM
-----
- - - - - ---
- mail, arpendations
BUTLE
-
I
----
-
---
Jule -
(*)
ALWAR
- et - -
um
Car
. Commine
AMERICA
same
1,000,000.00
1 . I I
-------------------------
R.M.I.P.R
UNITED
- - Cummers -
I . I i 1 |
-
R.M.P
-
-----
---
Times of the Creat
-
- -
-----
---
---
---
CLAIM
(*)
- / 4
KIMINO
Patries - - -
- - - United Impentive
LIMITED
-
-
I - / - -
Present - -
LIMITED
negres contral
71,000.00
-
et -
-
- of
E
416,000.00
in
HAME
218,623,00
parva of Name — - -
Times a
LIMITED
LOLMW
CABP
-----
- # margary expirations
ALICA
---
- - - -
(*)
Puse of
1,000,000.00
name
-------------------------
. - # FIRMAT - - -
UNIT
- M programs -
- a - - for
-
---
- - --- -
---
mass
-
ICAR
Four stat invoice
2,00,145.48
Takere
I
ISSUE
LOURS
last end - lichrg, minimo
was
! I : ! I
- if Finderiam
LOLDLO
and
smill
-
-
use
---
- M - applications
and
AM,757.14
Financial - - - - -
Formi Engloyment Best
LOLD
---
!
alea
Other
1.000,000
LIMMO
4,750,940.11
- ------------------------- ----
-
ANN
---
BEX
- - Mine
(5)
SUNGAM
- - Mine - - -
-
- a - -
----
Beet three
---
- -
-
- - - - en - -
Rim was
3
(*)
El
1
-
ENG
I I I I
ilemi
aumo
----
-
- - - lus - - -
*LW
---
ISSUE
ema
CAP
Find - and - - --
-
Setween - and
10,260
HELDER
- -
+6,017
HERN
-
Final - - - - Name
I 1 1 1 I F
18ᵗʰ
THEM trues
-
---
-
149,010
Massin time -
RUMA
Company
- - - -
reserved - and
Time
Advano # -- M Service - -
Rxe
120.00
Lane
dela interi
-11,00
1 I
Versing last
Tval, mayong
Herking Polo -
-
aniza
rever
Test Implement of Comme
- - en - - - -
-
-
-
Even of nells, detun.
-
% Therei M Fulmi Rafia Commins (ast los an, 1937. 47 Stat, en
I
.
All of Mar F, TAM (#) REL - the lills to if Narim Impection et
of promission States
----
#
asso
Provided with of set number Experies taxt Just N. an e Hat.
Exima of -
. Trankmat " Depairent et the have or Etentive Onler No will of No = a
Individ la
Transfered frie Other by Order Xa en of Joe -
Instruct is Puma el bede - -
Followings - -- under termi expentitions Fir of signature. - take
have of Eximinal MIP - - - - -
under - - - - - - -
Regraded Uclassifie
THE BUIRIMT, 1939
INFORMATIONAL TABLES
849
848
TABLE No 5-Continued
TABLE No. 5-Continued
Statement of rependitures under yours! heads, fiscal years. 1950 to 1956,
Statement of expenditures under general heads, fiscal years 1930 to 1956, inclusire-Continued
!
-
-
-
120
URM
-
/
-
DIL:
-
-
4982
-
- H ama
- - -
LESS
EXTR
una
- - unter de starts
-
-
new - - -
- - - -
- LANE -
LAURS
Uses
MMM - and - Diving of temple
Reserved last - company -
and
- of - dian
----
AMOUNT
-
ARE
- at hand Rain -
-
AND
E
! ! 1 I
will
e
0.00.77
€
I - I ! 1 5
E
o . Part
- all - within
B.B.MLW
ATILMAN
I
name
---
- - - do - -
I
---
AND
€
- - - - - -
10,30.0
WILLING
- - - -
-
(6)
(*)
E
8
-
-
and
-
- an
---
- - - -
main
- amili
Twice Your - -
----
- - -
- N/
---
term 1 ent
+DERKU
----
-----
--------
- -
- -
- - - -
J.ITLEX.O
I I I I !
Total mini
----
LAGO
----
summer
- -
over - -
Contacts
-
are
--- of - advise
RELEASE
MARS
----
- - ml
2201
CAULO
die and
-
- - - a - -
- -
LOUR
LELACE
2,000,002.00
---
- - -
EVIDES
-
-
— Full -
-
LANE
image
HOLIA
(6)
70% Depensi of Jumier
RESALE
-
- as - - -
APUER
- -
littless
10191
el - -
sminit 148/18
-
case
---
MALE
$85,762.19
TIME
MLTHER
76133
— - - -
1,000.00
---
I
ISSA
======
1231
- of lui - -
---
--
497,785.00
- -
---
- # Les
nas
----
1 1 I i
ans
- of see metion
use
1,600.00
----
AMX
- - Organizations - - - -
S.OLD
non
of NO the
name
anso
and - -
-
--
- Name -
- . - -
-
que
100,00
1000
- of - - -
name
S.M.D.
consilirm
(N)
NAME
- -
name
Bano al
IMED
TRUMP
---
ama
more
MATTER
NAME
los
- - minus
10,210
noon
Non) thema
use
name
THE
- MI -
now
-
(*)
BNDI
Employer belie
206,000
Federal - - - -
Smith, mayory
11,00,000.00
CALATO
no - - -
-
-
aux
LIFE
-
-
-
-
LUAR
-
-
E
(wer - or cel
---
mad
- of - - -
€
i
- Cal the bard
Time
amo
I -
-
I I } 1 !
-
RIMIT
suss
MSHI
case
CHINES
----
- -
-
-
Manual and
ALWAYS
+------------------------
---
HARR
-$4,000.30
-KMP
HLIDE
--
Help -
Twist -
-
---
16.04.00.00
-
name
new
Total mm/
assime
have
-
délivere - - -
-
-
Company
ISRP
----- -
-
-
nat and
state und
-
-
-
This correct
USAN
Twel Department e due
Inmas
-
RAINE
ENT
case
- Trepertions et labor
ammn
Department -
-
- - -
(am)
LORGER
---
was
I I =
-
issues
10,018
-
meso
and
- et the Immiry
DATE
- -
---
may
use with organization
into
---
IK**
LOLTING
-------------------------
el - a -
...
-
18.76.2)
---
-
under
Hima al Sangation
Date
-
Permi a
name
INFR
RESULD
Even # mils.
5
---
use
man
-
e now
came
---
Initided is -
sume
Home el Contration - Depair -
----
- Instruct - - - If - - - - - - -
- of
- " Indianor, -
ANLABLIT
---
----
mess
- unter life of -
Name of People and America
Transfered to Civil - -
. Totaled a Department # -
Inm
. is "Siste - - has -
- in "Swarter not themis of -
Transferred Pules Irom Transity Initialed Department in "Frest - - - The denité of - work? - - 1.
.
Combine with Instgntion Services.
is
Regraded Uclassified
850
THE BUDGET, 1938
INFORMATIONAL TABLES
851
TABLE No. 5-Continued
TABLE No. 5-Contimued
Statement of expenditures under general heads, fiscal years 1930 to 1936, inclurire-Continued
Statement of erpenditures under general heads, fireal years 1050 to 1936,
-
una
184
-
BE
tell
-
-
tone
2016
ven
DEL
INDI
-
Insurer
el - - - 5
-
-
10.00
- -
- - -
MEGI
- . -
and
2,00,200
-
- - DATE
UMON
case
- the -
ISSUE
ISSUED
MATUR
- - - - april
- Fails Lest harms
-
DATEM
-
Are
NELIAN
- Tream el - signature the
LOUID
- - -
----
UNITED
amice
chard - the l'unnerd
m.ine
smilere
1.00.00
- - -
LAWN
- time Review
----
Wered -
----
KAP
came
ima,
- - - only) -
- Cup:
-
20,000
- if -
(*)
MR.
- - -
----
SOLICE
time
these
- of - -
-
IRRI
---
LILES
- 4d Walks
name
AMICA
Law
----
AND
I - -
---
- - - -
KANS
I I I
-
I
mma
LIAGLE
- - -
É
Formal el Avenue
- fisant
2013
---
****
-
(4)
-
€
UNLICE
THE mm. -
cause
- -
1.81762
- el Friends
-
-
LOSS
- -
----
--
MODE
- - Drive
TRANT
-
AND
-------------------------
MR.
THE limits -
11,000,000.00
---
-
----
FLAIR:
- - ann
------------------------- - -
- el the Nie
LAST
WEART
Lacelse
1,486,340.00
i I
-
-------------------------
HOURS
-
- - 4
- mé
1200
(sue
-----
-------------------------
11.01.2019
These -
----
----
=--
MARLING
- - - -
-
Name
-
-
I
nee
-
----
Administration - -
- -
smare
- -
-
invoice
-
RABLE
is super mit, namel -
- beds, openition
THE They -
----
----
N.M.N
- - mid Product -
---
- - creatives
amo
-------------------------
EMPER
-
la Adml and - referting -
- - " - - a
Transil --- - - I - Mill
-
-
----
-
- a pilmil ilems, Printed -
- - - - - - -
---
-------------------------
TYLEASE
- - - - mayority -
- - - - Home
=---
I
----
----
Name
I 1 I i
- - fulms Print
- - - - - - -
1 1 J
RALE
12,000.00
-
are
- Organica - # Are 14, 1
PROVISE NAME
---
- - -
- - Cord -
MEMBER
United - - - Time - I'm
-------------------------
- - -
-
- mine - -
Lesu
-
-
-
Tolant - le emit emb.
-
----
-
- land -
-
-
- - One - I -
- # film All if -
1000
rame
- -
The food Their
asme
FILL
----
- AND - - - -
- -
-
--
+M.M
- liems
-
--
----
-11,000
Department -
Mindless - -
--
ENVES
....
File)
That -
-------------------------
- - - - 21
UPLICE
- - -
-
TRAIN
1,85,768
1800
1 1 I I ,
----
-------------------------
MICMA
la - ------- - -
-
View of
----
-
---
----
----
IPLINE
11,100,500.00
I
USED
-
1 el -
HALMA
una
----
----
-
:
-
Inter sum hime
sawn
----
-
/
Name
- Republic - -
inj
Persionel --- - -
---
amo
THE
THE
-
LIMITED
Truet -
E
E
20,000.00
- lesses milli and
name
:
sex
-
-
+LAUSR
Adjustrant - - -
-
***
and
-
name
THE (meil
were
UND
LIMITED
in
-
Twis general
/
-*-me
-
-
-
181,000,000.00
resis a end
Administrations - -
/
Bein imail
-ULME
F
cherse
Mike
que
Two -
mana
----
-NE
111,000,000.00
Twice company
/
the
Total Department a Fish
-
-70
Titld, Term Departmento
UNIVER
INTERNATION
VISI
LISTE
of medita, declare
-
Cum of mess datan.
expending - - The of Testa and Doing
Thestend la Fwo Credit
- - Department . lastin.
Trankend M Internal Inter jeria
- City of por la 15k.
Regraded Jclassified
THE BUDGET, 1039
INFORMATIONAL TABLES
853
852
TABLE No. s-Continued
TABLE No. &-Continued
Statement al expenditives under penil hunds, fuest yours 1930 to 1936, inclurice-Continum]
Statement of expenditures under general heads, fiscal years 1950 to 1036, indusire-Continuml
-
-
-
180
(MM)
in
-
-
as
1334
1863
tae
-
TAX
-
-
Miney -
- - not
- - - 19 -
---
$ 376,018
States
della -
---
-------------------------
-
and
-
- que
MALE
Tax 1
-
care
----
- -
and
--
ALNANO
-
0,00
dans Oui " -
- - -
and
---
-
----
-
/
----
----
-------------------------
- and ⑉
$ I
-
- -
----
USA
- -
-
----
HOLD
I 1 F I -
-
-
----
---
Timel
- -
IMPO
[ T
PRO
pamo
NAME
THE -
name
12,34,000.00
- -
-
-
UNITED
LAME
--
-
! 1 1
MM
-
the
----
-
-
-
-
-
-
Adjustment - persons as
I : I
-
----
- - entrazio -
----
- improved
COURS
INAS
---
-
I I I
--
THAT
- -
:
---
---
-
-
WE
Twist,
- -
LICENSE
-
1,000.00
---
----
- - -
---
-
-----
Trick Wat Departmenti, - at
- -
-
-------------------------
---
LOUNG
Claim
main
-
- -
---
core
---
---
-------------------------
-
-
in
ROS
0
---
---
---
am
Cand:
] 1 1
-
---
-
---
---
name
and
---
1 : I 1
0,00
ARTO
---
are
and operation, - error
- -
income
---
---
H.S.
Name - -
-------------------------
ATHLICHE
-
AUTHORIT
- Canal Zips
---
- - - - -
Ciril -
M.A.S.P
more
---
1,18,200.00
-
---
SILMA
Prinal Austru Canal
-
NAME
---
come
M.M.M
---
special deposit -
. - - -
---
when
SIGNE
Departation of unimpliqued allens
LTTLE
77,000.12
- - - - - -
-
Payment to - employee 14
L.500.00
Name
---
END
-
Place - -
ames
CALINO
11,094,436.78
-
-
LIMITED
-
COME
006.213.00
(RUNT
Attentment parti and
-
class I
+200,000.00
reming
PLANSE
-
-------------------------
-
- -
-
Total progral
LEMB
-
4000
I
Energency
a.a
-
---
-------------------------
-
MART
National cash expenditions and
-
checks unant
+4,000.00
-
- - -
1 1
-
THE
74,400.00
1 7
Quited Internet caub expenditions and
var
thairs -
ILSURED
---
! I I
-----
-
-
XXX
Total Parama Card,
- -
Tital climi
HIRLDLY
a
Theme -
- THE
T
-
--
---
dell'
Teal emergency
11,000.00
-
-
-
10,700
SIGNE
- were -
3
Total, War Department, instituting Tax
Madial Payable
-
-----
-
- Contal
-------------------------
anma
Capari - - -
-
Organ - -
----
-
ENTRET -
no Ass. - -
-
satur -
---
Internal present
UNITED
LIMITED
Med Verso -
/
Res Incl - -
memore
---
et - sad provo
184815
2,000,000.00
-
Resirn and
- -
:
Nest and -
w.w.a
Trail - Male a
i
ASSIN
Uma
---
and
Highways.
- el - -
:
-
hito
amount
LIMITED
CHED
2,HLF
-----
- - the -
run
LEANED
LOANGE
United
Revenue
2ND
M.M.D
and
217,713.00
- - - # - - - by - Change then - is - trus
----
-
Eims of crédits, delart.
Regrade Uclas
THE BUDGET, 1935
INFORMATIONAL TABLES
855
554
TABLE No. &-Continued
TABLE No. 4
Statement of approditures under general heads, fiscal years 1030 to 1936, inclusine-Contimed
Statement of bolances of appropriations of June 30, 1936, and of appropriations for the fiscal year 15.17 (inefusing per-
manent and indefinite appropriations), 44 of Nov. 1, 1938, reported by the Secretary of the Treasury
I
-
-
IND
HOLL
If
-
la misded is - Bulpit only - a the represents a the have and Aumonting Avt. - (U.R. c., use AL - 11 - - - -
- - - little of any - M simple - - biliam el - - 148 of the Treasury JIME as ISM, classified as between 1401 appropriations - -
1 * il
of por your - while the RAMIM - a -
----
una
emera
- -
-
your
---
165,000.00
SAMPLE
une
- - -
- - - -
-
--
were
---
tie se
RE,
of REVIEW
- year nur, -
200
condine prime
THAT
-------------------------
remove
- can
- MM -
THE -
I I
---
- -
---
-
$ il 2
----
AGREE
HOLDER
-
----
-
-
---
-----
-
TAXTER
----
TEJULABLE
-
- - -
information LIBRO
48,973,000.00
Emminy - - - -
one persive
-------------------------
-
-
maintry - will
Amount - est - -
-
Expires Compensation Complete
11,000,000.00
17,700.00
- -------------------------
-
------
-----
Two Note
asso
Funn Credit Administration,
TOLDER
- - o -
-------------------------
----
NAME
Federal CHIP was
el - -
noss
Exempley Administration at Tube Washin
----
-------------------------
e -
CAMAD
Formal Exempter Insure
-
- - - -
----
-
Administration
Name
$21,457.00
- - His -
-
-
a
National Instructal Benery
1,000,000.00
Be FAMILY -
-
subse interned But
----
- a -
CAUSA
SEVEN
naso
sees
can
- American
1,005,000.00
Important - - - - -
-
00,740
---
Enter
17,800,000.00
- Care
applic
seme
HOLD
fund feart)
-------------------------
-------------------------
- IMP -
-
-
-
Transis Value Authority,
-------------------------
-------------------------
-
-------------------------
---
Administration
----
You - - produce
AND
Water Them Administration
GALIER
Tras - - - - -
Illie
$47,499,137.43
-
----
ume
EXEM
----
of Agriculture,
----
34,467,600.00
Plut - - - -
Dmvision 5 Commen
-
----
with
- -
4,100.00
of the Insurior
- --
number
MAINO
name
of Jutine
21,044,780.00
- - - - -
-
-
Ivantant al labit
I I 1
Nay Experiment
Transing - -
LIMITED
----
-
Full Odue Department, tres - -
FRAICE
We -
de Personal - -
---
---
- Department
-------------------------
---
THEREY Department
- of -
-
- of - - - -
Paid
*ESURE
If'ar Department
-
- -
MULA
Titales Canal
$ 45,000,000.00
FOND
HERE
2016
if Columbia
*TABLE
20,000 M
CHF
-------------------------
-
- VIM. Personal
-
-
-
Inter tal
I I I
lear
uses
fillet
-------------------------
WAL.000,000.00
I e I I I
Dates MI la public als
----- - -
-
Charges - - -
----
Twd. missing a lession, payable trum passi -
- - -
4,18
0.18
Memor - -
comme
missions in paid
----
-
Types la - Service - -
Rine
Nome to - 15% Fedetal Ad.
1 115,000,000.00
Total beving payable - perisi -
KA Reave M. -
the
Pye - All - - -
-----
-------------------------
----
Total
Admin - BY in n. 1 - -
- I -
-----
locide $101,000.00, entimated - for adjured service - - representative fun - of bonita perside - - lite
THAT government. Ins. de
Imi, sit Mar. R, (i) NM. >
TIME -
-
. Exture el IMM for comple units unina of Columbia
# Extinued in partal mess
Total
-
I Interés 11.00.00 suptime - - pent And of the Treasfy and for Prentment Eleginal Comp half of approvation in assess laterier Department Appropria-
E
Limme
COMMON
INVER
to AAL
I Extain of INITTED M may under the possibles of the Remain act M FUNE a FREE jet a 400, - 300.
I :
- - -
- que -
I The requires - IF - date) sture, at appropriated - use - your last that were bate available In expendition úsrice the time pass
bonks that emmile
the talatori of visit are indorted in the the - provided amounting - - are invisited - appropriations - the year will.
. Instructions n
-
Xg mirral a lbs beh al the Tradem. tat - la the
I
- --
# mame
-
Dertail will
Regraded
THE BUDGET, 1938
856
INFORMATIONAL TABLES
857
TASLE No. 7
TABLE No 7-Continued
by the United States Government, June 30, 1936, and June 30, 1935
Securities owned by the United States Government, June 30, 1930, and June so, 1985-Continund
same as -
for 9a, THE
Informas -
-
Just -
Just - yas
- et1 -
- (-)
-
de
- -
- - el uner assund personal - 30 the All, and in a ne - sensial
----
Tomo - - - les - M - end - et -
- - of am to - 100 of the Ad. ejound ALL a 1AB. -
ARRA
----
---
- BY -- - - - a -
-me,
- by like Federá Europecy Administration of Public # att.
----
-----
- -
- le - - el - of - supported Apr. 3L WET MII - 21, me = combet
- BY - Time at - - - Unit - that
- by - Assistment Motron in
- - - - - - BY M - M - activity di of 4.
- merred by the a few - - if If - 40
$13,000.00
----
---
----
- - -
- ravivel be the incretary of the No - - of - - -
-------------------------
- - - - MY - - - - avia - il Country imported
- by - u. # Rigung bend less - - el - of ships. etc.
-------------------------
- -
umma
- - I for - Nind. - - - - - - al - an on tel ISM.
- - - - - - / - - at an MI personsi
- if - - - lati - - - of - a of the - estimal as n. -
M . -
asse
24,764,200.73
-------------------------
- -
- - - dell - - is - - a 3 if (in Employer Two án of nat
- 1 - - a - M Libit Platen - of - una di the Most
---
received MI IF IL - - complet
- - - - - - di less = - - by De - all -
- animal M - -
- PARA & - - - - - the of - - nomied as
- - remind by tax -
--
4a - la - -
Tital
yourse -
-
UNITED
--- AND - -
D. - From Corporation
50,000,000.00
20,000,000.00
. - - -
-ams
11. a. -
190,000.30
336,050.00
- the - ém the estril tax helfs II L, - di laste - - B: a:
- - -
30,000.00
10,000.00
all - un provided L - late 2 May in use
UNION
-11,000.00
THE
-------------------------
----
-GMM
Card mini m. - - - - - -
Come - - - Passame fi. . -
7,000,000.00
7,900,000.00
Come - - - - - - - La the - - 3. DEL, -
- M will - the - -
12,000,000.00
Payment del - - - line - - Corporation
Come - - - - --- - Time servime - - - Loss in of - (ME)
NO - - - - - - - et - - Town - Clar-
Cegital THE -- el line - - - - - - - ACL -
101,000,000.00
Camel - at - - Service Combet - - - et 1982,
Approved - IND - -
Capital - - - - - - - - - - - -
-------------------------
$4,300,000.00
Capital - of the No - - - Corporation AND approved
61,045,705.10
+CMRP
BL. sma - -
Capital Mark at le Export - I - - For - De a I - unitially
-------------------------
200,000,000.00
el Use Mained Twice - Arty - M - -
- - - ne et The - - - - - 4 - -
- / the - - Flood di - u - - - the N, mi, -
18,000,000.00
51,000,200.00
----
Capital of the B F et. - On - visit - - - - - - -
2,78,000.00
Corporation Aux, - I'm - - -
Capital - of Promit - - - - - e - . the - Drive MI -
13,000,000.00
SEGUITIVA - - -
Capital the National - - - the Community - - Milk - - - -
THE - Avt. - - M. - - - - distrill activity Air. 1A. of
- items at Electric el - - - - - - - - Ma. - -
3,000,000.30
- - - - - -- -
l'egilled - - of the Femal - - - - - el - - to - M. - -
1,000,000.00
All the of - - approved - - - - LA - - - - - at - - - - Thing -
148,000,000.00
112,000,000.00
Copital mathewing - the el Mederal Name - - - - - --- - la - - - - SA, - - -
-------------------------
Customer - if Frimal - Permit - M - If ---- -
70,000.00
10,000.00
- la - - - Friend - - Terminal - - - - Mg 16. - M
-------------------------
----
Depotal have 17. - INTR. at - Federal accested. - - - - - M The - Bane - are. -
HEND
approved data to past If, - - as member - - - Person Termal - Lima Aill,
72,000,000.00
TL.000.000.00
Capital - approved not of Central June in. Bank 190. - - - - - - - el - BIN the from Credit Are -
-------------------------
$1,000,000.00
Flagibal approved Morth / at banks 18. to - - - - - - - - al - Fivers Trest Adt. a -
41,00,000
Twis
-
60,000,000.00
+---
-
0
Regraded Uclassifi
Relations
belongs_to
belongs_to