*; p'c - U.S. Government Printing Office
Transcript of *; p'c - U.S. Government Printing Office
COMBINED STATEMENT OF THE
RECEIPTS AND DISBURSEMENTS
BALANCES, ETC. , OF THE
UNITED STATES FOR
THE FISCAL YEAR ENDED JUNE 30
TREASURY DEPARTMENT
OqglCE P~
*; p'c
SECRE
WASHINGTON
GOVERNMENT PRINTING OFFICE
1926
RECEIPTS AND DISBURSEMENTS, BALANCES, ETC.
LETTER FROM
THE SECRETARY OF THE TREASURY TRANSMITTING
A Combined Statement of the Receipts and Disbursements, Balances, Etc. , of the Government
During the Fiscal Year Ended June 30, 1925
DEGEMBER g, 1925. — Referred to the Committee on Appropriations and ordered to be printed, with accompanying documents
TREASURY DEPARTMENT&
OFFICE OF THE SECRETARY)
Washington, December 7, 1M' The SPEAKER OF THE HOUSE OF REPRESENTATIvES.
SIR: In compliance with the requirements of section 15 of an act entitled "An act making appropriations for the legislative, executive, and judicial expenses of the Government for the fiscal year ending June 30, 1895, and for other purposes, " approved July 31, 1894 (28 Stat ) p 210) I have the honor to transmit hei ewlth 8 combine(l statement of the receipts and disbursements, balances, etc. , of the Government during the fiscal year ended June 30, 1925.
Respectf ully, A. W. MEI. I. CN, Secretary,
111
COMBINED STATEMENT OF THE
RECEIPTS AND DISBURSEMENTS, BALANCES, ETC. OF
THE UNITED STATES DURING THE
FISCAL YEAR ENDED JUNE 30, 1925
(Details of Receipts on pp. 1 to 89 and of Disbursements on pp. 40 to 250)
TREASURY DEPARTMENT, DIVISION OF BOOKKEEPING AND WARRANTS.
SIR: I have the honor to submit herewith statements of the receipts and disbursements of the Government during the fiscal year ended June 30, 1925, as follows:
Class Receipts Disbursements ~ Excess of receipts (+), ex-
cess of disbursements (-)
Ordinary Public debt
Total
$8, 781, 885, 958. 02 $8, 581, 075, 383. 67 8, 152, 463, 162. 88 i
s 8, 420, 778, 801. 15
6, 933, 799, 115. 90 6, 951, 849, 189. 32
+$250, 260, 064. 85 — 268, 810, 188. 27
— 18, 050, 078. 92
' "Disbursements, " as used in this statement, are on the basis of warrants issued (net) aud include unexpended balances to the credit of disbursing ofncers at the end of the year, but not expenditures under such unexpended balances at the beginning of the year. See adjustment of warrant receipts and disbursements to basis of actual cash receipts sad expenditures from the general fund on basis of daily Treasury statements (revised) (pp. 38, 275) .
' Exclusive of 3466, 538, 113. 83 public debt expenditures chargeable against ordinary receipts.
Statements of postal receipts and expenditures for the service of the Post Oflice Department for the fiscal year ended June 30, 1925, with grants from the general fund of the Treasury indicated, are exhibited on pages 33 and 252, respectively.
Receipts are classified by organization units and sources of revenue and the "Balances, appropriations, dis- burseleent, etc. , "
by organization units, ready reference to which may be found in the Table of Contents, page VII. Respectfully,
Hon. A. W. MEI, I. oN, Secretary of the Treasury.
M. J. O'REIl, l. r, Chief of Division of Boo7ekeeping and Warrants.
RECEIPTS
Cuetr &me
Internal revenue Sales ef public lands MiseeBImeous.
By organisation units snd sourcee- Legislstive—
Cnited States Senate House of Representative Ilegfslstive, miscellaneous Architect of the CapitoL library of Congress Government Printing Office
Kxeeutave Once Independent Offiees-
Alien Property Custodian Civil Service Commimnon Federal Board for Vocational Education Federal Power Co~on Fedelsl Reserve Board Federal Trade Commission General Accounting Office Housing Corporation Interstate Commerce Commission 'tiational Advisory Committee for Aeronautics
~ OKce of Public Buildings and Public Park=- of the Rational Capital
Page 1 — 6
9, 10
11 11 11 11 11 ll 11
12 12 12 1 '1
12 13 13 13 13 13
Al iscells neo us — Continued. Br organization unit=- sud =-ource: — — C 'I&tin!led.
Independent 0%ces — Continued. Rsufr&lsd Adlnifti=-&ration and transportation
act S!nith~nfan In&if!It! ~
Stare. % Sr. ann Xavi Depa anent Buildings L &dfed Slate=- Fnippi" 9 Board I nited State=- Vefers. =-' Bureau
1 f ' ~cellaneous Department of Agric! Bture Department of Commerce Depariment of the Interior Department of Justice. including Judicial Department of Labor harv Department Department of State Tressu~ Depariineut %sr Department Ps. sma Canal Di=-Ir! it f Columbia
PubL&c deb bi Pm~ revenues Details of receipts br =ources Summarv if recefpt= br a)urce= Hummarv of receipts bv orgsnizs inn unit=
Page
13 13 14 14 14 14
14. 15 15, 16 lo-19
19 20
20& 21 ul 22 — 2n ot& — 2S
o9 — 32 33 33
34 — 3& 35 39
DISBURSEMBifTS& EEL!tkNCES& APPROPRLt1TIOMS& ETC.
United States Senate House of Refire. snltatf ves Legislative. missJlsneoue Axcl Iftect of the Capitol Botanic Garden Mssry of Congress Govlsnnuslt Printing OfBce
Exec Itive Once
Ifvr&EP:. - 'inK'»T Orr!CK: Als:-ke rehcf fund=- Ahen Propertv C&zstodfsn American Battle Mnnumeft I =- Commi~unn
n 'Nemorlsl Amphitheater Commi~mon Arlington Afemorisl Bridge B~ of Mediation and Conc!liation B'Ileau of Efhciency Civil Service Comm!r fd mm!r fdOn Commission of Fine Arts Employet=' Compensation Commiaon Federal Board for Vocational Education Federal 011 Conmrration Board Federal Power Comme~i " Federal Reserve Br~cd F Trade Co!nmimon Genetud Accounth g OSce 8&tt ri! 6 Corporation istelsrate Conunerce Comm@~ion
te Gorernmental Commimon, C -. 'orud Hirer Estional Advisorv Committee f Acr&&us&!fir= Perrv'. - t ictorv Memorial Commi — ion lhulrosd Administration su -' transp rlation scf
Labor Board nuthsonian In action
Page 40 — 42 42, 43
44, 45 45, 4b 46, 4r
4r
49
49 49, 50
50 51 51
51, 52 o'
o'
53& 51
Z
oo i
~ -1
55,
Ysfiousl Mu~m Oflice of Pubhe Buildings snd Public Parks of the Xational
Capital S1sre& Us. . sud Xsvv Deps=rmeut Bufldings Lnited Sts1ef Cos' C ~ff&&t= United Sts-. e=- Fo: d sf d Fuel &&~n~&mtions T nited Sra c=- HHpptng Board bruited Stave=- Tsri I Commi=-I&-- t'sited Sr Ie=- ' efcra=. =-' Burea&I War Fimnce C =m I:. -i -- %ster&rays Cic ~&t&i=--=!nnu
)I& ~ljsnc its cnT~T& ~c o & ns&" ~ r, et(' Atr&'t ')fi ' af. c &!&ferencc as~~bled ilr the Pm ie-I I t!:!~f. ' Sfsic- ( o!n!IL&--ion fnr C-iebrs1 q!! nf T&
Hundredth Annivcrssrv i B'. - '- of Charge U s=-b- in tzf D
I nited Si sfe= Mecklenburg ~=. -, '! ~. "Tcuu! s! Com- mj~slon
F;dted S-s i e= Lex'joe» -Concord ~f- ci-&le-. jal C:r
I nited Sfsie=- Bunker Hill ~=quice teunial Col!1&ui=- ton
Co~~en nu Expo~is. iot& of Pu D tt ood and Paper Cotu~~ '. ce on Public In'orn nIs!-tnu Federal fuel ~-'=-I . "" i o~ Xstiona = curirv snd defenv. ~th =u!»&arr =-I. -. . e-
ment '. deps~iments Y~ ti q = ~-r -'. ' ne' C S ES'»b<IOu Xitrate plsnf=. me!ho&&. = n! . :I&a ation PI!st ug aud 61ntchl II
Lir ih! ~femor's' Co&i &u (; I-. «l Slate. = Cnf, =sp' '. 8 Pr Ici . 1&&n ol '!!!i&-rc I n ( &! te . ~ . &. : . - lcd . i 1&
~iud= iu 'iirnfqr t srq' are&rcr Fe"e'. profccf!&-I!, sr 0 -", : . . =. ~ "I'-i;in . f An!e!j&s!
!!! EuI'i:ipc. ii
5i. 5S
58 5S. 59
59 59 — 61
I;1
t
nd 62
'&. 63
62
TABLE OF CONTENTS
DEPARTMENT OF AGRICULTURE
Office of the Secretary Office of Editorial and Distribution Work Office of Experiment Stations Extension Service Weather Bureau Bureau of Animal Industry Bureau of Plant Industry Forest Service Bureau of Chemistry Bureau of Soils Bureau of Entomology Bureau of Biological Survey Division of Accounts and Disbursements Library Bureau of Public Roads Bureau of Agricultural Economics Bureau of Home Economics Division of Dairying Enforcement of the insecticide act Federal Horticultural Board Agriculture, miscellaneous Permanent, indefinite, and special funds
DEPARTMENT OF COMMERCE
Office of the Secretary Bureau of I'oreign and Domestic Commerce Bureau of the Census Steamboat Inspection Service Bureau of Navigation Bureau of Standards Bureau of Lighthouses Coast and Geodetic Survey Bureau of Fisheries Patent Office 80, Commerce, miscellaneous
DEPARTMENT OF THE INTERIOR
Page
63, 64 64 64 64 64 65 65
65, 66 66 66
66, 67 67 67 67 67
67, 68 68 68 69 69
69, 70 70, 71
71 71-78
78 7l
74, 75 75-77 77, 78
79 80
81, 87 81
DEPARTMENT OF LABOR
Office of the Secretary Bureau of Labor Statistics Bureau of Immigration Bureau of Naturalization Children's Bureau Women's Bureau Employment Service Labor, miscellaneous
NAVY DEPARTMENT
Page
132 132
182, 133 133
133, 134 134 134 134
Office of the Secretary 136I 136 Office of Naval Records and Library Oifice of Judge Advocate General 136 Office of Chief of Naval Operations . j36 137 Bureau of Navigation 137' 13g
. Bureau of Engrneerrng 139, 140 Bureau of Construction and Repair . 140, 141 Bureau of Ordnance 141, 142 Bureau of Supplies and Accounts 142'144
Navalsupply accountfund, withstatementof transfers 143, 144 Bureau of Medicine and Surgery 145 Bureau of Yards and Docks 146, 147 Bureau of Aeronautics, 148, 149 Naval Academy 149 Marine Corps 149, 160 Increase of the Navy 150, 151 Navy, miscellaneous 151, 152 General account of advances 152
DEPARTMENT OF STATE
Salaries and expenses 154 Foreign intercourse 154-162 Permanent, indefinite, special, and trust funds 162-166
POST OFFICE DEPARTMENT
Salaries, etc 152 Deficiencies in the postal revenues 153 Miscellaneous expenses, Postal Service 153 Expenditures from postal revenues 251-253
82i 88 88, 84 84-86
86 86
ent 87
80, 81, 87 88 88
88, 89 89, 90 90-98
94 95
95, 96 96 97
97, 98 98-100
100-102 108-107 107-110 110-115 115-125
DEPARTME NT OF JUSTICE
Salaries and miscellaneous Contingent expenses Judicial:
linited States Supreme Court Circuit Court of Appeals District Courts Retired j u, ! ges National Park Commissioners Court of Customs Appeals Court of Claims Territorial Courts I nited States Courts Penal insti1utions Judicial, ndscellaneous
125-127 127
127 127 128 128 128 128 128 128
129, 180 130, 181
131
Office of the Secretary General Land Office Public Land Service Bureau of Pensions:
Salaries and expenses Army and Navy pensions Civil-service retirement and disability fund (statem
of 2+z per cent deductions on pp. 287 — 802) Patent Office Architect of the Capitol Reclame, tion Service Geological Survey Bureau of Mines National Parks Bureau of Education Beneficiaries Government in the Territories Alaska Railroad Interior, miscellaneous Indian . 1dfairs:
Salaries, current and contingent expenses Fulfilling treaty stipulations and treaty supports 5Iiscellaneous supports Trust funds Interest accounts Support of Indian schools Miscellaneous expenses of Indian Service
TREASURY DEPARTMENT
Office of the Secretary 166 Office of Chief Clerk and Superintendent 166-168 General Supply Committee 168 Office of Commissioner of Accounts and Deposits 168 Division of Bookkeeping and Warrants ' 168 Division of Deposits Public Debt Service 169
Division of Loans and Currency 169 Office of Register of the Treasury 169
World War Foreign Debt Commission 169 Division of Appointments Division of Printing Division of Mail and Files Office of Disbursing Clerk 170 Customs Service Bureau of the Budget Federal Farm Loan Bureau 171, 172 Office of Treasurer of the United States Office of Comptroller of the Currency Internal Revenue Service 173, 17 173 174 Coast Guard I 5, Bureau of Engraving and Printing 176 Secret Service Division 176 Public Health Service Mlnts and assay offices 179 181 Office of Supervising Architect (including public buildings):
Post offices, customhouses, courthouses, etc 181-188 Quarantine stations Marine hospitals Veterans' hospitals Repairs, equipment, etc. , public buildings Operating expenses, public buildings 191 192
Treasury, miscellaneous g2, 193
WAR DEPARTMENT 5Iilitary activities:
Office of the Secretary -- -- ------- ' Ig4
Adjutant General's Department
TABLE OZ CONTEETS
221-224 224-228
Military activities — Continued. Page
Office of the Inspector General 195 Offlce of the Judge Advocate General 195 Army Account of Advances 195 Finance Department 196, 197 Quartermaster Corps 197-201 SIgnal Corps 201, 202 Air Service 202, 203 Medical Department 203I 204 Bureau of Insular Affairs 204 Corps of Engineers 204 — 207 Fortifications, etc. , Panama Canal 207 208 Ordnance Department 208-212 Chemical Warfare Service 212 Chief of Infantry 212 Chief of Cavalry 213 Chief of Field Artillery 213 Chief of Coast Artillery 213 Military Academy 214 Militia Bureau 214, 215 Organized Reserves 215 National Board for Promotion of Rifle Practice 215, 216
Nonmilitary activities: National cemeteries 216, 217 National military parks 217, 218 Signal Corps, under nonmilitary 218 Medical Department under nonmilitary 218, 219 Public Buildings and Ground in and around Washing-
ton, D. C. , under Chief Engineer 219, 220 Miscellaneous, under Corps of Engineers 220, 221 Rivers and harbors—
Improving harbors Improving rivers
Nonmilitary activities — Continued. Page Inland and coastwise waterways service 228 Monuments 228 National homes for disabled volunteer soldiers 229-231 War claims and relief acts 231-233 Trust funds 33 Miscellaneous, nonmilitary 234
PANAMA CANAL
Maintenance and operation 284
SPECIAL ACCOUNT
Purchase of obligations of foreign Governments 248
Interest Premium Sinking fund Principal
PUBLIC DEBT
248 248 249
249, 250
POSTAL SERVICE
Expenditures from postal revenues 251-253
DISTRICT OF COLUMBIA
Salaries and miscellaneous 235-246 Permanent, indefinite, special, and trust funds 246, 247
RECAPITULATIONS AND SUMMARIES
Psge 38 39
Rscei ts: g ummary of receipts by sources Summary of receipts by organization units
Balances, appropriations, disbursements, etc. : Recapitulation by organization units — departments,
bureaus, offices, etc 254-273 Summary of recapitulation by organization units, etc 273, 274 Summary of receipts and disbursements 275 Accountability statement of appropriations, by acts of
Congress, placed upon the books of the Treasury during the fiscal year ended June 30, 1925 276 — 278
Recapitulation of trust-fund principal and interest accounts
Trust funds reserved against outstanding gold and silver certificates and Treasury notes of 1890 280
Balances, appropriations, disbursements, etc. — Continued. Recapitulation of disbursements for "Increase of com-
pensation, " annual and indefinite 281 Recapitulation of disbursements for "Printing and
binding" 282 Recapitulation of disbursements from permanent and
indefinite appropriations (including principal and interest on the public debt) 283 — 286
Statement of 2+z per cent deductions from appropria- tions credited to "Civil-service retirement and disa- bility fund" during fiscal year 1925 287 — 302
Summary statement of debit and credit transactions under the "Civil-service retirement and disability fund" by fiscal years from Aug. 1, 1920, to June 30, 1925 303& 304
RECEIPTS ITbe port erst rn«nrerf in the tfflonina hrt i- tbe heedqmztess for «h
Piner of deprett
RECEIPTS INTO THE GENER jtL FUND
Iftaat Crnfefnn= itiaatfa, distric Xo. 31—
Juneau Cordova
Paixbanka Porty Mile Kctchi jinn Name St. Michael Skagrray Saber tfnahr~ %'rangeIL
Mmaa, diatziet Xo. 26— Xogfdea kjo Douglas IrochieL Nsco San Pnrnando, Cahf Ymna
BufFajo, district Xo. 9— IhdFalo Bhrck Rock Perry Drmkirir Lerrhaon Wntgaza Pails Xorth BufFajo Xorth Tonawands Tomato Eoungatowu, Ohio
Chicago, di~ct Xo. 39— Chicago Michigan Citv. InrL Peoria
o
, ' Juneau
Xogales Dougla= El Pace, Ter
Buflalo Xiagara FaHs Xew York. X. Y
Chicago eever
&3'«. 84o. 68
&7. 86a. 96 '
7. 909. 80 4=". 817. 48 't
2. 07~~ T6o. 06
1«. 067. 19
-. :8S. 84o. 63
885, 092. 69
4, 8&I. 917. 62
Colorarfo, distric Xo. 47— Denver
Connecticut, distric Xe. 6— Brid~fnrt Hartford Xerv London Xen- HavraL.
Ijnkota, distric Xo. Pea dries km bmoc keUer Cmahy Hannah Hsnahoro Mowbrsy Xeehe ~orthgate Xo vee PortaL St John Saries ShernoofL Semis Valhalla
HLr«~n f i v AIe
Halberd
1
r
Xen- Haven Xen- Yek. X. Y
' Minuea17eli=,
I
197
614. 5v : el. '. 60
lo. 98
192 748. 9«7
««~
««&0. alt 10
RECEIPTS AND DISBURSEMENTS~ 1925
Recei pts — Continued
Districts end ports of collection Place of deposit DePosits br porte Deposits br dies ~
From Customs — Continued. Duluth and Superior, district No. 86—
Duluth, Minn. , and Superior, Wis Ashland, Wis Baudette, Minn Bayfield, Wis Indus, Minn International Falls, Minn Pine Creek, Minn Rsnier, Minn Two Harbors, Minn Warrosd, Minn Washburn, Wis
El Paso, district No. 24— El Paso Columbus Presidio
Florida, district No. 18— Tampa Apalachicola Boca Grande Carrsb elle Cedar Keyes Fernsndins Jacksonville Key West Miami Pensacola St. Andrews St. Augustine Tarpon Springs West Palm Beach
Galveston, district No. 22— Galveston Dallas Freeport Houston Port Lavaca
Georgia, district No. 17— Savannah Atlanta Brunswick Darien
Hawaii, district No. 3~ Honolulu Hilo Kahului Mahukona Port Allen
Indians, district No. 40— Indianapolis Evansville
Iowa, district No. 44— Des Moines Dubuque Sioux City
Kentucky, district No. 42— Louisville Pad ucsh
Los Angeles, district No. 27
Duluth, Minn Minneapolis, Minn
El Paso
Tampa Fernandina Jacksonville Key West Miami Pensacola
Galveston Dallas Houston New York, N
Atlanta Brunswick
Honolulu
(
Indianapolis Evansville Chicago, Ill
Des Moines Dubuque Sioux City Chicago, Ill
) Louisville
Los Angeles San Diego San Pedro New York, N. Y
$80, 279. 95 396, 174. 12
151, 784. 35
178, 984. 16 1, 838. 97
1, 977, 500. 59 472, 740. 27
28, 954. 54 28, 530. 88
70, 139. 69 249, 567. 89 '
9, 576, 924. 01 4& 292. 74
7, 160, 857. 18 1, 371. 98
1, 811, 962. 99
89& 129. 43 9& 884. 24
595 975 87
20, 790. 31 16, 353. 25 13, 610. 75 69, 576. 39
479, 988. 81
4, 829. 689. 84 48, 259. 91
116, 944. 14 5, 985. 86
$426& 454. 07
151, 784. 35
2, 678, 049. 41
9, 900, 924. 33 ':4
I [&,
&', Qei'
7, 161, 729. 16
1, 811, 962. 99
644, 489. 54
120, 330. 70
479, 988. 31
4, 500, 779. »
EEGEIPTS AND DISBURSEMENTS, 1925
Recet pfs — Continued
Districts snd ports of collection Ploce of deposit Deposits by ports Deposits by districts
From Customs — Continued. Maine and New Hampshire, district No. 1—
Portland Bangor Bar Harbor Bath Belfast Boothbay Bridgewater Brownville Junction Calais Castine Cutler Eastport Ellsworth Fort Fairfield Fort Kent Frenchville Holeb Houlton Jackman Jonesport Limestone Machias Madawaska Mars Hill Monticello Portsmouth, N. H Robbinston Rockland South West Harbor Van Buren Vanceboro
Maryland, district No. 13— Baltimore, Md Annapolis, Md Crisfield, Md Washinton, D. C
Massachusetts, district No. 4— Boston Fall River Gloucester New Bedford Pl m y outh Pro vincetown Salem Springfield Vineyard Haven Worcester
Michigan, district No. 38— D troit e Al onac g c Al ena pe Ba City y
' y
Calcit e Charl voix e Chebo gan yg Detour Escanaba Frankfort G'rand Hav n e Grand Rapids Hou hton g Lake Linden Mackinaw Manistee Marine Cit Mar uette q Muske on g Port Huron Roberts Landing t. Clair
St. Jose h P Sa 'naw gl Sault Saint Marie e
Portland, Me Bangor, Me Portsmouth, N. H Boston, Mass
Baltimore Washington, D. C New York, N. Y
Boston Gloucester Springfield Worcester New York, N. Y Washington, D. C.
Detroit Bay City Grand Rapids Port Huron Saginaw Sault Sainte Marie Washington, D. C
$221, 005. 15 38, 145. 01
960. 66 524, 286. 67
13, 426& 467. 96 493, 243. 79 636, 660. 07
44, 019, 850. 26 135, 081. 78 88, 565. 57 39, 461. 48 44, 835. 90
250. 00
3, 328, 224. 19 1, 859. 25
27, 391. 98 679, 536. 74
1, 072. 56 23, 544. 88
441. 25
$784, 397. 49
14, 556, 371. 82
44, 328, 044. 99
4, 062, 070. 85
RECEIPTS AND DISBVRSEMENTS& 1925
Receipts — Continued
Districts snd ports of collection Place of deposit Deposits by ports Depcmts by dfstdcts
Rrom Customs — Continued. Minnesota, district No. 35—
St. Paul and Minneapolis
Mobile, district Xo. 19— Mobile, Ala Biloxi, Miss Birmingham, Ala Gulfport, Miss Pascsgouls, Miss
Montana snd Idaho, district No. 33— Great Falls, Mont Bsnff& Mont Baylor, Mont Dooley, Mont Esstport, Idaho Gateway, Mont Hsvre, Mont Malta, Mont Peskan, Idaho Porthill, Idaho Scobey, Mont Sweetgrsss, Mont Westby, Mont Whitetail, Mont
New Orleans, district No. 20—
Baton Rouge Morgan City snd Cameron Vicksburg, Miss
New York, district No. 10— New York, N. Y Albany, X. Y Grcenport, N. Y Nctvark, N. J Patchogue, N. Y Perth Amboy, N. J
North Carolina, district No. 15— Wilmington Beaufort Durham Elizabeth City Manteo New Bern Washington Winston-Salem
Ohio, district No. 41— Cleveland, Ohio Ashtabula, Ohio Cincinnati, Ohio Columbus, Ohio Conneaut Ohio Dayton, 6bio Erie, Pa Fairport, Ohio Huron, Ohio Lorain, Ohio Ssndusky, Ohio Toledo, Ohio
Omaha, district No. 46— Omaha
Oregon, district No. 2~ Portland Astoris Marshfield Netvport
Philadelphia, district Xo. 11— Philadelphia, Ps. (including Camden Atlantic Cits, X. J Bivalve, N. J Chester, Pa Leaves, Del Seaford, Del Tuckerton, N. J Wilmington, Del
and Gloucester City, N. J. )
(
St. Paul Minneapolis Washington, D. C
Mobile Birmingham Gulfport, Miss New Orleans, La New York, N. Y
Great Falls, Mont
New Orleans New York, N. Y
New York, N. Y Albany, N. Y Newark, N. J Perth Amboy, N. J Washington, D. C
Wilmington Richmond, Vs
Cleveland Cincinnati Columbus Dayton Erie, Ps
!
Ssndusky Toledo
Omaha
Portland New York, N. Y
Philadelphia, Pa Chester, Ps Wilmington, Del New York, N. Y
$124, 334. 35 1& 306& 424. 35
2, 500. 00
63, 638. 28 147, 709. 00
6, 873. 03 67, 278. 40
6, 630. 96
205, 998. 14
30, 471, 805. 64 298, 299. 06
303, 818, 188. 46 2, 906. 38
15& 463. 88 i
10& 191. 11 13, 972. 73
13, 912. 93 I
6, 042, 714. 01
2, 386, 309. 56 792, 589. 78 438, 710. 98 117, 467. 06 54, 558. 64
7, 884. 79 341, 075. 67
254, 943. 28 '
1, 167, 213. 13 2, 146. 11
50, 081, 255. 75, 262, 543. 98 302, 753. 02 i
156, 615. 61
$1, 433, 258. 70
292, 129. 67
205, 998. 14
30, 770, 104. 70
303, 860, 722. 56
6, 056, 626. 94
4, 138, 696 48
264, 943. 28
I 169 369 24
50 803 168. 36
i-i m Cadsacc — Conlinacd. Plttalscxgh, district Xo. 12—
Pittsbmgh
P:. . : Bico( ~~I-. Xo. 49— ~ Jasn itC asia kxeabo
Pajszdo Gasnhk Hamscso Ma Taeaea----- Fca ace
P-:=c ~=. ='= -. Xo 3—
]lodacster, I-'-~(ci Xo Rod(ester VBR Harcn Osaego Sodm P(nmt Syxscsae lorica
E rttd((nxgb % sshiulltoo D
:~ Juan
P 1 — ne
'B::. :=. '(js-«
P. == I I «
T Ijea Xe — Y:=~ X
;B~(=sj:. X. Y
~( 043, 1wl . 1 121. a0
13. 3LL 44
«(46 16 =' 430. 23
69«64( 30
8=" 149. 34 (o ~ o 3(8. 1 81& 00 (ILy Ii3
w~e. datrict Xo. 21— P =. Arthur jjes=- -r I T P: '-'- I
T
, H ~- 45 ~(1 04 16, M~ 80 9, I II(A 50
m~. 1n. ( ~(rr(X —. . M hler(n (0
~am«~IIc D9 Rio Ksr c Pa~
P Ibm Grande C-: —. —
w~(:
Pnr: « =:e D=: P'- i=-=e Ps~ I=--~=—
I n
r', 1 & 1=" 01
49K . 8 366. 91 8-&~ 331 6~1
E P~- ~ L-I=
((P1, I-1 1 . 1 (n
~ ':I C(srojacL (h~i X C~ George-oarL.
~(. 8i 1 14 3 nl( Ol
a:~'1- - 'E C - '= Cm- 'l=- =--- C~. ~(- Cw Cw —. . . :—
E~-~
M;(;~
(
X=- — Y-=~ X on
l. ~ o' ~ . n
-. L —- . g In nw
v«
3j
RECEIPTS AND DISEIIRSEMENTS& 1925
Rscet ptfl — Continued
Districts and ports of colleotion Place of deposit Deposits by porta Depceffs by dhtd~
From Customs — Continued. Tennessee, district No. 43—
Memphis Chattanooga Knoxville Nash viUe
Utah snd Nevada, district No. 48— Salt Lake City, Utah
Vermont, district No. 2— St. Albsns Alburg Alburg Springs Beecher Falls Burlington Canaan Depot Harbor Derby Line East Richford Franklin Highgste Island Pond Montreal Newport North Troy Quebec Richf ord Swsnton West Berkshire
Virginia, district No. 14— Norfolk Alexandria Cape Charles Chine oteague Newport News Petersburg Reedville Richmond
Washington, district No. 30— Seattle Aberdeen Anacortes Bellingham Blain e Chopaks Dan ville Everett Ferry Friday Harbor Lsurier Molson Northport Oro ville Port Angeles Port Townsend Prince Rupert Roche Harbor South Bend Spokane Sumas Tacoma Vancouver
Wisconsin, district No. 37— Milwaukee Green Bsy Kenoshs Kewaunee La Crosse Manitowoc Msrinette Mineral Point Osh k osh Racine Sheboygan Sturgeon Bay
Total Customs receipts
emphis M Chattanooga Knoxville Nashville
Salt Lake City
St. Albsns Boston, Mass Burlington Newport, R. I
Norfolk Newport News Richmond
Seattle Bellinghsm Port Angeles Port Townsend Spokane Tacoma New York, N. Y
Milwaukee Chicago, Ill
$63, 516. 90 3, 649. 87
20, 868. 80 54, 034. 84
56, 470. 55
772, 589. 49 379, 976. 58
14, 933. 33 637& 796. 11
51, 638. 57 20, 827. 13
2& 823, 879. 20
4, 285, 976. 79 40, 375. 72 15, 252. 57 2, 094. 89
111, 500. 46 745, 671. 74
12, 245. 00
1, 034, 726. 50 65, 595. 69
$142, 07il 41
56, 470. 55
1, 805, 295. 51
2, 896, 344. 90
6, 213 117 17
1, 100, 322. 19
648, 521, 794 63
RECEIPTS AND DISBURSEMENTS, 1925
Recei pts — Continued
States snd districts Income and profits tsx Miscellaneous taxes Collections under
enforcement of, national prohibi- I
tion act Total by districts Total by States
From Internal Revenue: Alabama, district of
Arizona, district of x
Arkansas, district of
$8, 288, 275. 40
1, 416, 794. 43
4, 692, 973. 75
$1, 190, 199. 08
307, 197. 10
662, 697. 43
2, 395. 33
1, 441. 70
1, 726, 386. 86
5, 357, 112. 88
$4, 571. 41, $9, 483, 045. 89 $9, 483, 045. 89
1, 726, 386. Sii
5, 357, 112. 88
Calif ornis- First district Sixth district
Colorado, district of
Connecticut, district of
Delaware, district of
Florida, district of
Georgia, district of
Hawaii, district of
Idaho, district of
Illinois— First district Eighth district
Indiana, district of
Iowa, district of
Kansas& district of
Kentucky, district of
Louisiana, district of
Maine, district of
Marylsnd- Msrylsnd District of Columbia
Massachusetts, district of
Michigan— First district Fourth district
Minnesota, district of
Mississippi, district of
Missouri— First district Sixth district
46, 730, 001. 97 46, 154& 519. 24
92, 884, 521. 21
11, 740, 667. 75
26, 565, 630. 68
6, 563, 730. 62
12, 118, 724. 67
12, 613, 731. 56
51 067& 186. 25
I, 437& 069. 46
151, 080, 531. 60 8& 334, 986. 06
159& 415& 517. 66
23, 702, 838. 24
10, 716, 799. 85
15, 140& 741. 11
14, 324& 935. 92
12, 396, 172. 35
7, 682, 797. 60
25, 110, 611. 82 12, 480, 534. 83
37, 591, 146. 65
99, 4ti4, 237. 57
90, 625, 473. 33 10, 242, 928. 87
100, 868, 402. 20
22, 426, 721. 53
3, 483, 059. 12
30, 319, 505. 33 12, 148, 068. 30
19, 754, 209. 80 9, 142, 345. 70
28, 896, 555. 50
2, 530, 951. 65
10& 739, 012. 75
I, 778, 080. 30
8, 702, 920. 70
2, 715& 731. 71
681, 348. 11
322, 385. 97 I
36& 915, 530. 70 5, 673, 247. 84
42, 588, 778. 54
14& 888) 387. 21
2, 864& 483. 61
2, 260, 338. 30
13, 856, 040. 35
4, 815, 259. 89
1, 261& 784. 71
6, 542, 526. 66 1, 949, 680. 39
8, 492, 207. 05
19, 319, 971. 06
93, 915, 722. 05 2, 706, 327. 38
96, 622, 049. 43
5, 559, 988. 04
529, 056. 42
16, 146, 345. 77 2, 712, 719. 14
6, 035. 81 2, 245. 20 i
8, 281. 01
742. 85
11, 854. 00
275. 00
2, 125. 38
9, 428. 88
1, 275. 00
I, 233. 59
9, 318. 70 2, 769. 87
12, 088. 57
6, 350. 00
4, 297. 75
4, 780. 40
2, 285. 83
I, 950. 00
2, 750. 00
I, 738. 92
1, 738. 92
1, 475. 00
400. 00 1, 250. 00
1, 650. 00
100. 00
493. 00
7) 289. 36 222. 50
66, 490, 247. 58 55, 299, 110. 14
14, 272, 362. 25
37, 316, 497. 43
8, 342, 085. 92
20, 823, 770. 75
15, 338, 892. 15
5, 749, 809. 36
1, 760, 689. 02
188, 005, 381. 00 14, 011, 003. 77
38, 597, 575. 45
13, 585, 581. 21
17, 405, 859. 81
28, 183, 262. 10
17, 213, 382. 24
8, 947, 332. 31
31, 654, 877. 40 14, 430, 215. 22
118, 765, 683. 63
184, 541, 595. 38 12, 950, 506. 25
27, 986, 809. 57
4, 012, 608. 54
46, 473, 140. 46 14, 861, 009. 94
121, 789, 357. 72
14, 272, 362. 25
37, 316, 497. 43
8, 342, 085. 92
20, 823, 770. 75
15, 338, 892. 15
5, 749, 809. 36
1, 760, 689. 02
202, 016, 384. 77
38, 597, 575. 45
13, 585, 581. 21
17, 405, 859. 81
28, 183, 262. 10
17, 213, 382. 24
8, 947, 332. 31
46, 085, 092. 62
118, 7651 683. 63
197, 492) 101. 63
27, 986, 809. 57
4, 012, 608. 54
Montana, district of
Nebraska, district of
Nevada, district of
New Hampshire, district of
73270 — 26 — 2
42, 467, 573. 63
I, 885, 190. 42
5, 681, 386. 67
451& 905. 66
3& 221, 556. 83
18, 859, 064. 91
568, 958. 72
1, 867, 222 52
180, 043. 21
7, 511. 86
6, 285. 71
6, 916. 35
1, 948. 83 I
2, 460, 434. 85
7, 555, 525. 54
633, 897. 70
1, 236, 232. 13 ~
4, 457, 788. 96
611 334& 150. 40
2, 460, 434. 85
7, 555& 525. 54
633, 897. 70
4, 457, 788. 96
BEGEIPTS AND DISBIIBSEMENTS~ 1925
Receipts — Continued
States and districts Income snd profits tax Miscellaneous taxes
Collections under enforcement of national prohibi- tion@et
Total by districts Total by States
From Internal Revenue — Continued. New Jersey—
First district Fifth district
New Mexico, district of
$14, 656, 864. 24 51, 480, 163. 59
66, 137, 027. 83
733, 076. 51
$4, 996, 978. 04 39 486 519 71
44, 483, 497. 75
124, 899. 06
$2, 242. 82 22, 204. 58
24, 447. 40
210. 42
$19, 656, 085. Jo 90, 988, 887. 88
858, 185. 99
$1 10, 644, 972. gS
858, 185, gg
New York— First district Second district Third district Fourteenth district Twenty-first district Twentywighth district
North Carolina, district of
North Dakota, district of
34& 679 926 2 1 263, 361, 769. 16 121, 320, 670. 10 35, 388, 120. 99 12, 980, 160. 62 28, 979, 080. 65
37, 702, 385. 60 67, 750, 229. 02 34, 664, 639. 78 9, 266, 619. 71 4, 079, 845. 06 7, 852, 760. 44
667, 994. 23 260, 161. 82
496, 709, 727. 73 161, 316, 479. 61
15, 877) 646. 25 152& 210, 161. 43
55. 10 2, 000. 00 2, 505. 00 1, 681. 46 1, 830. 00
8, 071. 56
72, 382, 31 1. 81 331, 1 12, 053. 28 155, 987, 309. 88
44, 657, 245. 70 17, 061, 687. 14 36, 833, 671. 09
307. 50 928, 463. 55
641. 27 168, 088, 448. 95
658, 034, 278. gg
168, 088, 448. 95
928, 463. 55
Ohio— First district Tenth district Eleventh district Eighteenth district
24, 640& 390. 50 1 1, 674, 303. 71 9, 750, 651. 18
49, 460, 766. 28
15, 465, 994. 16 10, 679, 484. 55 2, 728, 060. 68
18, 010, 450. 42
2, 904. 83 1, 268. 54
300. 00 10, 641. 79
40, 109, 289. 49 22, 355, 056. 80 12, 479, 011. 86 67, 481, 858. 49
Oklahoma, district of
Oregon, district of
9, 820, 419. 90 1, 740, 416. 61
6, 784, 101. 67 1, 447, 129. 80
951 526) 1 1 1. 67 46, 883, 989. 81 15, 115 16
3, 061. 96
1, 006. 38
1 1, 563, 898. 47
8& 232& 237. 85
142, 425, 216. 64
1 1, 563, 898. 47
8, 232, 237. 85
Pennsylvsnia- First district Twelfth district Twenty-third district
108, 917, 809. 62 15, 064& 805. 92 65, 181, 588. 21
39, 870, 867. 63 3, 880, 339. 31
14, 134, 035. 93
13, 100. 00 4, 293. 40
184, 340. 50
148, 801, 777. 25 8, 949, 438. 63
79, 499, 964. 64
Rhode Island, district of
South Carolina, district of
South Dakota, district of
Tennessee, district of
189, 164, 203. 75 57, 885, 242. 87
14& 234, 137. 95 2& 160, 368. 72
787, 921. 68 5, 787, 515. 35
341, 642. 56 858, 943. 34
11, 770, 201. 37 5, 209, 379. 50
201, 733. 90
548. 68
1, 668. 00
478. 44
7, 331. 36
16, 395, 055. 35
6, 577, 105, 03
1& 201, 064. 34
16, 986, 912. 23
247, 251, 180. 52
16, 395, 055. 35
6, 577, 105. 03
1, 201, 064. 34
16, 986, 91 2. 23
Texss- First district Second district
15, 533, 378. 21 13, 352, 369. 58
3& 230, 763. 54 2, 714, 696. 06
3, 971. 00 3, 130. 00
18, 768, 1 12. 75 16, 070, 195. 64
Utah, district of
Vermont, district of
Virginia, district of
3, 385, 994. 71
3, 001, 689. 45
810, 563. 60
337, 949. 98
15, 303, 807. 61 33, 386, 844 57
28, 885, 747. 79 5, 945, 459. 60 7, 101. 00
1, 864 00
225. 00
5, 565. 51
4, 198, 422. 31
3, 339, 864. 43
48& 696, 217. 69
34, 838, 308 3g
4, 19S, 422. 31
3, 339, 864 43
48, 696, 217 gg
Wsshington- Wsshington Alaska
12, 334, 154. 38 194, 373. 20
2, 605, 369. 89 23, 704. 73
19, 605. 91 14, 959, 130. 18 218, 077. 93
West Virginia, district of
Wisconsin district of
wyoming, district of
Philippine Islands
Total Internal-Revenue receipts
12, 528, 527. 58 2, 629, 074. 62
12, 044, 165. 99 4, 507, 928. 45
26, 697, 560. 1 1 9, 532, 271. 06
1, 450, 159. 93 277, 905 41
795. 874. 72
1, 761, 659, 049. 51 827, 372, 109. 63
19, 605. 91
3, 372. 06
4, 260. 00
1, 866. 41
3 414, 728. 29
16, 555, 466. 50
15, 177, 20K ll
16, 555, 466. 50
36, 234, 091. 17
1, 72g, 931. 75
795, 874, 72
36, 234, 091. 17
1, 729, 931. 75
795, 874, 72
2, 5S9, 445 887 2, 589, 445, 887. 43
ln:1 r le. 315, tr'. &14 irlecme tar On 4Iaska railroads. ' 1'r r i i&tins t & th's amount reported by the United States internal-revenue-stamp ascot, collections from sale of stamps affixed to products from the Phfitpphre Ishm &r&ri r iel a follows F, . st California, 3130. 1&: Hawaii, 31, 303. 33; First Illinois, 31. 30; Second Vew York, f&5. 20. ' I id it&coal col lect i &ns from this source, amsuntine to si 3 is 0 2 30, were rnsde ss fofiows: Under Miscellaneous receipts, Treasury, p. 34, 447 334 51; under MS lhrneous ' I U&I)rial, p. 10& 33, 31', 333. 3s.
EIICEIPTS ~ DISBCRSEMEW 76. 1926
Receipts Cnntinued
Totsl =- ='- Tc . = by =. =:— ~PLc
Prem . ~wc ' ' PMMic Lends: Alsbama-
Montgomerv Alssks-
~chorage Xo~e Fairbanks
Arisons- Phoenix
Hsmson tiMe Rc ek
Cs — " '-'I ~ Kl Ce zru Emeks I::e:e ndenee L = 4)~. -;1
rrriv Fran elseo
- = " ville
Colorsdo- Del Xore Denver Dnrango Qenwood . =-'- tamar ~ville Montrose
G=: -, -. - . —, ~1- Iml-
B&~oor 8 C. -e-- d'selene Mer Lennon
Ksnms- Topeks
turr= -na- Bsfon Pi "'pe
~uetle ltinlaesots-
Cs~ Lake -'-ksfon
D
Sb, 8bi 04 4-o. oo
3. 434. 16
Or 8. 6r oo. U9&
='. =":. 94 ". 093. 21 ' 513. 90
' 9. 493. 40 10. 455 49 9. I 4i". 45
10, 'j94. , 4 54, 935. 36
1, , 49 11, 366. 19
'"-'I. 59 r2W rl
3, SU&. 89 (Iw 15
j 'j
10. =':= 8l 9. - ~95
6. 021. 12 349. Il
M. 00 ' 15I. 5:
u5'
15. r 4b.
'~. 191 00
56. . . 1. , 9
113, ', 1 54
I, o43. , 1
109, 609. 18
31. 430. j~
='. 48b. 15
3, I, '. 99
'-'. 705. 96
Xi -- ~c Bcz-;-s- (~~CQ Gr =. l I Havre Helens Kali~
olvn MIIm Cria-
15. 1.
6,
539. 09 ~6b. 06
635. ~ 40ll 00 554 9x 86. j 03
l. u~5. 4o
='1 o04.
9 j8j
ev ' l. =-ln Cit Z' r
6 953. Or
8 06
11 'j8(t 08
10 EECEIPlS END SISBURsEMENTS~ 1925
Receipts — Continued
states end districts Total by districts Total by 8tetes Receipts
From Sales of Public Lands — Continued. New Mexico—
Clayton Fort Sumner Lss Cruces Roe well Santa Fe
North Dskots- Bismarck Dickinson
Oklshoma- Guthrie
Oregon— Burns Ls Grande Lakeview Roseburg The Dalles Vale
South Dskots- Bellefourche Pierre Rapid City
Utah- Sslt Lake City Vernal
Wsshington- North Yskims Seattle Spokane Vancouver Walls Walla Waterville
Wisconsin- Wsusau
Wyoming- Butfslo Cheyenne Douglas Evsnston Lander Newcastle
Receiving clerk, General Land Office
Total Sales of Public Lands
$463. 34 7. 66
7, 561. 45 894. 68
2, 045. 00
273. 70, 812. 38 .
2, 218. 67 5, 097. 66
11, 694. 91 1, 596. 03 6, 370. 51 1, 737. 39
1, 041. 68 733. 71
1, 874. 00
15& 886. 54 18, 240. 07
7, 430. 02 3, 668. 76 8, 472. 77
820, 00 8, 359. 99 1, 256. 41 '
1, 329. 15 7& 177. 51 5, 216. 70
10, 133. 46 8, 510. 18 2, 757. 36
$10, 972. 13
1, 086. 08
5, 269. 26
28, 715. 17
3& 649. 39
34, 126. 61
29, 507. 95
630. 74
35, 124. 36 22& 252. 61
$623, 533. 84
RECEIPTS AND DISBURSEMENTS~ 1925
Miscellaneous receipts by organisation units and sources
LEGISLATIVE
SENATE Public funds:
Sales of Govern&ment property— Proceeds of* sale of Government property
HOVSE OF REPRESENTATIVES
$968. 90
Sales of Government property— Proceeds of sale of Government property
Gifts and contributions— Return of increase in salary by Members of Con-
gress, 69th Congress— Morton D. Hull Henry St. George Tucker
Total
$2& 500. 00 625. 00,
$980. 54,
3, 125. 00
4, 105. 54
LEGISLATIVE& MISCELLANEOCS
Gifts and contributions— Funds contributed for memorial to John Ericsson 1, 062. 50
ARCHITECT OF THE CAPITOL
Sales of Government property— Proceeds of sale of Government property 2, 244. 40
LIBRARY OII CONGRESS
Sales of Government property— Proceeds of sale of Government property Sale of card indexes, Library of Congress
Fees, fines, penalties, forfeitures, etc. — Copyright fees Unclaimed moneys, Copyright Office
Gifts and contributions— Gift of I»lizabeth Sprague Coolidge for auditorium,
Library of Congress Contributions to Library of Congress gift fund—
Elizabeth Sprague Coolidge endowment, in- come account
Frank. Damorosch, treasurer, Beethoven Asso- ciation
Assessments and reimbursements— Work done by Library of Congress
Total
1, 187. 56 139& 238. 21
166, 354. 00 ', ' 27. 17
~
80, 000. 00
7, 050. 00 I
1, 000. 00
140, 425. 77
166& 381. 17
88, 050. 00
2, 824. 53
397, 681. 47
GOVERNMENT PRINTING OFFICE
Sales of Government property— Proceeds of. -: sale of Government property Sale of public documents
Trust fund: Deferred deductions due civil-service retirement and
disability fund
Total
Total miscellaneous receipts under Legislative
EXECUTIVE OFFICE Public funds:
Sales of Government property— Proceeds of sale of Government property
Trust fund: Deferred deductions due civil-service retirement and dis-
ability fund
Total miscellaneous receipts under Executive Office
62& 112. 56 157& 446. 65
219, 559. 21
74. 62
219, 633. 83
17. 71
51. 13
$625, 696. 64
68. 84
12 RECEIPTS AND DISBURSEMENTS I 1925
Misceljaneous receipts by organization units and sources — Continued
INDEPENDENT OFFICES Pubbc funds:
ALIEN PROPERTY CUSTODIAN
Assessments snd reimbursements— Refund of transportation $14. 95 '
CIVIL SERVICE COMMISSION
Sales of Government property— Proceeds of sale of Government property 138. 92 '
FEDERAL BOARD FOR VOCATIONAL EDUCATION
Interest, premium, snd discount— Interest on public deposits
Sales of Government property— Proceeds of sale of Government property
Total
$47, 722. 89
25. 78
47, 748. 67 i
FEDERAL POWER COMMISSION
Fees, fines, penalties, forfeitures, etc. — Proceeds of licenses under Federal water
from Indian reservations— Fort Hall Indian Reservation, Idaho Lac Court Oreilles Indian Reserva-
tion, Minn Agua Caliente Reservation, Calif Paiute Indian Reservation, Nev Morongo Indian Reservation, Calif Shoshone and Arapahoe Indian Res-
ervation, Wyo Rincon, Calif. , Indian Reservation
Proceeds of licenses under Federal water power act from public lands snd na- tional forests—
Alabama Arizona Alaska California Colorado Idaho Minnesota Montana Nevada New Mexico North Carolina Oregon South Dakota Washington Wisconsin Wyoming
power sct
$36. 00
1, 200. 00 25. 00
2. 50 2. 00
125. 50 4. 15
105. 00 259. 48 90. 72
10, 595. 08 120. 48 242. 85
26. 40 64. 63
2. 60 10. 50 3. 10
95. 30 5, 00 2. 66 4. 86
54. 39
$1, 395. 15
Proceeds of licenses under Federal water power sct, '
improvements of navigable waters
Copying fees
Total
FEDERAL RESERVE BOARD
11, 683. 05, 116, 370. 28
129, 448. 48 42. 20 '
129, 490. 68
Sales of Government property— Proceeds of sale of Government property
Fees, fines, penalties, forfeitures, etc- Tsxes on account of deficiencies in reserve against
deposits Assessments snd reimbursements—
Assessments on Federal reserve banks for salaries and expenses, Federal Reserve Board
Refund on account of excess exchange charges
Total
1, 869, 374. 71 7, 489. 94
150. 00
10. 01
1, 876, 864. 65
1, 877, 024. 66
I~DEP & DE~ T O'FFICE~osmaed - „, l. . . - J. T~l — Ci =L QK.
X M+&s'il &~TZ Q)~PS R~-"~:-eTsI for Gc~--. ----- —,
GSlrlnlsl.
of G 'vT- — 'w Pxpeesb —: ale:: G- -. =-:=~I =. ==. ==-. —. 9 391 9+
Kp~p LI~ . ERCREBGIT s L. ew —. on hans
T ~ T
Oper =- Eleya
E'xinripsl o
e. ~=. ON 03
649
5. ="51. 464. 70
X~~rkls:: ITIr = T
Sdm of G: vernxneal:r: ===. , — e:: printed:: Pees. Sacs, pesatie:-. :: ==~. =-. . -. —
CeltlfTIng ~ . = = e Attamerls I:. ::
Aseessmerlt- =d ~ Gcmsersl Ikemabnrsealenl: r C--- ===---. ==-=.
Cl ~79 Q9 10. 00
11. 494. 10
7. 12~ K
1. 1-~. . 918 (&
1. 1M, M9. 16 I
e BTl i:-=
Mm pf Gc-— Prpeeed=-
=T
P
". '~. . ~. 99
6 '&~1 vj
I — ~~1 pxexnilixn, I
L
=- ed Co Tlf — - ~ — —-
G Wl
14 RECEIPTS AND DISBURSEMENTS, 1925
Miscellaneous receipts by organisation units and sources — Continued
INDEPENDENT OFFICES — Continued
Public funds — Continued.
STATE& WAR& AND NAVY DEPARTMENT BUILDINGS
Sales of Government property— Proceeds of sale of Government property
Assessments and reimbursements— Reimbursement for Government property lost Damages to Government property
$12. 75 4. 65
$22, 013. 96
17. 40
Total $22, 081. 86
U. S. SHIPPING BOARD
Interest, premium, and discount— Interest on moneys loaned from construction loan
fund Sales of Government property—
Proceeds of sale of Government property Revenue producing enterprises—
Funds deposited for construction loans under sec. 11, merchant marine act, 1920
Total
40, 067. 85
955. 00
2, 988, 853. 88
2, 979, 376. 73
U. S. VETERANS BUREAU
Sales of Government property— Proceeds of sale of Government property Sale of salvaged goods—
S. S. Hilonian S. S. Kansan
Rent of public buildings, grounds, etc. — Rent of Government property Rent of public buildings and grounds
Assessments and reimbursements— Payment for quarters, subsistence, and laundry
service Insurs, nce adjustments due I)&'sr Trade Board of the
United States, Russian Bureau (Inc. ) Reimbursement for Government property lost
584, 679. 54
1, 873. 31 5, 932. 89
30, 047. 95 6, 090. 48
134, 057. 9S
4, 883. 36 7. 15
542) 485. 74
36, 138. 43
1, 138, 948. 49 Miscellaneous-
Unenplained balances in cash accounts Trust funds:
Interest on investments of United States Government life insurance fund, act Dec. 24, 1919
Premiums on converted insurance
Total
88, 425, 905. 37 644 010 63
~
. 50
44, 069, 916. 00
45, 787, 489. 16
&&IISCELLANEOUS Public funds:
Assessments and reimbursements— Reimbursement of relief moneys furnished to Amer-
ican citizens in Europe Af iscellaneous-
Bribes to United States officers, War Trade Board
Total
Total miscellaneous receipts under Independent Offices
DEPARTMENT OF AGRICULTURE
3, 660. 60
584. 82
4, 245. 42
$57 499, 477. 74
Public funds: Interest, premium, and discount—
Interest on farmers' seed-grain loans Sale of Government property—
Proceeds of sale of Government property Surplus Ivsr material sold States for improvement of
public highIvays Sale of trespassing livestock
114& 415. 21
101, 374. 78 45. 00
2S, OOO. OO
215, 834. 99
RECEIPTS AND DISBURSEMENTS, 1925
Miscellaneous receipts by organization units and sources — Continued
15
DEPARTMENT OF AGRICULTURE — Continued
Publi c funds — Continued. Public domain receipts—
Forest-reserve fund Revenue-producing enterprises—
Center Market rentals, Washington, D. C Center Market storage and other charges, Washing-
ton, D. C Telegraph and telephone service Sales of agricultural products, territorial and insular
experiment stations
Rent of public buildings, grounds, etc. — Rent of Government property Rent of public buildings and grounds
Fees, fines, penalties, forfeitures, etc. — Fees under United States warehouse act Game licenses, District of Alaska
Gifts and contributions— Forest Service, cooperative fund
Assessments and reimbursements— Reimbursement for inspection of farm and food
products Reimbursement for Government property lost Work done by Departnshnt of Agriculture Collections in appeals under grain standards act Collections under cotton standards act Fumigation of cars and wagons on Mexican border Damages to Government property
Trust fund: Civil-service retirement deductions from cooperative em-
ployees
Total miscellaneous receipts under Department of Agriculture
DEPARTMENT OF COMMERCE
$136& 917. 49
112, 941. 17 9, 515. 49
5, 517. 64
15. 00 2& 495. 00
4& 478. 00 2, 905. 00
177& 864. 48 1, 458. 47 7, 474. 04
49, 790. 21 72, 295. 39 73, 961. 50
259. 16
$5, 101, 497. 95
264, 891. 79
2, 510. 00
7, 383. 00
2& 104& 219. 23
383, 103. 25
2, 309. 88
$8, 109, 750. 09
Public funds: Interest, premium, and discount—
Interest on debts due the United States by individuals Gain by exchange
Sales of Government property— Proceeds of sale of Government property—
Department of Commerce proper Sale of sealskins Sale of fox skins Sale of live foxes Sale of seal oil Sales of otter skins Sale of charts Sale of publications
Revenue-producing enterprises— Earnings from Department of Commerce radio
service Rent of public buildings, grounds, etc. —
Rent of public buildings and grounds Fees, fines, penalties, forfeitures, etc. —
Commerce collections Fees under China trade act Permits for fishing privileges Testing fees, Bureau of Standards Forfeitures by, contractors Fees on letters patent '
assessments and reimbursements— Reimbursement for Government property lost Damages to Government property Work done by Department of Commerce
Miscellaneous— Telegraph and telephone service Unexplained balances in cash accounts
f*ddftionsi fees from this source received under Department of the Interior, p. 17.
550. 45 3. 79
132, 188. 84 208, 157. 42 128, 045. 06
8, 160. 00 210. 36 969. 41
50, 962. 22 243. 00
314, 098. 50 300. 00
2& 635. 00 98, 583. 47
180. 80 755, 349. 21
727. 57 5, 875. 81 4, 245. 54
19. 32 . 01
554. 24,
528, 936. 31
15. 58
6, 595. 95
1, 171, 146. 98
10& 848. 92
19. 33
16 RECEIPTS AND DISBURSEMENTS& 1925
hfiscellaneous recei pts by organization un&its and sources — Continued
DEPARTMENT OF COMMERCE — Continued
Trust fund: Deferred deductions due civil-service retirement and
disability fund Total miscellaneous receipts under Department of '
Commerce
DEPARTllrIENT OF THE INTERIOR
$208. 75
$1, 718, 326 06
Public funds: Sales of Government property—
Proceeds of sale of Government property— Interior Department proper Public Land Service Indian Service
Sale of Alaskan reindeer Sale of session laws, Alaska Sale of publications, Geological Survey Sale of land, Bureau of Mines, Pittsburgh, Pa Sale of copies of official papers Sale of hides Sale of meals, Department of the Interior Indian school improvements, act Apr. 21, 1904—
Sale of school buildings— Flathead Agency Stockbridge dsy school No. 2 Round Valley Agency Spokane Agency . Tongue River Agency Fort Peck Agency
Sales to Indians
Public domain receipts— Sale of public lands (for details see p. 9) Depredations on public lands Royalties on coal leases in Alaska Potash deposit royalties and rentals Deposits by individuals for expenses of surveying
public lands Coos Bay wagon-rosd grant fund Oregon and California land-grant fund Receipts under mineral leasing act of Feb. 25, 1920
$5, 793. 70 5, 411. 53
16, 192. 42
55. 00 800. 00 405. 00
15. 52 100. 00 100. 00
S27, 397. 65 I
38. 75 I
90. 00 &
41, 557. 59 1, 910. 84
171. 20 i 34. 62,
440. 45
1& 475. 52 90, 715. 01
623, 533. 84 1, 565. 76', 3 076' 17 5, 216. 52:
29, 158. 65 207, 444. 32 664, 833. 14
9, 189, 397. 07
163, 831. 63
Alabama California Colorado LOUlsiano Montana Nevada New Mexico North Dakota South Dakota. Utah Washington Wpomtng
Future production
3920. 00 993, 398. 78 71, 058. 76
1, 011. 95 159, 568. 75
720. 00 3, 474. 26 7, 178. 34
168. 15 26, 668. 79 3, 065. 49
7, 943 983. 78
9, 211& 217. 05 Less adjustment on past productions in
California 21, 819. 98
9, 189, 397. 07
Receipts under mineral leasing act from naval petroleum reserve lands, act Feb. 25, 1920—
California North Dsl-ota
National park revenues- Crster Lake National Park General Grant National Park Glacier National Park Grand Canyon National Park Hatvsii National Park Hot Springs National Park Lassen Volcanic National Park bless Verde National Park blount &llcExinley National Park Xlourrt Ranier tv&stional Park Plait National Park Rocky tlountain National Park
1, 780. 82 982. 25
40, 218. 09 3, 195. 54
15, 715. 19 12 550 16
1, 295. 00 44& 742. 70
170. 56 3, 613. 60
68. 93 51, 298. 56
60. 50 823. 41
2, 763. 07
RKCKfPXS mm n~~SKMZZTS, 19%
yryssjrohos '. . s '1=. . and mmrree — Contin
DKPkRTMKX(T OF THE IXTEBIOB — Contin. . e-.
Pakhc feasts — Continued Pubbe domain receipts — Continued
Xational park tevenm — Continued. Sequoia Xstional Park %md Cave Xational Park TeBonstone Xstionsl Park Tosemite Xational Park Zior. Xational Park
Monument revenue= ~ 3lountalQ ((ationsl M» L((n Colorado Xational Xf onument Petxt6ed Fe~. Xstional monument
4. 1
31~
~!. ~ lo 61~ 00 665. (''3
464. , 9
'+49 77
ale of ct '-'='. i- R~vs e 8 of thecitv "%s»»- -'-g; = 6 . s. . 691 and '~1:-. s1. ='.
me of;: —::=-. K~=s M. e of tave:i:. 2: . ~p~ Beservs Ptoeeeds of la==»: AginaHv pure~ '-. ('-e I uited
States for se": ~ (1 farm D~ Proceeds e: ( ~i Mes. Beehunstton e~ re Rental c: m-=''=: p-. 63e de~(. '- e — -"e-=-=:v
aBotte(d tc s« Indian ale of Fort Es' -. ~. e-(s L~ w='ee
6 f(gp
18l —. r,
1. 09' 74
Re:1 of public l:(. ((~1-p. grc'-- ==. etc= Re= ~ -= p=blie b-~~gs and g=:. ===
L!ierier. e v !
hlQQK
«. o0' 50
~ 910. o
Fees Snes. penalties~ I 1:ei. ~. «e. — Copvmg! fees. G«e~ La 6 016ee Caprine fee=-I I=. =':r Deps~ Poser -e~. . Ge=e~ =-- = (~re T~ Ie( . 8:es' I (I:: RBghters! snd reeerver: see: Md i!(»~e F~:: letters patent H~ind fees. Alaska
C: vi:g iee: I
L-ice ~~d» s~d F:«'~'(we bv ~ ~ "'::= L F. «'1 ~ u'v e::~e. ::= H~itai fee: I:!~ ~~re Pr::::: e' Fe . s ' gs' . : and ~s. »
I=s"-. (L-:z= ~r~==
14 cg~ 99 661. 66 21&. IN
16 304. 08 180. 91
61K m
lk
, 4(u 1I %. 9 (r~
11 691. 21
&] & ((I, 93
99
(=:. =- and eontribuao~ =— Donstions to-
Mesa Verde Xsu m Park ~s~" Park ~ '. = 00 '5'. 00
Repayments af mve»tmente- Return of advance= made to -(»e reehsnstion ~- i.
-4~~~~«: = snd 'Kz ew'-g ~, so s»d --;-se»
m1
%ork done m % ork done bv the Deps . . e: . . : . ':e L. er'— %ork done o —. t=e L~ ((=. =e
C-==. . 1
Cron pro. -'~
F M Pmk:= . '- -.
Aodoe =- . —;- ~( (~«
P
Costa eoQerted Bere. ewste=-:: ~~~~= L~ 'a(t(t(ns(al s((s ceBected ~ ~~ saone on(t(s ~~=~. :r -: — ~~ —. i 1s
o«!I (
Kp! I
111 10
39
SoII 1. 02 6. 00
Q, g ~3
18 RECEIPTS AND DISBURSEMENTS~ 1925
Miscellaneous receipts by organization units and sources — Continued
DEPARTMENT OF THE INTERIOR — Continued
Public funds — Continued. Assessments and reimbursements — Continued.
Stolen property (Indian Service) Refund of transportation (Indian Service) Refund of transportation charges on supplies
(Indian Service) Reimbursement for expenditures made from Indian
School Support, 1925 Reimbursement for expenditures made from sup-
port and civilization of Indians (Arizona), 1925
Less adjustments on "Refund on account of inferior product furnished"
Damages to Government property— Interior, civil Indian Service
Reimbursement for Government property lost— Interior, civil Indian Service
Reimbursement to United States on account of ap- ~
propriations made for Indian tribes, as follows— Cascade Band Indians, Yakima, Reservation,
Wash. — Reimbursement of award to attorneys for
certain minor allottees (reimbursable) Colville Indians of Washington—
Water rights, etc. , for Indian allottees, Okanogan County, Wash. , 1917 (reim- bursable)
Maintenance and operation charges, al- lotted lands, Okanogan County, Wash. , 1923 (reimbursable)
Navajo and Hopi Indians, Arizona— Sale of property purchased from water sup-
ply, Navajo and Hopi Indians, Arizona (reimbursable), 1918
Winnebago Indians, Nebraska— Drainage assessments, Omaha and Winne-
bago allotments, 1916 — 17 (reimbursable)
M iscellaneous- Unclaimed funds of patients, Freedmen's Hospital Unclaimed funds of patients, St. Elizabeths Hospital Telegraph and telephone service Unexplained balances in cash accounts (Interior,
civil) Unexplained balances in cash accounts (Indian
Service)
Trust funds: Interest and profits on investments, civil-service retire-
ment and disability fund— Interest Profits
Service credit payments to civil-service retirement and disability fund
Deferred deductions due civil-service retirement and dis- ability fund (Interior, civil)
Civil-service retirement deductions from cooperative employees, Bureau of Mines
Deferred deductions due civil-service retirement and disa- bility fund (Indian Service)
Civil-service retirement deductions from Indian tribal funds
Civil-service retirement deductions from Indian r'eim- bursable appropriations
Outstanding liabilities, lands Personal funds of patients, St. Elizabeths Hospital Pension money, St. Elizabeths Hospital
$65. 32 164. 27
1, 121. 86
22. 85
900. 00
70, 385. 49
359. 80
238. 27 32. 54
1. 37 144. 92
61. 42
156. 73
25. 93
200. 00
693. 64
1. 04
1. 81
1, 860, 548. 01 169, 453. 12
59, 519. 70
398. 80
126. 66
180. 92
13, 140. 99
6, 514. 51
10, 006. 32 200, 554. 41
68, 032. 06 160. 47
$70, 025. 69
270. 81
146. 29
1, 137. 72
7. 33 1, 393. 24
165. 76
2. 85
2, 109, 882. 71
278, 753. 26
$102, 856. 24
1, 569. 18
RECEIPTS AND DISBURSEMENTS, 1925
Miscellaneous receipts by organization units and sources — Continued
19
DEPARTMENT OF THE INTERIOR — Continued
Trust funds — Continued. Indian moneys, proceeds of labor Ofi snd gas leases, etc. , Osage Reservation, Okla Interest deposited in banks on-
Chickassw moneys $3, Choctaw moneys 34,
433. 72 603. 48
Proceeds of lands of deceased Osage Indians Proceeds of sale of Indian lands, etc Proceeds of oil and gas leases, Wind River Reservation,
W yo Proceeds of sale of lumber, etc. , Menominee Reservation
Sale of farm products (National Training School for Boys, Washington, D. C. )
Sale of skins (Alaska) Sale of beaver skins (Alaska)
Fees, fines, penalties, forfeitures, etc. — Judicial fees and costs Judicial emolument fees Judicial fines, penalties, and forfeitures Attorneys' fees Collections under enforcement of National Prohibi-
tion Act (Judicial) s
Money seized by Bureau of Investigation, Depart-, ment of Justice
Funds other than license fees available for court ex- penses, District of Alaska
' Alaska fund
Assessments snd reimbursements— Reimbursement for printing record Work done by the Department of Justice Reimbursement for Government property lost Damages to Government property
Total miscellaneous receipts, including "Sales of public lands" under Department 'of the Interior
DEPARTMENT OF JUSTICE Public funds:
Interest, premium, and discount— Interest on public deposits
Sales of Government property— Proceeds of sale of Government property—
Department of Justice Judicial
'$30, 670, 134. 64 (')
38, 037. 20 43, 524. 62
651, 379. 73
15, 179. 30 727, 643. 21
196, 90 4, 680. 94
$32, 145, 898. 70
4, 877. 84
65. 49 1, 550. 75 3, 185. 46
188, 230. 55 1, 269, 037. 19 1, 879, 868. 19
289. 50
5, 312, 338. 38
898. 35
10, 010. 00 196, 293. 36
1, 360. 07 87. 18 37. 58
2, 483. 15
$34, 584, 534. 67
1, 2]5. 15
9, 679. 54
8, 356, 965. 52
3, 967. 98
$50, 224, 465. 95
Miscellaneous— Unclaimed moneys remaining in registry of courts
five years or longer Unclaimed wages of seamen remaining in registry of, i
courts more than six years Telegraph and telephone service Unexplained balances in cash accounts Excess cash, miscellaneous sources Bribes to United States officers
Trust fund: Deferred deductions due civil-service retirement and dis-
ttbility fund
70, 043. 71
53, 402. 27 32. 58
1. 66 1. 00
53. 00 123, 534. 22
969. 52
a, , which was appropnated to the credit of pr uly 1, 1925.
oceeds of oil and gas less
follows:
Total miscellaneous receipts under Department of Justice including Judicial
' includes $11, 801, 544. 76 from "Oil and gas leases, etc. , Osage Reservation, Okl Reservation. Okla. ,
" trust fund, per decision of the Comptroller General, dated 7 ' See note 6. ' Additional collections from this source amounting to $462, 062. 80 were made as Under internal revenue, p. 8 Under miscellaneous receipts, Treasury, p. 24
8, 496, 331. 93 es, royalties, etc. , Osage
$414, 728. 29 47, 334. 51
20 RECEIPTS AND DISBURSEMENTS, 1925
Miscellaneous receipts by organization units and sources — Continued
DEPARTMENT OF LABOR Public funds:
Interest, premium, and discount— Interest on public deposits
Interest on debts due United States by individuals $1, 619. 05
541. 78 $2, 160. 83
Sales of Government property— Proceeds of sale of Government property
Rent of public buildings, grounds, etc. — Rental of Charleston immigrant station
Fees, fines, penalties, forfeitures, etc. — Naturalization fees Labor collections Forfeitures, bonds of aliens Immigration permits Passage moneys collected from steamship
panies for return of deported aliens Immigrant fund—
Head tax Exclusive privileges Immigration fines, penalties, forfeitures,
com-
etc
$3, 197, 265. 07 1, 063. 25 9, 600. 00
993, 783. 50 584, 118. 92 118, 463. 78 96, 639. 12,
43, 566. 62
3, 207, 928. 32
2, 261. 23
900. 00 '
5, 044, 500. 26 I
Assessments and reimbursements— Charges for care, treatment, etc. , of aliens in Ellis '
Island Hospital Reimbursement for Government property lost Damages to Government property
Miscellaneous— Telegraph and telephone service Excess cash, miscellaneous sources
161, 880. 00 35. 82
1. 20
277. 30 8. 11
161, 917. 02
285. 41
Total miscellaneous receipts under Department of Labor
$5I 212, 024. 75
NAVY DEPARTMENT Public funds:
Interest, premium, and discount— Interest on public deposits Interest on debts due United States by individuals Interest on advance payments to contractors Pay, miscellaneous, Navy (gain by exchange) Interest on daily balances, Navy
Sales of Government property— Proceeds of sale of Government property Sale of war supplies Sale of charts, Hydrographic Office
Revenue producing enterprises— Earnings from Navy radio service Profits from sale of ships' stores, Navy
Rent of public buildings, grounds, etc. — Rent of Government property Rent of public buildings and grounds
Fees, fines, penalties, forfeitures, etc. — Navy fines and forfeitures Naval hospital fund Purchase of discharges, Navy and Marine Corps Forfeitures by contractors
Gifts and contributions- iVIoneys received from persons unknown
Assessments and disbursements— Work done by Navy Department Rebate for return of empty barrels and bags Car demurrage Overhead charges on sales of services or supplies Transportation charges, car mileage Reimbursement by lottery water district, Ports-
mouth Navy Yard Reimbursemerit by Naval Academy dairy, Annapolis,
Md Refund, overpayment on oil tankers Reimbursement for Government property lost Damages to Government property
661. 28 490. 97
61, 551. 10 99, 391. 60
3, 759. 82
2, 217, 243. 33 1, 594, 944. 27
24, 100. 53
250, 000. 00 577, 498. 09
129, 143. 62 82, 795. 82
1, 419, 046. 77 816, 342. 57
2, 078. 68 1, 571. 77
218, 537. 92 9, 850. 35
2. 00 61, 987. 15
625. 04
26, 393. 68
100, 000. 00 7, 646. 09
51, 946. 90 7, 855. 28
165, 854. 77 I
3, 836, 288 13 i,
827, 498. 09 '
211, 989 44 I
2, 239, 039. 79
129. 40 '
844, 844, 41
RECEIPTS AND DISBURSEMENTS, 1925
Miscellaneous receipts by organization units and sources — Continue&i
NAVY DEPARTMENT — Continued
Public funds — Continued. Miscellaneous—
Clothing and small stores fund Mess fund of Navy field hospital, disbanded, Domin-
ican Republic Telephone service Broken mess gear Unexplained balances in cash accounts
Trust funds: Pay of the Navy, deposit fund Pay of the Marine Corps, deposit fund Navy pension fund, principal
Total miscellaneous receipts under Navy Department
DEPARTMENT OF STATE Public funds.
Interest, premium, and discount— Interest on public deposits Interest on debts due United States by individuals Gain by exchange
Sales of Government property —.
Proceeds of sale of Government property— Department of State Foreign intercourse
Fees, fines, penalties, forfeitures, etc. — Consular fees Consular court fees Passport fees Copying fees, Department of State Fines, penalties, and forfeitures (diplomatic)
Gifts and contributions— Funds contributed as quotas to Pan American Union
Assessments and reimbursements— Reimbursement of relief moneys furnished American
citizens in Mexico Reimbursement of relief moneys furnished American
citizens and their relatives, Smyrna victims Reimbursement of relief moneys furnished American
citizens and prisoners of war in Germany Reimbursement by Persian Government for expenses
of U. S. S. Trenton in returning to the United States body of Robert W. Imbrie, United States vice consul
Costs in extradition cases German Government's moiety, expenses, Mixed
Claims Commission
Miscellaneous— Unexplained balances in cash accounts
Trust funds: Estates of decedents Service credits, Foreign Service retirement and disability
fund Interest on investments, Foreign Service retirement and
disability fund
Proceeds sale of American schooner Sarah E. Turner Katherine Gillespie Imbrie, indemnity paid by Persian
Government for benefit of widow of Vice Consul Rob- ert W. Imbrie
Wages due— J. Arboleda, seaman, S. S. Cliffwood L Delamore, seaman, S. S. Cliffwood George d'Silva, insane seaman Arthur E. Genereauz, seaman, S. S. Lake Armoc Alainday McGee (McGie), seaman, S. S. Lake
Monro e Edwin Nixon, seaman, American steam yacht
Rambler A. Palad, American seaman, S. S. Dryden S. B. Stanford, seaman, S. S. Cliffwood
$1, 727. 29
2, 207. 83
5. 00 5. 00
367. 11 6. 00
12. 50
5. 50 79. 61
5. 00
$8, 192, 201. 63 I
685. 76 854. 42
28, 097. 36 1, 519. 77
77, 812. 16, 403, 813. 00
6, 746. 72,
4, 154. 13 1, 294. 68
15, 316. 87
847. 20 10, 086. 69
6, 053, 036. 46 416. 34
1, 394, 802. 73 123. 61
1, 740. 41
147. 56
100. 94
1, 212. 79
110, 000. 00 4, 578. 06
8, 270. 18
1, 347. 30
3, 935. 12 3. 27
60, 000. 00
485. 72
$8, 223, 358. 94
488, 371. 88
20, 765. 68
10, 933. 89
7, 450, 119. 55
92, 551. 74
124, 309. 53
105. 94
$16, 477, 324. 85
22 RECEIPTS AND DISBURSEMENTS, 1925
Miscellaneous receipts by organisation units and sources — Continued
DEPARTMENT OF STATE — Continued
Trust funds — Continued. Claim of-
Clara L. Byers against the Chinese Government ss indemnity for the murder of her husband, George D. Byers
Armenag Fenerdjian and or Theodore Photiades as their interest may appear
Heirs or assigns of John Celestin Landrcau Morse and Rogers against Poland Melvin Seymour against the Persian Government
Total miscellaneous receipts under Department of State
$10, 862. 10, '
568. 01 !
91, 877. 60 6, 239. 16
83. 67 $109, 630. 54
$175, 401. 95
$7, 874, 188. 28
Finland Hungary (bonds, etc. , received
as interest payments) Hungary
Lithuania Poland
$14, 905. 69 14, 760. 64
Interest on temporary investments pending execu- tion of agreement on payment by German Gov- ernment under terms of armistice
Interest on farm-loan bonds Interest on loans to farmers in drought-stricken
areas Principal and interest on bonds of Louisiana held
by the United States Interest repaid to the Government by Central
Branch, Union Pacific Railroad Interest on public deposits Interest on deferred collections Interest on debts due the United States by in-
dividuals (internal revenue) Difference between redemption value and sale price
of wsr-savings stamps Interest on deferred payment, sale of portion of
marine hospital reservation, Cleveland, Ohio Interest on tleferred payments for Industrial
Christian Home, Salt Lal-e City, Utah ' To be applied as advance payment by Belgium on 81, 000, 000 principal install
TREASURY DEPARTMENT Public funds:
Interest, premium, and discount— Interest on the obligations of foreign governments
held by the United States on account of- Loans (acts Apr. 24, 1917, and Sept. 24, 1917,
as amended snd extended)— Belgium ' $729, 096. 55
~~
Russia 6, 825. 60; Sales of surplus war supplies (act July 9, 1918) — '
Belgium $1, 376, 730. 50 France 20, 367, 057. 25 Lithuania 1, 138. 99 i
Poland 5, 025. 99 Nicaragua 5, 378. 75
Relief — American Relief Administration (act ~
Feb. 25, 1919)— Lithuania
Interest on funded obligations of foreign governments held by the United States under refunding agree- ment, acts Feb. 9, 1922, Feb. 28, 1923, Mar. 12, 1924, May 23, 1924, and Dec. 22, 1924, on account of-
Great Britain (bonds, etc. , re- ceived as interest payments) $135, 970, 500. 00
Great Britain 994, 500. 00
735, 922. 15
217 755, 331. 48
407. 98
136, 965& 000. 00 267, 975. 00
29, 666. 33 135, 675. 00 500, 000. 00
ment dua June 15, 1925
22, 491, 661. 61
137, 898, 316. 33,
272, 005. 90 4, 443, 624. 56
195. 43
84. 88 i
21, 188. 78 i,
4, 446, 223. 03, 635, 15 ',
326. 18
42. 86,
33, 688. 54 ',
131. 25 i
under refunding agreement of Aug 18, 1025
RECEIPTS AND DISBURSEMENTS, 1925
Kisccffrtrtcctts receipts by orgsrtizafiort units rtnd sources — Continued
TREASURY DEPARTMENT — Continued
PuMic funds — Continued. Interest, premium, and discount — Continued.
Interest on deferred payment, sale of Bethlehem post-once site
Gain by exchange on payment by German Govern- ment under terms of armistice
Sales of Government property— Proceeds of sale of Government property—
Coast Guard Customs Service Engraving and Printing Internal Revenue Service Mint establishment Public buildings Public Health Service Bureau of Supply Treasury Department proper War loan organization
Sale of post-office site, Bethlehem, Pa Sale of part of post-office site 4tt Marblehead, Mass Sale of a portion of marine hospital reservation,
Cleveland, Ohio Sale of Industrial Christian Home, Salt Lake City,
Utah, part payment
Sales of articles fabricated in occupational therapy, Public Health Service
Sale of rations, Public Health Service Sale of property seized by the Secret Service Sale of appraisers stores property, Providence, R. I Surplus received from sale of unclaimed merchandise Auction sales of office material, etc. , General Supply
Committee Sale of office material, etc. (General Supply Com-
mittee)
$2, 814. 33 14, 803. 51 76, 658. 33 10, 901. 19
217, 613. 79 27, 288. 84 19, 308. 19 66, 182. 71 43, 729. 49 46, 591. 08
5, ooo. on 1, 300. 00
594& 025. 00
250. 00
$200. 00
404, 917. 64
525, 891. 46
600, 575. 00
628. 06 18, 985. 71
40. 00 9, 525. 00
459. 67
24, 564, 94
16, 527. 50
$170, 013, 242. 14
Sales were made to departments snd independent offices ss follows:
Library of Congress Independent offtces-
Alien Property Custodian American Battle Monuments Commission Civil Service Commission Employees' Compensation Commission Federal Board for Vocational Education Federal Power Commission Federal Trade t'ommhaion Qeneral Accounting Office Interstate Commerce Commission National Advisory Committee for Aero-
nautics RaQroad administration and transportation
act Smithsonian Institution State, War, and Navy Department Buildings U. S. Shipping Board U. S. Tariff Commission U. S. Veterans' Bureau
Department of Agriculture Department of Commerce . . Department of the Interior Department of Justice Department of Labor Navy Department Post Office Department Department of State Treasury Department '
War Department Panama Canal District of Columbia
lstt 99 15. 00 23. 47 21. 75 3. 21
18. 00 18. 75 66. 30
134. 97
44. 47
22. 50 8. 10 2. 20
58. 13 32. 23
845. 51 I, 898. 30 1, 419. 59 1, 526. 64
859. 64 125. 33 199. 86 148. 77
2, 542. 72 2, 668. 45 2, 092. 07
465. 00 I, 078. 05
Franchise tax receipts— Federal reserve bank franchise tax Federal intermediate credit banks franchise tax
Proots on coinage, bullion deposits, etc. — Seigniorage on standard silver dollars Seigniorage, subsidiary silver coinage Seigniorage, minor coinage Surplus bullion recovered Special assays of bullion and ores Deductions on lightweight coin purchased for re-
coinag
73270 — 26 — 3
113, 646. 58 528, 313. 30
4, 142, 765. 86 2, 897, 779. 9? 1, 101, 046. 10
89, 025. 24 3, 454. 10
200. 91
1, 197, 197. 34
641, 959. 88
24 RECEIPTS AND. DISBVRSEMEXTS& 1925
MisceUaneous recei pts bff organization units and sources — Continued
TREASURY DEPARTMENT — Continued
Public funds — Continued. Profits on coinage, bullion deposits, etc. — Continued.
Deductions on bullion deposits Sale of medals
Revenue-producing enterprises— Earnings from Coast Guard radio service United States telegraph and telephone service
(Coast Guard)
Rent of public builchngs, grounds, etc. — Ground rents, San Juan, P. R Rent of public buildings and grounds Rent of Government property
Fees, fines, penalties, forfeitures, etc. — Tax on circulation of national banks Fines for violation of national-bank laws Services of officers, fines, etc. (Customs Service) Collections under enforcement of national prohibi-
tion act " Forfeitures of bonds for violation of national prohi-
bition act Fines, penalties and forfeitures (Coast Guard) Forfeitures, bonds of lepers (Public Health Service)
Gifts and contributions— Contributions by New York Liberty loan associations Funds contributed for veterans' hospital, Jefferson
Barracks, Mo Donations to the United States Moneys received from persons unknown
Repayments of investments— Principal payments on obligations of foreign govern-
ments held by the United States on account of- Loans (acts Apr. 24, 1917, and Sept. 24, 1917, as
amended and extended)— France $4, 660. 51 Italy 127, 852. 20
Sales of surplus war supplies (act July 9, 1918)— Nicaragua
Principal payments on funded obligations of foreign governments held by the United States under re- funding agreement, Acts of Feb. 9, 1922, Feb. 28, 1923, Mar. 12, 1924, May 23, 1924, and Dec. 22, 1924, on account of-
Great Britain (bonds, etc. , re- ceived as principal pay- ments) $22, 823, 000. 00
Great Britain 177, 000. 00
Finland Hungary Lithuania
Liquidation of capital stocl- of Federal land banks Sale of farm loan bonds
Assessments and reimbursements— Assessments upon national banks for expenses of
examinations Assessments on Federal intermediate credit banks for
expenses of additional personnel, Federal Farm Loan Board, under section 206a, agricultural credits act of 1923
Assessments on Federal and joint-stock land banks for salaries and expenses Federal Farm Loan Board under section 302, agricultural credits act of 1923
Assessment by Federal Farm Loan Board for salaries and expenses, reviewing appraisers
$132& 512. 71
30, 513. 86
23, 000, 000. 00 45, 000. 00 9, 672. 50
30, 000. 00
27, 000. 00
348, 788. 31
14, 870. 85
$474, 705. 85 6, 172. 79
14. 12
749. 69
662. 88 88, 596. 59
354. 62
4, 061, 574. 78 100. 00
1, 275, 826. 61
47, 334. 51
3, 513. 75 200. 00 407. 17
150, 000. 00
12, 500. 00 98&. 99
5, 550. 21
163, 026. 57
23, 084, 672. 50 472, 455. 00
13, 000, 000. 00
2, 436, 831. 34
390, 659. 16
$8, 715, 150. 82
763. 81
89, 614. 09
5& 388, 956. 82
169, 039. 20
36, 720, 154. 07
& ~ Additional coDections from this source amounting to 66, 727, 066. 67 were made l. 'nder internal revenue receipts, p. S. Voder miscellaneous receipts, Judicial, p. 19
as follows: $414& 7git +
usta stats
RECEIPTS AND DISBUBSEMQNTSp ]925
frfiscellaneons receipts by organization units and sources — Continued
25
TREASURY DEPARTMENT — Continued
Public funds — Continued. Assessments and reimbursements — Continued.
Reimbursement to the United States from deposits of national banking associations on account of—
Offfce of the Treasurer of the United States— Salaries Contingent expenses Increase of compensation, Treasury De-
. partment
Office of Comptroller of the Currency— Salaries Contingent expenses Increase of compensation, Treasury De-
partment
Reimbursement to the United States by internal- revenue stamp contractor
Money recovered in narcotic and prohibition cases Money recovered on account of fraudulent claims Reimbursement for short shipment of goods Reimbursement for supervising the denaturing of
alcohol Refund on gas bill Refund, overpayment telephone service Refund of transportation charges on supplies
Refund of transportation, Internal Revenue Service Refund of telephone service connection charges for
service established Apr. 27, 1922 (Internal Revenue)
Care and treatment of foreign seamen and other pay patients, Public Health Service
Charges for care, treatment, etc. of aliens in Ellis Island hospital, Public Health kervice
Fumigation and disinfection of vessels, Public Health Service
Payment for laundry (Public Health Service) Claim of H. C. Jorgenson, Public Health Service
Expense of international service of ice observations and patrol—
Belgium Canada Denmark France Great Britain Italy Netherlands Norway Sweden
Reimbursement for Government property lost Damages to Government property
Miscellaneous— Sale of effects of deserters, Coast Guard Service Bribes to United States officers Proceeds of securities held in the Treasury since
1918 whose ownership it has not been possible to establish
Proceeds of securities held in the Treas'ury since 1923 whose ownership it has not been possible to estab- lis 'h
Telegraph and telephone service Unexplained balances in cash accounts Excess cash, miscellaneous sources
Trust ands: ivil-service retirement deductions from salaries payable by Porto Rican treasury
Civil-service retirement deductions from salaries payable from revenues of Virgin Islands
Civil-service retirement deductions from salaries of em- ployees, insolvent banks division, Office of Comptroller of the Currency
$367, 468. 20 75, 880. 38
73, 572. 23
58, 832. 98 133, 804. 67
12, 239. 06
1. 95 10. 50 6. 18
363. 14
3. 50
66, 931. 48
107, 194. 23
633, 703. 75 75. 00 20. 85
16, 591. 56 3, 831, 68 3, 831. 68 4, 902. 78
57, 475. 13 7, 663. 35 7, 663. 35 5, 747. 51 3, 831. 68
3, 190. 60
3, 031. 25
$516, 920. 81
204, 876. 71
1, 858. 33 5, 754. 20
119. 65 12. 54
141. 41
18. 63
366. 64
807, 925. 31
111, 538. 72 1, 069. 10 1, 204. 56
269. 61 33, 245. 00
6, 221. 85 109. 17 95. 10
337. 73
3, 132. 00
246. 00
362. 06
$4, 479, 297. 11
40, 278. 46
26 BECEIPTS:AND DISBVRSEMENTS~ 1925 ~
. Miscellaneous receipts by organization units and sources — Continued
TREASURY DEPARTMENT — Continued
Trust funds — Continued. Civil-service retirement deductions from salaries of em-
ployees, Federal reserve issue and redemption division, Office of Comptroller of the Currency
Civil-service retirement deductions from cooperative em- ployees, Secret Service Division
Deferred deductions due civil-service retirement and dis- ability fund
Total miscellaneous receipts under Treasury Depart- ment
$40. 87
82. 80
6, 268. 94 $10, 132. 67
$227, 465, 786, 41
Sales of Government property— Proceeds of sale of Government
Corps of Engineers Medical Department Ordnance Department Quartermaster Corps Air Service Signal Corps War, miscellaneous
property—
Sale of ordnance material (War) Sale of articles fabricated by patients in occupational
therapy Sale of timber Sale of property, Philippine Government Sale of land, San Juan, Porto Rico Sale of wreck steamer St. Charles Sale of wreck Isonzo and cargo Sale of war supplies
Revenue-producing enterprises— Receipts of United States telegraph lines Earnings of United States Army tank lines Earnings by United States transports Laundry and dry-cleaning operations
Rent of public buildings, grounds, etc. — Rent of public buildings snd grounds Rent of Government property
Fees, fines, penalties, forfeitures, etc. — Fines, penalties, and forfeitures Fines for violating regulations Permits for cutting ice Forfeitures by contractors
Gifts and contributions— Moneys received from persons unknown Advance of funds under sct of Msr. 8, 1925, for
improvement of Fox River, Wis Funds contributed for improvement of-
Gslveston channel, Texas — seawall extension Sabine-Neches waterway, Texas Flood control, Mississippi River Wsterwav from Mississippi River to Sabine
River, Ls Mississippi River, Yszoo, Miss. , Delta Levee
district, Mississippi Missouri River st Kansas City Mo Flood control, Sacramento River Calif Crescent City harbor, Calif Entrance to Coquille River Oreg
WAR DEPARTMENT Public funds:
Interest, premium, and discount— Interest on advance payments to contractors, de-
ficiency act Oct. 6, 1917, sec. 5 Interest on public deposits Interest on debts due the United States by indi-
viduals Interest on claim against Oglesby Construction Co Dividends on capital stock of the Panama Railroad
owned by the United States Gain by exchange
$11, 876. 97 625. 67
436, 538. 38 1, 213, 385. 80
10, 988. 42 22, 809. 76
4, 767. 29
245, 000. 00 175, 000. 00
2, 527, 235. 06
50, 000. 00
165, 000. 00 12, 000. 00
500, 000. 00 45, 000. 00
7, 000. 00
59, 031. 19 320. 22
265. 46 1, 940. 15
350, 000. 00 24. 85
1, 700, 492. 28 122, 571. 09
3, 772. 47 50. 00
3, 580. 00 6, 000. 00
360. 00 36, 655. 00
14, 883, 872. 83
229, 031. 28 2, 977. 48 1, 367. 84
1, 448, 840. 51
978, 367. 68 5, 652. 13
272. 65 268. 06 354. 60
13, 566. 88
15. 50
45, 000. 00
411, 581. 87
16, 757, 368. 67
1, 677, 217. 06
979, 019. 76
14, 457. 14
RECEIPTS AED DISBURSEMENTS, 1925
3fiscellancous rccripts by organization units and sources — Continued
WAR DEPARTMENT — Continued
Public funds — Continued. Gifts and contributions — Continued.
Funds contributed for improvement of — Continued. Yaquina Bay, Oreg Umpqua River, Oreg Nome Harbor, Alaska
Funds contributed for improvement of roads, bridges, and related works, Alaska
Assessments and reimbursements— Funds received from Chicago, Rock Island & Paci6c
Ry. Co. for repairs of Rock Island bridge, Rock Island, Ill
Overhead charges on sales of services or supplies Reimbursement for auditing accounts of American
Red Cross Payment by German Government under terms of
armistice; Paris agreement of Jan. 14, 1925 Refund of allowances under War Department Con-
tract No. 120072954, Accessories Manufacturing Co. , Chicago, Ill
Reimbursement for Government property lost Damages to Government property Work done by War Department Settlement of claim against-
The Airey Packing Co American Sewer Pipe Co Atlantic Canning Co Geo. L. Barron Geo. A. Bounds & Co. and Jos. L. Nelson & Co Breymann Brothers Bridgeport Brass Co Brooks-Scanlon Lumber Co Brown Co Cleveland Brass and Copper Mills, Cleveland,
Ohio Coastwise Petroleum Co Globe Shoe Co. , Haverhill, Mass The Hayes-Ionia Co Haddock Fuel Corporation Hubbard & Eagleston Geo. E. Hyde & Co The John Illingworth Steel Co Kankakee & Urbana Traction Co Charles M. Lowrie Lyon Lumber Co McDougal Co Mesta Machine Co W. H. Morton Maryland Casualty Co. and Benj. F. Wallace
Co. (Inc. ) New Jersey Tube Co. , for failure to carry out
contract to manufacture copper driving bands for War Department
Weston Patterson Petroleum Transport Co Rogers Lighterage Co. and the Lee Lighterage
C 0 Standard Tent & Awning Co Niel C. Stevens D. C. Vactor Co Walden-Worcester (Inc. ) Sylvester H. Warren Roland Webster Joseph Weiser
Miscellaneous— Telephone service Unexplained balances in cash accounts Impounding animals Excess cash, miscellaneous sources
$25, 000. 00 30, 000. 00
2, 500. 00
140. 00 99. 29 50. 00 11. 47 60. 00, '
10& 000. 00 105, 000. 00
25. 49 100. 00
42& 900. 11 '
243. 91 897. 41
7, 062. 88 350. 00
19. 18 937. 50 316. 68 100. 00 14. 45 20 221 23. 75
1 165, 000. 00, 119. 40 ,
'
100. 00
115, 000. 00 50. 00
1& 318. 20
50. 00 358. 56
70. 00 413. 14 800. 00 60. 00
i
150. 00 I
$3, 783, 735. 06
79, 078. 45
76, 968. 18 337, 456. 22
9, 208. 34
14, 725, 154 40
289. 38 35. 02
228, 846. 17 19, 227. 95
451, 940. 40
4, 127. 07 2. 07 6. 66
141. 81
$3, 907, 829. 01
15, 849, 126. 06
4, 277. 61
EECEII'TS AND DISBUBSEMENTS~ 1925
Miscellaneous receipts by organization units and sources — Continued
% AR DEPARTMENT — Continued
Trust funda: Soldiers' Home permanent fund Pay of the Army, deposit fund Proceeds from estates of deceased soldiers Preservation of birthplace of Abraham Lincoln Deferred deductions due civil service retirement and dis-
ability fund
Total miscellaneous receipts under %'ar Department
PAXAbfA CAiiAL Public funds:
Sales of Government property— Proceeds of sale of Government property
Revenue-producing enterprises— Tolls Net profits, Panama Canal, 1924 Proceeds of wstervrorks
Fees, fines, penalties, forfeitures, etc. — Tsxes, licenses, fines, etc. , Canal Zone
Miscellaneous— Excess cash, miscellaneous sources
Total miscellaneous receipts under Panama Canal
21, 399, 629. 39 l
843, 583. 09 103, 326. 66
4, 653. 99
22, 346, 539. 14
202, 538. 89 l
$589, 85 r. 31 678, 958. 14
19, 852. 54 2, 040. 00
167. 43 81, 290, 875. 42
840, 891, 3, . 66
2", 553, 7 32. 44
ILEClvtPTS AND DISBURSEMENTSr 1925
Miscellaneous receipts bit organizatt'on units and sources — Continued
29
DISTRICT OF COLVhIBIA. Basis of division of revenues District of Columbia share
United States share Total
Itevenues of the District of Columbia: Tsxes-
Intsngible personal tax
Realty taxes (including penalties) Special reimbursable taxes Tangible personal taxes (including penalties)
Total
Fees— Advertising taxes
Building permits Crematorium Duplicate motor tags Duplicate registration cards Electric meters Electrical permits Gss snd meters Health department Motor-vehicle tsgs Municipal court Podiatry examinations Pound Public convenience stations Railings, etc Sealer of weights snd measures Hewer snd gas permits Surveyor's fees Tsx certificates Water-service permits
Total
Public convenience stations
Fines— Juvenile court
Police court
Total
Licenses— Copies of records of dog tsx paid
Dog tags Elevator operators Engineers Insurance Insurance transfers Miscellaneous (business snd occupational) Miscellaneous transfers Motor-vehicle operators Plumbere
TotsL
Rents- Esstern market
Fish wharves and market Georgetown market Vault space Western market Wharves, buildings, etc Wholesale produce market
Total
Vault space Wharves, buildings, etc
Total
Wholly District of Co- lumbia.
(io do do
Wholly District of Co- lumbia.
do clo do clo do (io do (io do (io do do do do do do do do do
50 and 50
Wholly District of Co- lumbia.
do
Wholly lumbi
(io do do do do do do do clo
District of Co-
60 snd 40 clo
Wholly District of Co- lumbia.
clo do do (io do do
$1, 941, 078. 46
11, 165, 269. 92 1, 245. 77
2, 963, 800. 14
16, 071, 389. 29
8, 337. 70
78, 509. 55 589. 00
1, 874. 50 1, 011. 00
85. 00 21, 068. 00 8, 544. 00 1, 278. 50
166& 691. 00 66, 188. 00
10. 00 2, 690. 50 7, 258. 51 1, 959. 00
20. 91 16, 301. 00 55, 859. 95 14, 001. 00
4, 953. 00
451, 665. 12
852. 00
320. 00
507, 697. 82
508, 017. 32
304. 00
27, 714. 52 293. 00 273. 00
88, 898. 17 121. 25
169, 508. 97 168. 50
40, 367. 50 18. 00
277, 666. 91
7, 212. 90
12, 249. 48 875. 60
15, 485. 20 6, 919. 00
17, 903. 79 12, 586. 90
72, 732. 87
78. 88 130. 97
209. 85
$352. 00
52. 58 87. 32
139. 90
$1, 941, 078. 46
11, 165, 269. 92 1, 245. 77
2, 963, 800. 14
16, 071, 389. 29
8& 337. 70
78, 509. 55 589. 00
1, 874. 50 1, 011. 00
35. 00 21, 068. 00
3& 544. 00 1, 278. 50
166, 691. 00 66, 183. 00
10. 00 2, 690. 50 7, 253. 51 1, 959. 00
20. 91 16, 801. 00 55, 859. 95 14, 001. 00 4, 958. 00
451& 665. 12
704. 00
320. 00
507, 697. 32
508, 017. 32
304. 00
27, 714. 52 298. 00 278. 00
88, 898. 17 121. 25
169, 508. 97 168. 50
40, 367. 50 18. 00
277, 666. 91
7, 212. 90
12, 249. 48 875. 60
15, 485. 20 6, 919. 00
17, 908. 79 12, 586. 90
72, 782. 87
131. 46 218. 29
349. 75
30 REGEIPTs AND DIsBURteEEIEE'TS~& Mb
Miscellaneous receipts bff organization units and sources — Continued
DISTRICT OF COLUMBIA Basis of division of revenues District of
Columbia share United States
share Total
Revenues of the District of Columbia — Continued. Rents — Continued.
Vault space Wharves, buildings, etc
Total
Vault space Wharves, buildings, etc
Total
Sales- Lsws, regulations, etc
Garbage grease Home for Aged and Infirm, products Industrial Home School for Colored Children, prod-
ucts. Miscellaneous trash Old material Workhouse, products
Total
Laws, regulations, etc Garbage grease Miscellaneous trash Old material Workhouse products
Total
50 and 50 do
Wholly United States clo
Wholly District of Co- lumbia.
do do do
do do &io
60 and 40 do do do do
$26. 78 3. 80
30. 58
866. 30
223, 965. 72 213. 34
5. 40
83, 814. 30 5& 101. 56
36, 552. 47
350, 519. 09
4. 41 12, 326. 70 21, 197. 90
1, 488. 80 2, 757. 02
37, 774. 83
$26. 77 3. 80
30. 57
14, 925. 43 776. 98
15, 702. 41
2. 94 8, 217. 81
14, 131. 93 992. 53
1, 838. 01
25, 183. 22
$53. 55 7. 60
61. 15
14, 925. 48 776. 98
15, 702. 41
866. 30
223, 965. 72 213, 34
5. 40
83, 814. 30 5, 101. 5B
36, 552, 47
350, 519. 09
7. 35 20, 544. 51 35, 329. 83
2, 481. 33 4, 595. 03
62, 958. 05
Miscellaneous items— Board and care of insane
Conscience fund Damages to District property Forfeited guaranty deposits Francis Scott Key Bridge, rents and ducts Gallinger Municipal Hospital, pay patients Insurance taxes Medical charities Party walls Passenger tax, Francis Scott Key Bridge Railroad tax, Highway Bridge Reimbursements, discounts, etc Reimbursement for excess cost over contract price Rent Commission, excess rentals Tuberculosis Hospital, pay patients Tuition, nonresident pupils
Total
Board snd care of insane Medical charities Rent Commission (excess rentals)
Total
holly District lumbis.
do do do do do clo clo do clo do do do do do do
60 and 40 do do
of Co- 49, 437. 99
20. 00 2, 440. 62
10. 00 1, 694. 17 2, 152. 00
251, 168. 26 728. 75 510. 17
6, 218. 79 9, 402. 02
87. 14 5. 50
689. 00 2& 124. 00 7, 123. 68
333, 812. 09
70. 35 125. 40 28. 01
223. 76
46. 90 83. 60 18. 67
149. 17
49, 487. 99
20. 00 2, 440. 62
10. 00 1, 694. 17 2, 152. 00
251& 168, 26 728, 75 510. 17
B, 218. 79 9, 402. 02
87. 14 5. 50
689. 00 2, 124. 00 7, 123. BS
333, 312. 00
117. 25 w&o ii' 209. 00
46. 68
372. 93
Railroad tax, Highway Bridge Passenger tax, Francis Scott Key Bridge Sale of alleys
Special assessments- Psving roadways
Paving roadways (interest) Sewers, assessment and permit work Sewers, assessment and permit work (interest) Sidewalks, curbs, alleys, assessment and permit work Sidewalks, curbs, alleys, assessment snd permit work
(interest). Street extensions Street extensions (interest)
Total
Wholly Distri lumbia.
do do &lo
do do
ct of Co-
do do
50 and 50 548 snd 452 Wholly United States
5, 110. 72 ' 377. 73
41, 889. 54
93. 79 33, 467. 97
171. 67 34, 248. 60
69. 83
39, 702. 99 3, 211. 08
152, 855. 47
5, 110. 72 311. 56
1, 328. 01
10, 221. 44 689, 29
1, 32S. 01
41, 889. 54
93, 79 33, 467. 97
171. B7
34 248. 60 '
69. 88
39 702. 99 3 211, 08
152 855 47
RECEIPTS AKD DISEUESEMENTSs 1925
3A'ecelf(sneous receipts by organization units and sources — Continued
DISTRICT OP COLUMBIA Basis of division of revenues District of Columbia share
United States share Total
Revenues of the District of Columbia — Continued. Special assessments — Continued.
Paving roadways Paving roadways (interest) Payment by Capital Traction Co. on account of re-
pairs and improvements of Calvert Street Bridge. Sewers, assessment and permit work Sewers, assessment and permit work (interest) Sidewalks, curbs, alleys, assessment and permit work Sidewalks, curbs, alleys, assessment and permit work
(interest). Small parks Small parks (interest)
Total
60 and 40 do do
do do do (10
do do
$61, 715. 03 2, 600. 75
422. 35
45, 381. 58 1, 543. 45
74, 319. 04 2, 202. 62
369. 59 37. 20
$41& 143. 35 1, 733. 85
281. 57
30, 254. 35 1, 028. 99
49, 545. 98 1, 468. 40
246. 39 24. 82
188, 591. 61 125, 727. 70
$1021 858. 38 4, 334. 60
703. 92
75, 635. 93 2, 572. 44
123, 865. 02 3, 671. 02
615. 98 62. 02
314, 319. 31
Paving roadways Paving roadways (interest) Sewers, assessment and permit work Sewers, assessment and permit work (interest) Sidewalks, curbs, alleys, assessment and permit work Sidewalks, curbs, alleys, assessment and permit work
~
(interest) . Small parks Small parks (interest) Street extensions Street extensions (interest)
Total
0 and 50 do do do do do
do Cio
do clo
2& 419. 55 436. 64
5, 233. 10 637. 58
1, 830. 63 691. 32
44. 75 14. 06 31. 25 13. 43
11, 352. 31
2& 419. 49 436. 67
5& 233. 10 i 637. 57
1, 830. 62 691. 36
44. 75 14. 03 31. 25 13. 44
11, 352. 28
4, 839. 04 873. 31
10, 466. 20 1, 275. 15 3, 661. 25 1, 382. 68
89. 50 28. 09 62. 50 26. 87
22, 704. 59
Miscellaneous deposits by oflicers other than the collector of taxes, District of Columbia—
Fees and costs, Register of Wills, District of Co- lumbia.
Fines, Supreme Court, District of Columbia Process fees, office of coroner, District of Columbia Rent privileges, National Zoological Park Sale of materials, rents, etc. , public buildings and
grounds. Surplus fees, Court of Appeals, District of Columbia
Total
Wholly District of Co- lumbia.
clo (io cl0 (io—
do
6, 15
35. 00 5. 50
1, 740. 00 6, 983. 63
8, 158. 35
16, 928. 63
6. 15
35. 00 5. 50
1, 740. 00 6, 983. 63
8, 158. 35
16, 928. 63
Process fees, ofiice of coroner, District of Columbia Sale of materials, rents, etc. , public buildings and
grounds. Surplus fees, Court of Appeals, District of Columbia Surplus fees, Recorder of Deeds, District of Columbia Surplus fees, Register of Wills, District of Columbia
/
60 and 4 &io
do do do
3. 60 85. 00
2, 014. 15 . 98
162. 80
2. 40 56. 66
1, 342. 76 . 65
108. 54
6. 00 141. 66
3, 356. 91 l. 63
271. 34
Total
Fees, marshal of municipal court Fees of marshal, Supreme Court, District of Co-
lumbia. Fines collected from District of Columbia Militia
Total
Wholly Umted States (io
do
2, 266. 53 1, 511. 01
20, 002. 27 13, 046. 42
16. 00
33, 064. 69
3, 777. 54
20, 002. 27 13, 046. 42
16. 00
33, 064. 69
60 and 40 50 and 50 Wholly United States Indefinite 60 and 40 50 and 50 548 and 452 Wholly United States
Wholly District of Co- lumbia.
Indefinite
For the fiscal year 1924
Total general funds of the District of Columbia deposited during the fiscal year 1925.
Adjustments of District of Columbia receipts on cer- tificates of settlements of the General Accounting Office-
Add— For the fiscal year 1923
18& 481, 876. 71 219& 963. 24 18, 701, 839. 95
307& 188. 59 19, 387. 09,
7, 148. 39 309, 085. 07
17, 784. 16 2, 431. 26
996. 77
340. 84
204, 792. 43 19, 387. 08 28, 143. 13 20, 280. 11
206, 056. 69 17, 784. 16 2, 005. 35
37, 086. 47
1, 609. 16
511, 981. 02 38, 774. 17 28, 143. 13 27, 428, 50
515, 141. 76 35, 568. 32
4, 436. 61 37, 086. 47
996. 77
1, 950. 00
19, 146, 238. 88 I 757, 107 82 I
19, 903, 346. 70
RECEIPTS AND BISBVRSEMENTSr 1925
iifiscellaneous receipts by organization units and sources — Continued
DISTRICT OF COLUMBIA Basis of division of revenues District of
Columbia share United States
share Total
Revenues of the District of Columbia — Continued. Adjustments of District of Columbia receipts, etc. — Con.
Deduct- For the fiscal year 1923
For the fiscal year 1924
Total general funds of the District of Columbia
Special funds— Escheated estates relief fund
Industrial Home School fund Gasoline tax road snd street fund (including $22, 468. 60
special assessments) . Water fund
Total, special funds
Trust funds- Miscellsneous trust-fund deposits
Deductions from teachers' salaries, retirement fund Interest on investments for District of Columbia teachers'
retirement fund. Permit fund Surplus fund Policemen and firemen's relief fund Washington redemption fund
Total trust funds
Total miscellaneous receipts under District of Columbia
Wholly District of Co- lumbia.
do
Wholly District of Co- lumbia.
do do
do
Wholly Districtof Co- lumbia.
do do
do do do do
$606 326 82
595, 179. 93
17, 944, 732. 13
137. 32
3, 769. 15 787 651 85
1, 165, 923. 01
1, 917, 481. 33
1, 068, 662. 52
260, 826. 36 40, 877. 47
84, 907. 52 15. 00
90, 575. 68 331, 310. 23
1, 877, 174. 78
21, 779, 388. 24
$606& 326. 82
595, 17g. g3
$757, 107. 82 18, 701, 839. g5
137. 32
3, 769. 15 787, 651, 85
1, 165, 923. 01
1, 957, 481. 33
1, 068, 662. 52
260, 826. 36 40, 877. 47
84, 907. 52 15. 00
90, 575. 68 331, 310. 23
1, 877, 174. 78
757, 107. 82 22, 536, 496. 06
BEGEIPTS AND DISBURSEMENTS, 1925
Miscellaneous receipts by organization units and sources — Continued
Total miscellaneous receipts, including Panama Canal and "Sales of public lands"
Deduct moneys covered by warrant in year subsequent to deposit thereof Add moneys received in fiscal year but not covered by warrant
Total ordinary receipts based on receipt warrants issued Adjustment of warrant receipts to basis of actual cash receipts into the general fund:
Add receipts. credited by repay warrants direct to appropriation —" Proceeds of railroad securities owned by the Government Receipts from miscellaneous sources
Total ordinary cash receipts on basis of daily Treasury statements, revised
PUBLIC DEBT RECEIPTS
$17, 562. 91 6, 637. 17
143, 926, 630. 98 29, 765, 158. OS
$469& 685, 407. 64
8& 607, 658, 089. 70
8, 925. 74
8, 607, 644, 168. 96
173, 691, 789. 06
8, 781, 385, 958. 02
Treasury notes and certificates of indebtedness (adjusted service series) Treasury bonds of 1944 — 1954 Certificates of indebtedness Treasury (war) savings securities Lawful money deposited to retire Federal reserve bank notes and national-bank notes (acts
July 14, 1890, and Dec. 23, 1918) Postal savings bonds
Total public debt receipts
Total receipts into the general fund
POSTAL REVENUES
(Under control of the Postmaster General)
100, 000, 000. 00 1, 047, 088, 500. 00 1, 876, 578, 500. 00
23, 246, 670. 88
105, 447, 872. 50 102& 120. 00
8, 152, 468, 162. 88
6, 988, 799, 115. 90
Post Office Department, Washington, D. C. : Miscellaneous receipts (P. R. map sales)
Field service, Post Office Department: Sales of stamps and other stamped paper Second-class postage paid in money First, second, third, and fourth class postage, paid in money under permit Box rents Miscellaneous receipts Letter postage paid in money Foreign mail transit service Fines and penalties D ead letters Revenue from money-order business Unpaid money orders more than one year old Interest and profits, Postal Savings System
Total postal revenues
Total receipts, including postal revenues
507, 29, 39,
7, '
12,
5, 221. 85
572, 252. 46 619, 240. 87 801, 022. 57 817, 104. 85 406, 397. 70
550. 72 202, 945. 19 185, 228. 20 223, 196. 64 884, 036. 08 574, 966. 51 849, 319. 95
599, 591, 477. 59
7, 533, 890, 598. 49
" Items of this character represent cash receipts which are credited against the expenditures shown on s warrant basis. It is necessary, therefore, to add back the amounts to receipts by warrants in order to adjust to an actual cash basis. (See also similar items included under expenditures, page 373. )
RECEIPTS AND DISBURSEMEKTS& 1926
Details of Receipts by Softrces, Fisca/ Year f98b'
ORDINARY RECEIPTS: Customs (details on pp. 1-6) Internal revenue (details on pp. 7, 8)—
Income and profits tax Miscellaneous taxes Collections under enforcement of national prohibi-
tion act " Public lands (included in public domain receipts below). Miscellaneous—
Interest, premium, and discount— Interest on loans to foreign governments Interest on bonds of foreign governments under
funding agreements Interest on miscellaneous obligations of foreign
governments Interest on miscellaneous obligations Interest on overpayments under sec. 209, trans-
portation act 1920, as amended Interest on farm-loan bonds Interest on public deposits Interest on advance payments to contractors Dividends on capital stock of the Panama Rail-
road owned by the United States Gain by exchange
Sales of Government property— Proceeds of sale of Government property Sale of office material, etc. , including auction
sales (General Supply Committee) Disposal of properties, United States Housing
Corporation Sale of war supplies Sale of seal and fox skins Sale of public documents and charts Sale of card indexes, Library of Congress Miscellaneous Government property
Public domain receipts— Sales of public lands (details on p. 9) Receipts under mineral leasing acts Forest reserve fund National park revenueh Other
$735 922. 15
137, 898, 316. 33
21, 755, 739. 46 1, 190, 410. 16
34, 4, 443, 4, 501,
120,
726. 77 624. 56 922. 54 582. 29
350, 000. 00 519, 654. 75
623, 533. 84 9& 192, 160. 14 5& 101, 497. 95
699, 299. 22 949, 655. 34
5, 376, 002. 12
41, 092. 44
2, 512& 949. 40 16& 580, 191. 88
336, 202. 48 285, 894. 09 139, 238. 21 919, 981. 06
$1, 761, 659, 049. 51 827, 372, 109. 63
414, 728, 29
171, 550, 899. 01
26, 190, 551. 68
$548, 521, 794. 63
2, 589, 445, 887. 43
Fesleral reserve and Federal intermediate credit banks franchise tax
Profits on coinage, bullion deposits, etc Revenue producing enterprises—
Operation of properties, United States Housing Corporation
Funds deposited for construction loans under sec. 11, merchant marine act, 1920
Center Market, Washington, D. C Earnings from radio service Tolls, profits, etc. , Panama Canal United States telegraph lines Laundry and dry cleaning operations (War) Profits from sale of ships' stores, Navy Other
2
22
539, 114. 17
938, 353. 88 249, 858. 66 250, 029. 70 346, 539. 14 229, 031. 28 443, 840. 51 577, 498. 09
20, 128. 09
16& 566, 146. 49
641, 959. 88 8, 715, 150. 82
Rent of public buildings, grounds, etc Fees, fines, penalties, forfeitures, etc. —
Alaska fund 196, 293. 36 Fees on letters patent 2, 962, 653. 29 Copyright fees 166, 354. 00 Registers' and receivers' fees (land offices) 565, 877. 16 Consular and passport fees 7, 448, 255. 53 Tax on circulation of Federal reserve and na-
tional banks 4, 061, 574. 78 Customs service 1, 275, 826. 61 Collections under enforcement of national pro-
hibition act (Treasury and Judicial) 's 5, 359, 672. 89 Navy fines and forfeitures 1, 419, 046. 77 Naval hospital fund 816, 342. 57 Naturalization fees 993, 783. 50 Immigration head tax 3, 197, 265. 07
» Additional collections from this source amounting to 86, 369, 872. 89, were made as follows: Voder Miscellaneous receipts, Judicial, p. 19 Vnder Xf iscellaneous receipts Treasury p. 24
Additional collections from this source amounting to 6414, 728. 29 were made under Internal Revenue
28, 594, 393. 52 1, 338, 130. 44
, p. s.
86, 212, 6NL66 ' 47, 28L61
RECEIPTS AND DISBURSEMENTS~ 1925
Detail cf Receipts by farces, Fiscal Year 1'985 — Continued
OBDINABY REcEIPTs — Continued. Miscellaneous — Continued.
Fees, fines penalties, forfeitutes, etc. — Continued. SudicIsl Forfeitures by contractors Licenses under Federal water power act Taxes& licenses, fines, etc. , Canal Zone Other
Gifts and contributions- Librsry of Congress gift fund and chamber
music auditorium Return of increase in salary by Members of
Congress, 69th Congress For river snd harbor improvements For Forest Service cooperative work For roads, bridges, snd related works, Alaska Contributions by New York Liberty loan as-
sociations Moneys received from persons unknown Donations to the United States Pan American Union quotas 0 ther
Repayments of investments— Principal of loans made to foreign Governments Principal of bonds of foreign Governments
under funding agreements Principal of sale of surplus war supplies to
foreign Governments Liquidation of capital stock, Federal land
banks Sale of farm-loan bonds Return of advances made to reclamation fund Principal of loans made by United States
Housing Corporation
Assessments snd reimbursements— Salaries and expenses, national-bank examin-
ers Expenses of redeeming national currency Assessments on Federal reserve banks for sal-
aries and expenses, Federal Reserve Board Assessments on Federal intermediate credit
and Federal and joint-stock land banks for salaries and expenses, Federal Farm Loan Board
Overhead charges on sales of services or sup- plies (War and Navy)
Payment by German Government under terms of the armistice
Settlement of cls, ims (War) General railroad contingent fund Reimbursement of appropriations made for
Indian tribes Expense of international service of ice observa-
tion and patrol Collections under grain and cotton standards
acts Payment for quarters, subsistence, snd laun-
dry service, Veterans' Bureau Work done for individuals, corporations, et al Reimbursement f or Government property lost Damages to Government property Other
Miscellaneous unclassified receipts— Clothing and small stores fund Other
District of Columbis- Revenues of the District of Columbia—
District of Columbia share (excluding $1, 877, 174. 78 trust funds)
United States share
88, 050. 00 l
3 8, 828, 2, 104,
79,
150, 5,
92, 18,
125. 00 735. 06 i. 219. 23 i
078. 45
000. 00 695. 11 988. 99 551. 74 907. 50
182, 512. 71
28, 084, 672. 50
80, 513. 86
472, 455. 00 18, 000, 000. 00 1, 000, 000. 00
1, 614, 391. 10
2, 436, 831. 84 721, 797. 52
1, 869, 874. 71
890, 659. 16
899, 448. 37
14& 725, 154. 40 451, 940. 40
1, 187, 872. 54
1, 187. 72
111, 538. 72
122, 085. 60
1, 184, 257&
55, 246,
1, 698,
057. 98 757, 85 585. 89 800. 79 544. 93
8, 192, 201. 63 201, 818. 20
19, 902, 218. 46 757, 107. 82
$2, 837, 185. 93 15, 557. 35
129, 448. 48 202, 588. 89
1& 475& 763. 57 $83, 123, 389. 75
6, 866, 351. 08
89& 334& 545. 17
25, 760, 532. 42
. 8, 394, 014. 83
20, 659, 821. 28
EECEIPTS AND DISBURSEMENTS~ 1925
Details of Receipts by Sources, frisea/ Fear 198$ — Continued
Civil-service retirement and dis- ability fund—
Interest on investments Profits on investments Deferred deductions, due
civilwerviee retirement and disability fund
Service-credit payments Deductions from coopera-
tive employees (sgricul- t ure)
Deductions from coopera- tive employees, Bureau of
fines Deductions from salaries of
employees, i n s o 1 v e n t banks division, office of Comptroller of the Cur- re ncy
Deductions from salaries of employees, Federal reserve issue snd redemption divi- sion, Once of Comptroller of the Currency
Deductions from cooperative employees, Secret Service Division
Deductions from salaries from revenues of Virgin I slands
Deductions from salaries payable by Porto Ricsn tre ssury
Deductions from Indian tribal funds
Deductions from Indian re- imbursable appropriations
1, 860, 548. 01 i
169, 458. 12 '
8, 820. 11 59, 519. 70 i
2, 809. 88
126. 66
862. 06
40. 87
82. 80
8. 182. 00
13 140. 99
6, 514. 51
Soldiers ' Home permanent fund Psy of the Army, deposit fund Navy and Marine Corps deposit funds Indian moneys—
Proceeds of labor 30, 670, 134. 64 Proceeds of sale of Indian
lands snd timber 1, 422, 547. 56 Other 53, 216. 50
Miscellaneous trust funds District of Columbia trust funds
Total miscellaneous receipts, including Panama Canal and "Sales of public lands"
Deduct moneys covered by warrant in year subsequent to I
deposit thereof Add moneys received in fisca year but not covered by war-
rant
Total ordinary receipts based on receipt warrants issued
OBDINsRY REGEIpTs~ontinued. Trust funds—
Government life-insurance fund— Premiums on converted in-
surance $38, 644, 010. 68 '
Interest 5, 425, 905. 87 $44, 069, 916. 00
2, 128, 796. 71 589, 857. 31 678, 958. 14 481, 625. 16
82, 145, 898. 70 482, 794. 47
1, 877, 174. 78 $82, 450, 021. 27
1?, 562. 91
8, 63?. 17
$469 685 407 64
3, 607, 653, 089. 70
8, 925. 74
3, 607, 644, 163. 96
REGEIPTS AND DISBUBSEMENTSr 1925
Details of Receipts frjI Sources, Fiscal Year 1985 — Continued
Adjustment of warrant receipts to basis of actual cash re- ceipts into the general fund:
Add receipts credited by repay warrants direct to ap- propriations r~
Proceeds of railroad securities owned by the Gov- ernment
Receipts from miscellaneous sources
Total ordinary cash receipts on basis of daily Treasury statements, revised
PUBLIC DEBT RECEIBTS
Total receipts into the general fund POSTAL REVENUES UNDER CONTROL OIP THE POSTMASTER
GENERAL
Total receipts, including postal revenues
$143, 926, 630. 98 29, 765, 158. 08
$173, 691, 789. 06
$3i 781& 335, 953. 02 3, 152, 463, 162. 88
6, 933, 799, 115. 90
599, 591, 477. 59
7, 538, 890, 593. 49
n Rema of this character represent cash receipts whish are credited against the expenditures shown on a warrant basis. It is necessary, therefore, to add back the amounts to receipts by warrants in order to adjust to an actual cash basis. (See also similar items included under expenditures, p. 273. )
RECEIPTS AND DISBQRSEMEKT87 1925
Summary of Recetpfs by Sources, Fiecftf Yeftr 1 996
ORDINABY RECEIPTS: C ustoms Internal revenue—
Income and profits tax Miscellaneous taxes Collections under enforcement of national prohibition act '
$1, 761, 659, 049. 51 827, 372, 109. 63
414, 728. 29
$548, 521, 794. 63
2, 589, 445, 887. 43 Public lands (included under public domain receipts below). Miscellaneous (for details see pp. 11 — 32)—
Interest, premium, and discount Sales of Government property Public domain receipts (includes $623, 533. 84 sales of public lands) Federal reserve and Federal intermediate credit banks franchise
t ax Profits on coinage, bullion deposits, etc Revenue-producing enterprises Rent of public buildings, grounds, etc Fees, fines, penalties, forfeitures, etc Gifts and contributions Repayments of investments Assessments and reimbursements Miscellaneous unclassified receipts—
Clothing and small stores fund $8, 192, 201. 63 Other 201, 813. 20
District of Columbia— District of Columbia revenues, taxes, etc. ,
excluding trust funds 19, 902, 213. 46 United States revenues from District of
Columbia sources 757, 107. 82
Trust funds (including $1, 877, 174. 78 from District of Columbia)
Total Deduct moneys covered by warrant in year subsequent to deposit
thereof Add moneys received in fiscal year but not covered by warrant
Total ordinary receipts based on receipt warrants issued Adjustment of warrant receipts to basis of actual cash receipts into
the general fund- Add receipts credited by repay warrants direct to appropria-
tions"— Proceeds of railroad securities owned by the Government Receipts from miscellaneous sources
Total ordinary cash receipts on basis of daily Treasury statements, revised
PUBLIC DEBT RECEIPTS
Total receipts into the general fund POSTAL REVENUES UNDER CONTROL OF THE POSTMASTER GENERAL
Total receipts, including postal revenues
171, 550, 899. 01 26, 190, 551. 68 16, 566, 146. 49
641, 959. 88 8, 715, 150. 82
28, 594, 393. 52 1, 338, 130. 44
33, 123, 389. 75 6, 366, 351. 08
39, 334, 545. 17 25, 760, 532. 42
8, 394, 014. 83
20, 659, 321. 28 827 450, 021. 27
17, 562. 91 8, 637, 17
143, 926, 630. 98 29, 765, 158. 08
469, 685, 407. 64
3, 607, 653, 089. 70
8, 925. 74
3, 607, 644, 163. 96
173, 691, 789. 06
$3, 781, 335, 953, 02 3, 152, 463, 162. 88
6, 933, 799, 11L 90 599, 591, 477. 59
7, 533, 390, 593 49
s Additional collections from this source amounting to 35 359 572 89 were made ss follows: Under miscellaneous receipts Treasury, p. 24, 347 334 51; under Judicial, P. 19 35i31»N3 33 u Items of this character represent cash receipts which sre credited against the expenditures shown on a warrant basis. It is necessary, therefore, to add back the amounts te
receipts by warrants ia order to adjust to sn actual cash basis. (See also similar items included uader expeaditures, p. 273. )
EEGEIPTS AND DISBUBSEMEKTSr 1925
rfnrnrnary of Receipts by Organization Units, Fiscal Year 1985
39
ORDINsRY RECEIPTS Legislative Executive Office Independent Omces Department of Agriculture Department of Commerce Department of the Interior (includes $623, 533. 84 sales of public lands) Department of Justice, including Judicial Department of Labor Navy Department Department of State Treasury Department (includes $548, 521, 794. 63 customs and
$2, 589, 445, 887. 43 internal revenue) War Department Panama Canal District of Columbia—
District of Columbia, revenues, taxes, etc United States revenues from District of Columbia sources
Total Deduct moneys covered by warrant in year subsequent to deposit
thereof Add moneys received in 6scal year but not covered by warrant
Total ordinary receipts based on receipt warrants issued Adjustment of warrant receipts to basis of actual cash receipts into
the general fund- Add receipts credited by repay warrants direct to appropris-
ttons —" Proceeds of railroad securities owned by the Government Receipts from miscellaneous sources
Total ordinary cash receipts on basis of daily Treasury statements, revised
PUBLIC DEBT RECEIPTS
Total receipts into the general fund POSTAL REvENUES UNDER CONTROL OF THE POSTMASTER GENERAL
Total receipts, including postal revenues
$21, 779, 388. 24 757, 107. 82
17, 562. 91 8, 637. 17
143, 926, 630. 98 29, 765, 158. 08
$625, 696. 64 68. 84
57, 499, 477. 74 8, 109, 750. 09 1, 718, 326. 06
50, 224, 465. 95 8, 496, 331. 93 5, 212, 024. 75
16, 477, 324. 85 7, 874, 188. 28
3, 365, 433, 468. 47 40, 891, 737. 60 22, 553, 732. 44
22, 536, 496. 06
3, 607, 653, 089. 70
8, 925. 74
3, 607, 644, 163. 96
173, 691, 789. 06
$3, 781, 335, 953. 02 3, 152, 463, 162. 88
6, 933, 799, 115. 90 599, 591, 477. 59
7, 533, 390, 593. 49
» Items of this character represent cash receipts which sre credited against the expenditures shown on s warrant basis. It is necessary, therefore, to add beck the amounts to receipts by warrants in order to adjust to sn actual cash basis. (See also similar items included under expenditures, page 373).
73270 — 26 — 4
DISBURSEMEiVTS, BA. LA. XCES, ETC. [" Disbursements, " ss used in this statement, are on the basis of warrants issued (net) and mclude unexpended balances to the credit of disbursing ofhcers at the end ig th ~
but not expenditures under such unexpended balances st the ~ of the year. . See adjustment of warrant disbursements to basis of actual cash cxpenditunn h th eral fund, p. 2D)
fRepsyments to appropriations in excess of disbursements sre printed in iMics]
Fiscal &tppropristions fmm the general fund
Xppropristions available in 1925
appropriations 1, 1921
! Disbursements by years
Total disburse- ments in 1925
&smount csnied to surphts fund
Bshslus tuse 20, 1925
FOE CURRENT EX- PENSES AND CAPITAL OUTLAYS
LEGISLATIVE
United States Senate: Salaries of Senators
llileage of Senators
Salaries, officers snd em- ployees, United States Senate
Increase of compensation, United States Senate
Payment for' extra serv- ices, Senate
Report ing debates snd proceedings, Senate
Autoruboile, snd mainte- nance, for the Vice Presi- dent
Salaries, Csptiol police, Senate
Contingent fund, Capitol police, Senate
192o-26 1925 1924 1923
1925 1924 1923
1925 — 26 1925 1924 1923
1922-23
1924 !
1923
Xo year. 1925
1925
1925 1923-24
1923
1925 1924 1923
1925 1924 1923
$2& 868. 85
o, 362. 40 5, 256. 40
62, 488. 13 61, 073. 84
3, 883. 33
24, 256. 53 23, 938. 37
61. 90
42. 92 115. 00
32. 10
$720, 000. 00 720, 000. 00
51, 000. 00
1, 673. 00' , 365 089. 80
2, 965. 00 1, 200. 00
44, 844. 00
3, 500. 00
36, 910. 00
100. 00
$85, 809. 71 719, 879 03
9, 81(8. ~ 46, 554 20
1, 278, 064. 82
898. 88
2, 965. 00 1, 200. 00
44, 844. 00
3, 303. 04 . 7'8
36, 910. 00
100. 00 9. 11
$803, 045. 30
46, 553. 20
1, 278, 064. 82
898. 88
4, 165. 00
44, 844. 00
3, 302. 28
36, 910. 00
$2, 868. 85
5, 256.
61, 073. 84 3, 883. 33
23, 938. 37
61. 90
115. 00
32. 10
$634, 190. 29 120. 97
2, 643. 44
4, 446. 80 5, 362. 40
1, 673. 00 87, 024. 9& 62, 48&. 13
25, 155. 39
196. 96 . 76
42. 92
9. 11
Uniforms, Capitol police, Senate
Salaries and expenses, Joint Corumittee on Printing, Senate
Legislative counsel, Senate Legislative drafting serv-
ice, Senate
1925 1924 1923
1925 1925
1924 1923
12, 30
' 1, 587. 78
3, 183. 74
1& 500. 00
5, 095. 00; 20, 000. 00
1, 500. 00 8/(. 1(5
5, 095. 00, 21, 587. (8
1, 587. 78,
90. 89
1, 465. 55
5, 095. 00 21, 587. 78
1, 587. 78, '
34. 45
12. 30
(t)
3& 183. 74----------- i Transferred from "Legislative drafting service, Senate, 1924. "
40 ' See note 1.
RECEIPTS AND DISBURSEMENTS& 1925
Disbursements, balances, etc. — Continued
[Bepayments to appropriations in excess of disbursements are printed in italics]
Appropriations available in 1925
Appropriations from the general fund Fiscal year Balances July
1, 1924 A'ppropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
United States Senate — Con. Biographical Congression-
al Directory, Senate Expenses, Joint Commit-
tee to investigate North- ern Pacific land grants
1925-26
1924 — 26 1924-25
$7, 500. 00
6 50, 000. 00 (')
$3, 500, 00
10, 000. 00
$8, 500. 00 $4, 000. 00
40, 000. 00
Expenses of Senate Com- mittee funeral of Presi- dent %larding
Contingent expenses- Clesning furniture
No year.
1925 1924 1923
Folding documents
Fuel for heating appa- ratus
Kitchens and restau- rants
, 1925 1924 1923
1925 1924
1925 1924
Expenses of inquiries and investigations 1925
1924-25 1924 1923
$5, 333. 84
6 55, 112. 07 (') 9, 632. 64
5, 000. 00 4, 128. 78
2, 000. 00
190. 000. 00
10, 000. 00
2& 000. 00
35, 000. 00
8, 505. 88
2, 000. 00 781. 85
189, 526. 21 40, 000. 00 5, 118. 07
6, 511. 65 8& 805. 00
2, 000. 00 '51, 7. 5r
35, 000. 00 181. 5'0
10, 000. 00
8, 505. 88
1, 278. 65
224, 414. 14
4, 306. 65
1, 452. 43
$5. 333. 84
9, 632. 64
4, 128. 78
3, 505. 38
721. 35
473. 79 15, 112. 07
(6)
3, 488. 35 7, 205. 00
547. 57
131. 50
Mail transportation
Materials for folding
Miscellaneous items
Packing boxes Postage
Purchase of furniture
Repairs of furniture
1925 1924 1928
1925 1924 1923
1925 1924 1928
1925 1925 1923
1925 1924
1925 1924 1923
311. 26
753. 18
2& 481. 68
100. 00
842. 20
10, 000. 00
1, 500. 00
125, 000. 00 50, 000. 00
970. 00 300. 00
5, 000. 00
8, 000. 00
10, 000. 00 1. 8ff
1, 500. 00 8. 58
124, 798. 99 28, 751. 27
970. 00 250. 00
5, 000. 00 1, 887. 58
3, 000. 00 7. 87
34, 868. 50
9, 998. 74
1& 491. 47
148, 550. 26 970. 00
250. 00
8, 172. 41
2, 992. 03
311. 26
753. 18
2, 481. 68
100. 00
342. 20
1. 26
8. 53
201. 01 26, 248. 73
50. 00
1, 827. 59
7. 97
Stationery
Storage of documents Payment of medical ex-
penses of James F. Sellers, Senate
Payment to- Heirs at lsw of Hon.
Frank B. Brande-
1925 1924 1923
1925
1925
gee- -------- No year. ' Transferred from 1924-25 account. & See note 3.
3, 429. 45 8. 16
28, 000. 00
1, 800. 00
827. 00
28, 000. 00 8, 303. 15
1, 800. 00
827. 00
31, 303. 15&
1, 800. 00
827. 00
8. 16
7, 500. 00 7, 500. 00 Transferred from 192 Balance of 350, 000 a
7, 500. 00 4 account.
nd 35, 112. 07 repayments transferred to 1924-25 account.
126. 30
RECEIPTS AND DISBURSE]]tfENTS& 1g25
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements sre printed in italics]
&tppropristions available in 1925
k. ppropriations from the general fund year Balances July 1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
amount carried to surplus fund
Balances June 20, 1925
United States Senate — Con. Payments to — Continued.
Heirs of Hon. Le- Baron Bradford Colt No year.
Heirs of Hon. Henry Cabot Lodge do
$7, 500. 00
7, 500. 00
$7, 500. 00
7, 500. 00
$7, 500. 00
7, 500. 00
'»ti' t
Less repayments to sundry accounts transferred as per footnotes
Total, United States Senate
$275, 996. 85
6, 699. 85
269, 297. 00 3, 519, 273. 80 2, 742, 807. 23 $118, 717. 57 $927, 046. 00
House of Representatieesr Salaries of Members and
Delegates 1925 — 26 1925 1924 1923 42, 770. 59
8, 804, 500. 00 3, 304& 500. 00
367, 083. 33 3, 304, 250. 00
89& 180. 19
3, 642, 203. 14 42, 770. 59
2, 937, 416. 67 250. 00
29, 130. 19
Mileage of Members and Delegates 1925
1924 1923 11, 257. 60
175, 000. 00 175, 000. 00 7, 808. 78
167, 696. 28 11, 257. 60
7, 303. 72
Salaries and expenses, Joint Committee on, Printing, House of Rep- resentatives
Legislative counsel, House of Representatives
Legislative drafting serv- ice, House of Repre- sentatives
1925
1925
1924 1923
Payment for certain serv- ices, House of Repre- sentatives 1925 — 26
1925 1923-24
Salaries, officers and em- ployees, House of Rep- resentatives 1925 — 26
1925 1924
1923-24 1923 1922
Increase of compensation, House of Representa- tives 1924
1928
Clerk hire, Members and Delegates 1925
1924 1928 1922
2& 500. 00
41. 00
24, 210. 82
26, 938. 69
8, 755. 08
3, 816. 00 822, 023. 90
1, 760, 000. 00
5, 095. 00
20, 000. 00
5, 000. 00 5, 000. 00
8, 816. 00 820, 000. 00
10, JP8. 98 . 01
9, 87$. 98 1. 00
19, 881. 0$
1, 740, 000. 00 19, 800. 88
1, 181. 88 . 08
5, 095. 00
20, 000. 00
6, 098. 70
5, 000. 00 5, 000. 00
860. 08
810, 504. 13
19, 681. 0$
1, 719, 568. 06
5, 095. 00
20, 000. 00
8, 088. 70
2, 915. g3 1. 00
24, 210. 82
28, 065. 35 . 02
8, 755. 08
2, 023. 90 12, 935. 93
. 01
19, 631. 04
20, 000. 00 19, 800. 26
8, 022, 70
560. 02
Payment for contesting seats in Congress
Automobile, and mainte- nance, for the Speaker of House of Represents- tives
No year.
1925 1924 1923 . 78
19, 872. 84
3, 000. 00
19, 872. 34
3, 000. 00 bl 1. 98
9, 439. 98
19, 872. 34
2, 488. 77 . 73
51L 23
RECEIPTS AND DISRUBSEMENTSr 1925
Disbursements, balances, etc. — Continued
f Repayments to appropriations in excess of disbursements sre printed in itaficx]
Appropriations available in 1925
Appropriations from the general fund Fiscal Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
House of Representatises — Con. Portrait of Frederick H.
Gillett, Speaker of the House of Representa- tives No year.
Portrait of Champ Clark, Speaker of the House of Representatives do
Salaries, Capitol police, House of Representa-
$2, 000. 00
$2, 000. 00 $2, 000. 00 $2, 000. 00
$2, 000. 00
t&ives 1925 1924 1928 12. 98
86, 910. 00 36, 688. 30 80. 86
$12. 93
226. 70 80. 26
Contingent fund, Capitol police, House of Repre- sentatives 1925
1924 1928
Uniforms, Capitol police, House of Representa-
tives 1925 1924 1923
Contingent expenses— Folding documents 1925
1924 1928
Furniture and repairs 1925 1924 1928
Furniture and repairs, House Office Building 1925
Materials for folding 1925 1924 1928
Miscellaneous items 1925 1924
Packing boxes 1925 1924 1928
Postage 1925 Remodeling f urniture 1925 Stationery 1925
Payment to widow of- Hon. William S. Greene No year. Hon. Julius Kahn do H on. Edward C.
. Little Payment to Eleanor V.
Wilmer, sister of Hon. Sydney E. Mudd do
26. 75
4, 801. 90
22. 50
100. 00
1, 500. 00
20& 000. 00
28, 000. 00 7, 285. 08
7, 500. 00 5, 000. 00
190, 000. 00 37, 596. 04
4, 500. 00
1, 150. 00 20 000. 00 6~5. 00
7, 500. 00 7, 500. 00
7, 500. 00
7, 500. 00
100. 00 o. 68
11. 08
1, 500. 00 80. 5o
20, 000. 00 8, 846. 88
28, 000. 00 7, 101. 56
68. 89
7, 500. 00 5, 000. 00 1, 987. 18
8L 16
190, 000. 00 37, 596. 04
4, 500. 00 5. 8$
1, 150. 00 20, 000. 00 60, 125. 00
7, 500. 00 7, 500. 00
7, 500. 00
7, 500. 00
86, 603. 04
88. 80
1& 469. 45
17, 658. 75
35, 088. 27
7, 500. 00
2, 991. 66
227& 596. 04
4& 494. 16 1& 150. 00
20& 000. 00 60& 125. 00
7, 500. 00 7, 500. 00
7, 500. 00
7, 500. 00
11. 05
26. 75
4, 801. 90
68. 29
21. 16
22. 50
5. 65
2, 346. 25
188. 52
1, 987. 18
5. 84
Total, House of Representatives, 123, 333. 54 9, 879, 473. 86 6, 815, 918 63 122, 941. 65 3, 068, 951. 62
RECEIPTS AND'DISBURSEMENTS, 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements sre printed in itancs]
Appropriations from the general fund year Balances July 1, 1924
Appropriations
Appropriations available in 1925
Disbursements by years
Total disburse- ments in 1925
Amount cerned to surplus fund
Balances June 80, 1925
l. egislative, Miscellaneous: Conveying votes of elec-
tors for President and Vice-President 1925
Expenses of inaugural ceremonies 1925
Memorial to Abraham Lincoln No year.
Memorial to John Erics- son do
Memorial to women of World War do
Public Buildings Commis- sion do
Statement of appropria- tions 1925 — 26
1925
Permanent and definite— Special funds—
Funds contributed for memorial to John Ericsson No year.
Funds contributed for commission on memorial to women of the Civil War do
Total, Legislative, Miscellaneous
Architect of the Capitol:
(For additional transactions under Architect of the Capitol, see p. 88)
Salaries, office of Architect of tl. e Capitol 1925
1924 1923
Increase of compensation, office of Architect of the Capitol 1924
1923
Elevator conductors, Capi- tol, and Senate and House Office Buildings 1925
1924 1923
Capitol buildings and grounrls
Capitol building and re- pairs 1925
1924-25 1924
1923 — 24 1923
Intproving the Capitol grounds 1925
1924 1923
$1, 032. 53
26, 954. 42
5, 000. 00
5, 286. 25
412. 91
38& 686. 11
5, 073. 07 2& 812. 50
125. 35 2, 206. 73
150. 00
67. 15 135. 00
21, 763. 95
7, 811. 21 413. 31
$14, 000. 00
40, 000. 00
150, 000. 00
4, 000. 00 4, 000. 00
1, 062. 50
213, 062. 50
' 30, 215. 25
' 71, 136. 00
' 75, 946. 75 5, 000. 00
' 65, 416. 50
$13, 804. 50
33 901 45
23, 500. 00
4, 995. 83
4, 000. 00 4, 000. 00
28, 950. 00 fi?. 17
868. 80
71, 054. 75 88. 88
75, 730. 32 4, 000. 00
865. 8G 68L 87
17, 150. 00
64, 63b. 12 7, 763. 28
$13, 804. 50
33, 901. 45
23, 500. 00
4, 995. 83
8, 000. 00
84, 201. 78
28, 930. 83
71, 031. 42
95, 483. 70
:. :inl l ~::
$2, 812. 50
2, 206. 73
150. 00
4, 613. 95
413. 31
$195. 50
6, 09L 65
1, 032. 53
8, 454. 42
150 000. 00
4. 1?
6, 348. 75
412. 91
167, 546. 83
1, 266, 25 5, 092, 24
387. 65
81. 25 23. 33
216. 43
1, 000. 00 932. 40 666. 3?
780. 38 , 47. 93
Capitol power plant 1925 — 26 1925
1924-25 1924 1923
Certified claims.
& see "1'ublic Buildings Don»nission", p. 191.
107, 037. 27 30, 621. 61
251, 800. 00 ' 581, 837. 00
38, 000. 00
10, 958. 70
& Exc)naive
51, 000. 00 498 396. 56
32, 500. 00 92, 764. 98 28, 872. 16 10, 958. 70
of amount transferre
72, 399. 40 200 800 OO
83, 440. 44
5, 500. 00 14, 272. 29
1, 749. 46
714& 492. 40 dto" V rVloere Ci il se
' tirement snd disability fund, " p
RECEIPTS AND DISBURSEMENTS, 1925
Disbursements, balartces, ete. — Continued
[Repayments to appropriations in excess of disbursements are printed in italics]
Appropriations from the general fund Fiscal Balances July
1, 1924 Appropriations
Appropriations available in 1925
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
Architect of the Capitol — Con. Capitol buildings and
grounds — Continued. Engine house, and Sen-
ate and House stables
Maintenance, Senate Office Building
Furnishing Senate Ofhce Building
Painting and renovating, Senate Office Building
Storeroom cages, Senate Office Building
Maintenance, House Office Building
1925 1924 1923
1925 1924 1923
1925 1924 1923
1928-24
1923-24
1925 1924 1923
$200. 00 108. 50
2, 206. 92
7, 500. 00 8, 726. 16
8. 08
3, 114. 08 201. 08
$1& 500. 00
188, 668. 00
9, 000. 00
' 97, 056. 00
$1, 500. 00 $86. 66
88, 000. 45 87. 70
8, 500. 00 6, 368. 49 1, 223. 73
868. 18
10. 00
96, 494. 44 2, 068. 27
$1, 074. 64
87, 972. 75
16, 087. 22
868. 18
10. 00
$108. 50
2& 206. 92
2& 502. 48
201. 08
$625. 86
667. 55 27. 70
500. 00 1, 136. 51
276. 20
10. 00
561. 56 1, 045. 81
Library building and grounds—
Increase of compensa- tion, care and mainte- nance, Library of Congress (Architect of the Capitol)
Care and maintenance, Library of Congress Architect of the apitol)
Fuel, lights, etc. , Library of Congress (Archi- tect of the Capitol)
Furniture, Library of Congress (Architect of the Capitol)
Library building and grounds
1923
1928
1923
1928
1925 1924
42. 88
148. 52
77. 32
466. 00
9, 617. 79 r 68, 228. 00
314. 60
62, 501. 81 8, 080. 11
98, 562. 71
314. 60
42. 88
148. 52
77. 32
151. 40
726. 19 1, 587. 68
Printing and binding, Library of Congress (Architect of the Capitol) 1923
Replacing elevators, Li- brary of Congress ' 1924 — 25
Repository for the Dec- laration of Independ- ence and Constitution of the United States, Library of Congress (Architect of the Capitol) 1922 — 23
80. 85
50& 000. 00
4, 547. 67
48, 200. 00i
70, 531. 92
48, 200. 00
80, 35
4, 547. 67
1, 800. 00
Total, Architect of the Capitol 260, 261. 95 1, 389, 762. 20 1, 804, 541. 27 22, 012. 46 823, 4?0. 42
Botanic Garden: Salaries 1925
1924 1923
2, 127. 95 158. 54
7 67, 537. 00 67, 537. 00i 618. 55
67, 224. 65 158. 54
2, 440. 30
' Exclusive of amount transferred to "Civil service retirement and disability fund, " p. 237, & Heretofore stated under Library of Congress.
46 RECEIPTS AND DISBURSEMENTS& 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements ate printed in ffsffcs]
Appropriations from the general fund Fiscal Balances July
1, 1924 Appropriations
Appropriations available in 1925
Disbursements by years
Total disburse- ments m 1925
Amount carried to surplus fund
Balances June 20, 1925
Botanic Garden — Continued. Increase of compensation,
Botanic Garden
Improving Botanic Gsr- den
Total, Botanic Gar- den
1924 1928
1925-26 1925
1924-25 1924
1923-24 1928
$1, 640. 00 691. 85
10, 000. 00 2, 690. 87
887. 87 5, 398. 92
28, 091. 00
$5, 000. 00 27, 075. 00
99, 612. 00
24, 127. 60 8, 000. 00 2, 678. 28
888. 97 33. 73
85, 168. 58
102, 104. 61
$691. 85
5, 860. 19
6, 210. 58
$1, 928. 62
5) 000. OO
2, 947. 40 2, 000, OO
17. 69 53. 90
14 387 81
Library of Congress: (For additional transactions under
Library of Congress, see Architect of the Capitol, above. )
Salaries 1925 1924 1923
Increase of compensation, Library of Congress 1924
1928
Increase of compensation, care and maintenance, Library of Congress 1924
1923
Care snd maintenance 1925 1924 1928
Contingent expenses 1925 1924 1923
Fuel, lights, etc 1928 Furniture 1928
Certified claims.
Increase of Library of Con- gress 1925 — 26
1925 1924-25
1924 1923-24
1928 1922-28
Printing snd binding, Li- brary of Congress 1925
1924 1923
1, 685. 64 2, 448. 64
8, 850. 00 2, 588. 00
l. 00 185. 06
364. 50 927. 49
67. 17 193. 11
609. 51 . 84
2, 104. 18
61. 59 l. 62 l. 66
8, 686. 14 845. 10
7 743, 529. 25
r 108, 109. 55
10, 000. 00
99. 38
90, 000. 00 10, 500. 00
250, 000. 00
743, 096. 14 878. 07
1, 714. 68
186. 61
107) 501. 51
9, 745. 28 84. 91
8. 20
99. 38
86, 577. 78 10, 500. 00
2, 032. 84 8. 86
58. 59
249, 102. 59 8, 657. 89
742, 824. 07
1, 71'. 58
186. 61
107, 501. 61
9, 780. 19 3. 20
99. 88
99, 166. 90
2, 448. 64
2, 583. 00
185. 06
927. 49
193. 11
606. 81 34
1. 62 1. 66
845. 10
433. 11 1, 957. 71
5, 064. 68
136. 61
608. 04 364. 60
254. 72 32. 26
3, 422. 27
71. 29 2. 26 3. 00
897. 41 28. 26
Replacing elevators, Li- brary of Congress 1924 — 25
Permanent and indefi- llite—
Bequest of Gertrude M. Eubbsrd, Library of Congress—
Interest account Xo year. Trust fund do
502. 60 20, 000. 00
800. 00 1, 000. 00
252, 760. 48
1, 000. 00 302. 60
20, OOO. OO
i Exclusive of amount transferred to "Civil service retirement aud disability fund" ~ 287. ~ Acceunt stated under Architect of the Capitol.
p ~
BECEIPTS AND DISBVBSEMENTS, 1925
Diebttrscmcrtts, balances, etc. — Continued
[Repayments to appropriatfons in excess of disbursements are printed in ifelicsl
4(
Appropriations available in 1925
Appropriations from the general fund Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
Lfbrarif of Congress — Con. Permanent and indefl-
nite — Continued. Special funds—
Library of Congress gift fund No year.
Chamber music audi- torium, Library of Congress do
$1, 000. 00
" 87, 050. 00 $56, 000. 00 $56, 000. 00
$1, 000. 00
31, 050. 00
Total, Library of Congress
Government Printing Ogcer Office of Public Printer—
Salaries, oiBce of Public Printer 1925
1924 1923 1919
$39, 018. 30
9, 728. 45 22, 384. 78
1& 301& 088 18
7 155, 074. 00 140, 996. 90
81 J&. 88 8 78
1& 267, 285. 54
140& 479. 47
$7, 192. 33
22, 899. 43 2. 78
65, 628. 61
14, 077. 10 9, 728. 45
Increase of compensa- tion, Government Printing Office
Public printing and binding, Government Printing Oifice "
1924 1923
1925 1924 1923
34, 000. 00 26) 498. 47
439, 618. 13 482, 996. 71
7 1, 851, 200. 00 3, 200. 00
4, 993. 15 1, 881. 88
943, 489. 15 270, 713. 76
1, 880. 11
3& 061. 52
1) 212, 872. 80
28, 430. 10
4841 326. 82
29, 006. 85
907, 710. 85 172, 104. 37
Public printing and binding 1922
Certified claims. 253. 17 888. 89 253. 17
829. 59
Ofiice of Superintendent of Documents—
Salaries, ofBce of Super- intendent of Docu- ments 1925
1924 1923
13, 128. 75 12, 049. 17
' 332, 454. 00 320, 000 00
319) 444. 23 12, 604. 94
12. 454. 00 13, 128. 75
General expenses, office of Superintendent of Documents 1925
1924 1923
52, 622. 50 9, 420. 69
165, 000. 00 i 116, 941. 80 34, 165. 90
151, 107. 70 9, 420. 69
48, 058, 20 18, 456. 60
Indefinite— Increase of compensa-
tion, Government Printing Office
Total, Government Printing Oifice
Total, Legislative
1919
1, 102, 447. 65
1, 856, 135. 55
2, 507, 181. 17
18, 909, 453. 21
1, 826, 388. 97
14, 143, 243. 03
558, 514. 68 1, 224, 725. 17
835, 589. 27 5, 786, 756. 46
& Exclusive of amount transferred to "Civil service retirement and disability fund, " p, 237.
a Bxdusive of 37, 050 transferred to "Chamber music auditorium, Library of Congress. " 0 Indudes 37, 050 transferred from "Library of Congress gift fund. " " For statement of printing and binding by departments and independent ofiices. see p 232.
RECEIPTS AND DISBURSEMENTS, 1925
Dt'sbttrsements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements sre printed in italics]
Appropriations available in 1923
Appropriations from the general fund year Balances July 1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1929
Amount carried to surplus fund
Bahmces June 30, 1923
EXECUTIVE OFFICE
Executit&e Oncet Salary of the President Salary of the Vice Presi-
dent
1925
1925-26 1925 1924 $6, 833. 33
$75, 000. 00 $75, 000. 00,
12, 000. OOI
6 1, 250. 00
662. 50 , 987. 50 6,
$75, 000. 00
7, 912. 50
$10, 750. 0[i 275, 00
6, 833. 33
Salaries, Executive Office 1925 1924 1923
297. 92 8, 901. 75
7 91, 869. 50 90, 667. 50
90, 667. 50
702. 00 297. 92
$8, 901. 75,
Increase of compensation, Executive Office 1924
1923 Contingent expenses, Ex-
ecutive Office 1925 1924 1928
Printing snd binding, Ex- ecutive Office 1925
1924 1923
Traveling expenses of the President 1925
1924 1923
Expenses of sickness and death of President Harding No year.
Executive Mansion snd grounds—
Improvement snd care of public grounds, Ex- ecutive Mansion 1925
1924 1923
Lighting, etc. , Execu- tive Mansion, etc 1925
1924 1928
Repairs, fuel, etc. , Ex- ecutive Mansion . 1925
1924 1923
11, 621. 21 730. 00
1, 785. 93 957. 27
4. 74
4, 500. 00 1, 099. 76
10, 860. 78
7 457. 66 3, 011. 24
7 1, 044. 60 2, 602. 01
' 83. 21 340. 61
7 86, 638. 50
2, 900. 00
25& 000. 00,
' l3, 905. 00
7 9, 080. 00
7 90, 240. 00
33, 925. 83 1, 201. 65
10. 00
2, 750. 00 8. 48
23, 500. 00 78. 90
7, 465. 17
13, 545. 57 97. 29
6, 435. 45 I, l&6o. 88
89, 026. 51 I, 695. 70
85, 137. 48
2, 747. 58
23, 427. . 10
7, 465. 17
13, 642. 86
4, 969. 63
87, 380. 81
730. 00
947. 27
4. 74
1, 099. 76
3, 011. 24
2, 602. 01
340. 61
11, 621. 21
2, 712. 67 534. 28
150, 00 . . !: 2. 42
1, 500. 00 &» 4, 572. 90
3, 395. 61
359. 43 360. 37
2& 594. 55 2, 510. 42
1, 213. 49 1, 778. 91
Extraordinary repairs, Executive Mansion
Salaries, White House police
Uniforms and equip- ment, White House police
Total, Executive Office
1924
1925 1924 1928
1925 1924 1923
'?1. 07
4. 62 13. 88
2, 704. 66
57, 876. 20
83, 700. 00
3, 950. 00
450, 670. 50
71. 07
78, 135. 02'
3, 592. 75 846. 50
71. 07
78, 135. 02
3& 346. 25
429, 852. 97
13. 83
2, 704. 66
20, 355. 87
5, 564. 9[i 4, 62
357. 25 246. 50
& Exclusive of amount trace(erred to "Civil service retirement snd disability fund, " p. 287.
RECEIPTS AND DISBURSEMENTS, 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in ifsficx]
49
Appropriations available in 1925
Appropriations from the general 'fund Fiscal Balances July
I, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances Jun& 30, 1925
, '1 . Fi. x
Total, Alaska re- lief funds
INDEPENDENT OFFICES
Alaska relief funds: Permanent and indefinite—
Special funds— Relief of the indigent,
Alaska fund No year. Redistribution, funds
for indigent, Alaska fund do 23, 620. 69
30, 023. 62 19I 629. 34
$6, 402 93 $19, 629. 34 $16, 266. 42
81&1&. 57
$16, 266. 42
15, 921. 85
$9, 765. 85
23, 965. 26
33, 731. 11
Alien Property Custodian: Sa aries and expenses, Of-
fice of Alien Property Custodian
Printing and binding, Of- fice of Alien Property Custodian
Protection and return of works of art, Office of Alien Property Custo- d' ian
1925 1924 1923
1925
1924
24. 68 47, 449. 94
1, 514. 83
' 221, 500. 00
1, 000. 00
199, 687. 64 81. 9B
1, 000. 00
199, 665. 66
1, 000. 00
$47, 449. 94
21, 812. 36 46. 66
1, 514. 83
Total, Alien Property Custodian 48, 989. 45 222, 500. 00 200, 665. 66 47, 449. 94 23, 373. 85
A merican BattLe Monuments Commissi on:
American Battle Monu- ments Commission 1924-26
1925 1924-25
's 73, 734. 50
if el
1& 474, 860. 65 ', 5 25& 000. 00 25, 000. 00
25, 000. 00
548, 595. 15
Total, American Bat- tle Monuments Commission
Arlington Memorial Amphi- theater Commission:
Arlington Memorial Am- phitheater '7 No year.
Arlington Memorial Bridge: Arlington Memorial
Bridge No year. ~
Board of Mediation and Con- ciliation:
Board of Mediation and Conciliation Certified claims.
73, 734. 50 499, 860. 65
473. 67
500 000 00
5. 42
10, 000. 00
25, 000. 00
10, 000. 00
5. 42
548 595 15
476. 82
490, 000. 00
Bureau of EPciency: Salaries and expenses
Increase of compensation, Bureau of Efficiency
1925 1924 1923
1924 1923
8, 720. 10 1, 894. 52
1& 044. 67 696. 64
7 152, 500. 00 147, 063. 42 8, 1&76. 51
886. 00
144, 587. 91
866. 00
1, 394. 52
696. 64
5, 436. 58 6, 195. 61
1& 430. 67
f Exclusive of amount transferred to p. 287.
'& Transferred from 1924-25 account. 6 Transferred from 1925 account.
"Civil service retirement snd disability fund, " » Exclusive of $474, 860. 65 transferred to 1924-26 account and $139. 35 to "Civil service retirement and disability fund, " p. 287.
«Balance of $73, 750 transferred as follows: $73, 734. 50 to 1924-26 account and $15, 50 to "Civil service retirement and disability fund " p. 287.
» For» Blaus for memorial amphitheater at Arlington, Va. , " see p. 188.
50 RECEIPTS AND DISBURSEMENTSr 19&25
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements sre printed in italics]
Appropriations available in 1925
Appropriations from the general fund year Balances July 1, 1924 Appropriations
Disbursements by years
Total disburse- rnents in 1925
Amount carried to surpus fund
Balances June 30, 1925
Bureau of Egciency — Con. Printing and binding, Bu-
reau of Efficiency 1925 1924 $32. 57
$500. 00 $495. 00 ib9. 91
$335. 09
$5. 00 192. 48
Total, Bureau of Ef- ficienc 6, 888. 50 1. 53, 000. 00 144, 587. 00 $2, 091. 16 13& 260. 34
Civil Service Commission: Salaries, Civil Service
Commission 1925 1924 1923
Salaries and expenses, Civil Service Commis- sion 1925
1924 1923
(") 12, 025. 41 l
" 29. 90 13, 184. 48
' 792, 920. 00
' 30, 390. 00
790, 245. 67 '6 8, 88b. 98
27, 361. 28 18@ 70
787, 379. 64
27, 226. 58 13, 184. 48
3, 028. 72 164. 60
2& 674. 43 853. 27
12, 025. 41
Additional employees, Civil Service Commis- sion 1924
1923
Salaries and expenses, employees' retirement act, Civil Service Com- mission 1925
1924 1923
Printing and binding, Civil Service Commis- sion 1925
1924 1923
Rent, Civil Service Com. 8 ion
Traveling expenses, Civil Service Commission
Certified
1925
1925 1924 1928 1920
claims.
Less repayments trans- ferred to "Civil service retirement and disa- bility fund, " as indi- cated by footnotes
Increase of compensation, Civil Service Commis- sion 1924
1928
Contingent expenses, Civil Service Commis- sion 1925
1924 1923 1922
r 2, 891. 40 24, 299. 55
(19) 1, 517. 56
6, 326. 18
4, 487. 29 3, 956. 86
4, 000. 00 1, 240. 20
5, 950. 55 8& 801. 20
83, 160. 03
2, 184. 65
7 85, 850. 00,
38, 000. 00
59, 000. 00
21, 875. 00
19& 000. 00
2. 31
1, 283. 08 1b. b8
34, 583. 61 e'878 1b
800. 11
38, 562. 06 3, 900. 59
54. 86 8. 81
50, 464. 22 3, 805. 53
21, 875. 00
18, 082. 57 5, 429. 60
36. 00 . 70
2. 31
1, 26'7. 56
83, 855. 46
800. 11
37, 515. 20
53, 769. 75
21, 875. 00
18, 549. 78
24, 815. 07
1, 517. 56
6, 326. 13
3, 901. 2. 31
1, 240. 20
8, 265. 20 . 70
1, 608 32
1& 316. 39 566. 1B
200. 11
4, 437. 94 53B. 70
8, 635. 78 694. 47
5, 917. 43 620. 96
Total, Civil Service Commission 81, 025. 88 997, 087. 81 981, 238. 86 65, 778. 56 31, 046. 27
' Exclusive of amount transferred to "Civil service retirement and disability fund, " p. 287. » Balance of 51, 168 and 82, 012. 66 repayments transferred to "Civil service retirement and disabfiity fund, " p. 287. » Balance of 857 and 8121. 99 repayments transferred to "Civil service retirement snd disability fund, " p. 287.
ItECEIPTS AND DISBUBSEMENTSr 1925
1Nebursemente, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in iMics]
51
Appropriations available in 1925
Appropriations from the general fund year Balances July 1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 59, 1925
Commission of Fine Arts: Expenses, Commission of
Fine Arts 1925 1924 1928
$8. 00 58. 29
r $4& 964. 50 $4, 956. 24 117. 70
$58. 29
$8. 26 120. 70
Inci'ease of compensation, Commission of Fine Arts
Printing and binding, Commission of Fine
Total, Commission of Fin Art '
e rts
1924
1925 1924 250. 00
311. 29
300. 00
5, 264. 50
$4, 838. 54
255. 15
5, 091. 49 58. 29
2. 20
18. 24 276. 61
426. 01
Emploffees' Compensation Commissionr
Salaries, U. S. Employees' Compensation Commis- alon 1925
1924 1928
Increase of compensation, U. S. Employees' Com- pensation Commission 1924
1928
Contingent expenses, U. S. Employees' Compen- sation Commission 1925
1924 1923 1922
121. 60 1, 141. 50
867. 54
7188, 510. 00
11, 500. 00 500. 00
133, 000. 00 l&88. 75 805. 87
108. 08 8'. 88
11, 000. 00 819. 19 8lj9. 00 17. 98
131, 961. 98
187. 85
1, 746. 77
34. 83
1, 216. 54 17. 92
510. 00 554. 25
103. 02
500. 00 180. 81
Employees' compensation fund No year.
1925 and prior. 1924 and prior.
Printing and binding, U. S. Employees' Compen- sation Commission 1925
1924
Total, Employees' Compensation Commission
Pederal Board for Vocational Education:.
Permanent— Salaries and expenses,
Federal Board for Vo- cational Educ ation 1925
1924 1923 1922 1920
Certified claims.
20. 00
137, 819. 17
139, 469. 71
r 15 612 72 928. 32
2, 500, 000. 00
4, 000. 00
2, 649, 510. 00
r 197, 000. 00
. 45
889. 50 2& 319, 514. 87
136, 746. 62
10, 952. 27
2, 465, 871. 99
2) 601& 628. 47
184, 018. 17 9, 005. 12
. 42 8& 090. 05
1, 0. 15 . 45
4, 000. 00 580. lr8
3, 479. 58
3, 015. 56
927, 90 3, 090. 05
40. 15
909. 50 180, 486. 18
572. 55
520. 42
184, 335. 68
12, 981. 88 6, 607. 60
Salaries and expenses, vocational rehabilita- tion of persons dis- abled in industry 1925
1924 1923 1922
' 6, 627. 09 456. 74
75, 000. 00 64, 500 00 . 89
8, 597. 01
189, 893. 96
61, 903. 88
456. 74 2, 597. 01
10, 500. 00 5, 526. 20
' Ezclusive of aiuount transferred to o Civil service retirement and disability fund, " p. 287.
52 RECEIPTS AND DISBURSEMENTS, 1925
Disbttrsements, baLancss, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in ifettcs]
Appropriations from the general fund Fiscal year Balances July
1, 1924 Appropriations
Appropriations evadable in 1925
Disbursements by years
Total disburse- ments in 1925
Amount carr&ed to surplus fund
Balances June 30, 1925
Federal Board for Vocational Edttcati on — Continued.
Permanent — Continued. Cooperative vocational
rehabilitation of per- sons disabled in in- dustry 1925
1924 1923
$479, 145. 59 721& 724. 85
$839. 000. 00 $556, 078. 59 18 88
$721, 724. 85
$282, 921. 41 479, 161. 8?
Cooperative vocational education in agricul- ture 1925
1924 1923
110, 232. 22 77, 113. 97
2, 544, 000. 00 2, 398, 081. 73 20, 228. 22
$556, 062. 31
2, 418, 309. 95 77, 113. 97
145, 918. 27 90, 004. 00
Cooperative vocational education, teachers, etc 1925
1924 1923
Cooperative vocational education in trades and industries 1925
1924 1923
Total, Federal Board for Voca- tional Education
FederaL Oil Conservation Board:
Federal Oil Conservation Board 1925 — 26
Federal Power Commission: Federal Power Commis-
sion No year. 1925 1924
Federal Power Commis- sion (transfers, act May 21, 1920)—
To Department of Ag- riculture No year.
To Department of the Interior, Geological Survey do
1924
Printing snd binding, Federal Power Commis- sion 1925
1924
Permanent snd indefinite— Special fund: Payments
to States under Fed- eral water power act No year.
Total, Federal Pow- er Commission
95, 439. 02 95, 385. 65
173, 170. 09 108, 342. 92
1, 883, 079. 18
'c 39, 457. 04
10& 435. 53
"1 640 00
" 1, 500. 00 32. 98
1, 000. 00
2, 288. 08
56, 353. 63
1, 100, 000. 00
2, 566, 000. 00
7, 321, 000. 45
50, 000. 00
r 6, 342. 20
4, 500. 00
4, 381. 14
15, 223. 34
1, 022, 880. 29 14, 427. 13
2, 420, 542. 55 40, 892. 09
14, 461. 44 6, 317. 00 3, 902. 53
1, 165. 70
1, 092. 00 32. 98
3, 000. 00 999. 70
2, 063. 07
I, 037, 307. 42 95, 385. 65
2, 461, 434. 64 108, 342. 92
24, 680. 97
1, 16S. 70
I, 124. 98
3, 999. 70
2& 063. 07
33, 034. 42
6, 724, 912. 16 1, 009, 679. 24
77, 119. 71 81, 011. 89
145, 457. 45 132, 278, 00
1, 469, 488. 23
50, 000. 00
24, 995. 60 25. 20
6, 533. 00
474. 30
408. 00
1, 500. 00 , 30
4, 606. 15
38, 542. 55
Federal Reserve Board: Permanent and indefinite—
Special fund: Salaries snd expenses, Fed- eral Reserve Board Xo year. 141 869, 374. 71 , 572. 84, 1, 1, 676, 733. 21 334 214. 34
' Exclusive of amount transferred to "Civil service retirement and disability fund, " p. 287. s& Exclusive of 53, Its transferred to same object under Departments of Agriculture snd Interior'. II Sec note 20.
RECEIPTS AND DISBURSEMENTSr 1925
Diffbursemenf 0, balances, efc. — Continued
[Repayments to appropriations in excess of disbursements are printed in italics]
Appropriations avaaable in 1925
Appropriations from t e general fund h Fiscal Balances July
1, 1924 A pproprations
Disbursements by years
Total disburse- ments in 1925
Amount cerned to surplus fund
Balances June 30, 1925
frederal Trade Commission: Federal Trade Commis-
sion 1925 1924 1923
li 1922 1920
Increase of compensation, Federal Trade Commis-
" $17 445. 56 1, 783. 01
7 $979, 350. 00 $975, 073. 68 8, 185. 16
91. 07 189. 85 89. 17
$971, 689. 03
$1, 874. 08 139. 25 29. 17
$4, 276. 32 20, 570. 72
on Sl
- Printing and binding, Federal Trade Commis- s ion
Indefinite— Increase of compensa-
tion, Federal Trade Commission
Total, Federal Trade Coinmis- sion '
1924 1923
i
1925
1920
8, 000. 00 1, 750. 93
20, 000. 00
28, 979. 50 999, 350. 00
588. 01
20, 000. 00
585. 01
20, 000. 00
991& 148. 19
1, 750. 93
5. 83
3, 799. 26
8, 535. 01
33, 382. 05
Cards and tabulating equipment, General Ac- counting Office
Contingent expenses, General Accounting ' Office
1923
1925 1924 1923
-Printing and' 'binding, General Accounting Office 1925
1924 1923
0enera/ Accounting Oncet Salaries, General Account-
ing Office 1925 — 26 1925 1924 1923
Increase of compensation, ' General Accounting Office 1924
1923
' 64, 396. 27 223, 255. 40
21, 288. 00 36& 402. 18
39, 595. 48
89, 676. 33 39, 878. 89
7, 500. 00 9, 458. 29
50, 000. 00 7 3, 394, 852. 00
300, 000. 00
25, 000. 00
3, 359, 716. 15 8, 0ib; /7
1, 1e88. 80
264, 073. 07 33, 354. 70
89. 87
21, 451. 73 186. 78
3, 351, 700. 68
1, l&88. 80
297, 398. 50
21, 638. 51
223, 255. 40
36, 402. 18
39, 595. 48
39, 908. 16
9, 458. 29
50, 000. 00 35, 135. 85 72, 411. 74
22, 776. 60
35, 926. 93 56, 321. 63
3, 548. 27 7, 313. 22
Total, General Ac- counting Office 531, 450. 84 3, 769, 852. 00 3, 669, 249. 09 348& 619. 51 283, 434. 24
U, S. Housing Corporation: Salaries 1925
1924 1923
751. 23 367. 80
50, 650. 00 50, 310. 56
367. 80
339. 44 751. 23
Contingent expenses 1925 1924 1923
Operation of projects 1925 1924 1923
6, 770. 71 3, 816. 41
206, 116. 09 87, 055. 85
44, 000. 00
786, 315. 00
41, 921. 01 497. 45
582, 643. 54 3, 565. 03
50, 310. 56
42, 418. 46
586, 208. 57
3, 816. 41
87, 055. 85
2, 078. 99 6, 273. 26
203, 671. 46 202, 551. 06
' Exclusive of amount transferred to "Civil service retirement and disability fund, " p. 287. ' Iucludes 87, 000 returned from "Civil service retirement and disability fund, " p. 287.
54 RRCRII&TS AND DISBQRSRMEKISr 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements sre printed m ffsfics]
Appropriations from the, general fund Fiscal Balances July
1, 1924 Appropriations
Appropriations available in 1925 Disbursements
by years Total disburse. ments in 1925
Amount carried to surplus fund
Balances June 36t 1925
U. S. Housing Corporation— Continued.
Printing and binding, U. S. Housing Corpora- tion 1925
1924
Housing for war needs. Certified claims.
Judgments United States, courts IJ. S. Housing Corporation No year.
Total, U. S. Hous- ing Corporation
$499. 09 $1, 450. 00
500. 00
1, 957. 00 18. 57
307, 334. 18 882, 933. 57
$980. Z8 8ig 08
500, 00
1, 871. 57
$766. 76
500. 00
1, 871. 57
682, 075. 92
$469. 22 713. 11
104. 00
$91 240 06 416 951 77
Interstate Commerce Commis- sion:
Interstate Commerce Com- mission 1925 — 26
1925 1924 1923 1921
Certified claims.
Increase of compensation, Interstate Commerce Commission 1924
1923
Printing and binding, In- terstate Commerce Com- mission 1925
1924 1923
' 214& 757. 94 54, 199. 91
28, 714. 78 13, 021. 91
449. 27 54. 98
300, 000. 00 z 4, 514, 388. 30
47. 01
145, 000. 00
50, 000. 00 4, 365, 324. 62
109, 163. 45 16. 97 8. 7O
47. 01
8, 718. 89
125) 000. 00 408. 56
. 52
4, 524, 549. 35
8, 718. Btf
125, 409. 08
54, 182. 94 2. 70
13, 021. 91
54. 46
250, 000. OO
149, 063. 68 105, 594. 49
32, 433. 77
20, 000. OO
40. 71
Indefinite— Specisl fund—
General railroad con- tingent fund, sec. 15a, Interstate Commerce act No year.
Total, Interstate Commerce Commission
Interstate Governmental Com- mission, Colorado River:
Salaries and expenses, Col- orado River Commis-
68, 207. 87 1& 137& 872. 54 1& 206, 029. 78
379, 406. 66 6 097, 307. 85
1, 206, 029. 78
5 852 269 22 67, 262. 01 557, 183. 28
ion s 1922-23 179. 72 179. 72
National Advisory Committee for Aeronautics:
Advisory Committee for Aeronautics
Advisory Committee for Aeronautics (transfers to Department of Commerce, Bureau of Stsndardsl-
Act Msy 28, 1924 Act Jan. 5, 1923
Advisory Committee for Aeronautics transfer to ( Wsr Department, sct %lay 21, 1920)
1925, 1924 I
1923 z 5 517. 26
168. 91
ts 408, 287. 3Z
1925 1924
st 31, 340. 00 1, 003. 89,
1925, ss 11& 600. 00
333, 809. 00 4, 991. 60
8t&8. 85
29, 074. 56 587. 11
2, 320. 00
337, 948. 25
29, 074. 56 587. ll
2, 320. 00
1, 021. 26
74, 478. 37 525, 66
2, 265, 44 ' 416, 78
9 280, 00
Exclusive of a&nouot transferred to "Civil service retirement and disability fund, " p. 287. && Exclusive o(343600 transferred to same object under Departments of Commerce and War, and 95 112 63 to "Civil service retirement snd disability fund& p ~ r& See note 23. " Transferred from "Advisory Committee for Aeronautics, 1925, " exclusive of 9660 to "Civil serviceretirement and disability fund, " p 297.
RECEIPTS AND DISBIIRSEMENTSr 1925
INsbursements& balances, etc. — Continued
[Repayments to spprcpristicas in excess of disbursements sre printed in italics]
&7 7
Appropriations available in 1925
Appropriations from the general fuad Balances July
1, 1925
Disbursements by years
Apprcpristicns
Total disburse ments in 1925
Amount carried to surplus fund
Ih&lan&us Junc SO, I 925
IIational Advisory Committee for Aeronautics — Con.
Increase of compensation, Advisory Committee for Aeronautics 1924
1923 $4, 500. 00l
139. 90I tf78. 01f
tt78. 04 $139. 90
$4, 572. 04
Printing and binding, Ad- visory Committee for Aeronautics 1925
1924 5, 500. 00 $13, 000. 00' 9& 138. 64
3, 809. 44 12, 948. 08
3, 861. 36 1, . 690. 56
Total, National Ad- visory Committee for Aeronautics
Perry's Victory Memorial Commission:
Perry's Victory Memorial Commission 1925
16, 829. 96~ 464, 227. 37
99, 185. 00' 50, 000. 00
382, 805. 96
50, 000. 00
1, 161. 16 97, 090. 21
49, 185. 00
Railroad Administration and Transf&ortation Act:
Federal control of trans- portation systems No year.
Loans to railroads after termination of Federal control, etc do
Indefinite— Guaranty to carriers
after termination of Federal control do
Reimbursement to car- riers of deficits during Federal control do
345, 825, 937. 36
116, 385, 347. 10
22, 922, 651. 94t
720, 967. 66
185, 087, 618. 58
88, 187, 789. 60
22, 922, 651. 94
720, 967. 66
88, 187, 789. 60'
22, 922, 651. 94&
720, 967. 66,
185, 087, 618. 58 440, 000, 000. 00 40, 913, 549. 89
139, 513, 086. 70
Total, Railroad Ad- ministration and Transportation act 462, 211, 284. 46~ 23, 643, 619. 60 181&, 571, 788. 58440, 000, 000. 00 180, 426, 636. 59
Railroad Labor Board: Salaries and expenses 1925
1924 1923
Certified claims.
Printing and binding, Railroad Labor Board 1925
1924
r 38, 305 87I 3, 501. 24'
4, 368. 05'
r 309, 000. 00'
27. 78
12, 000. 00
296& 659. 47 5, 278. 19 1, 411. 65
27. 78
5, 000. 00 4& 270. 59
303, 377. 09~
9, 270. 59'
2, 089. 59
12, 340. 53 33, 027. 68
7, 000. 00 97. 46
Total, Railroad Labor Board 46, 175. 16 321, 027. 78 312, 647. 68 2, 089. 59 52, 465. 67
Smithsonian Institution: Additional assistant secre-
tar Additional fire protection American ethnology
Astrophysical observatory
1925 1925 1925
i 1924 i
1923 i
3, 926. 27 2, 259. 85
1925, 1924 466. 67 1923 6. 29
r 5, 850, 00 1, 8, 8, 500. 00
1 56, 129. 00 48,
' 21& 091. 00, 20,
1& 462. 50 8, 500. 00
462. 50 500. 00 422. 90 243. 40 53. 00'
48, 719. 30 991. 81, 466. 67I
21, 459. 71',
2, 206. 85
5. 06
4, 387. 50
7, 706. 10 3, 682. 87
99. 19
' «elusive of amount transferred tc "Civil Service retiremeat snd disalit1' fund&" pp. 292& 299.
73270 — 26 — 5
56 RECEIPTS AND DISBURSEMENTS, 1925
Disbursements, balances, etc. — Continued
IRepayments to appropriations in excess of disbursements are printed in italics]
Appropriations available in 1998
Appropriations from the general fund Balances July
1, 1924 Appropriations
Disbursements bv years
I
I
Total disburse- ments in 19Ã
Alnoull t carried ro surplus fund
Smithsonian 1 nstitution- Continued.
International Catalogue of Scientific Literature 1925
1924 1923
$86o. 21 1, 051. 29
88, 667. 03 $7, 138. 59
87, 138. 59
$1, 528. 44 865. &l
$1, 051. 29
International exchanges
Certified
National Gallery of Art
1925 1924 1923
claims.
1925 1924 !
1923
1, 566. 37 (L 78
88. 50 34. 97,
7 48, 918. 25
1. 56
' 19, 756. 20
45, 956. 63, '
l, 561. 07' 881. 08
1. 56!
19, 491. 98:, 23. 54, ' 80. 00,
46, 638. 18
952. 86:
114. 97
2, 961. 6&
5. 30
264. 22 64. 96
National Museum: Books 1925
1924 1923
Buildings, repairs 1925 1924 1923
Printing snd binding, Smithsonian Institution 1925
1924 1923
Increase of compensation, Smithsonian Institution 1924
1923
Permanent snd indefi- nite—
Trust fund: Smith- sonian Institution (principal) Xo year.
Expenses of Smith- sonian Institution, interest account do
Total, Smithsonian Institution
3, 355. 38 125. 76
4, 166. 66 2, 676. 92
1, 000, 000. 00
1, 020, 661. 92
148. 12 9. 83'
3. 68, 9. 83
90, 000. 00
60, 000. 00
2, 000. 00
7 10, 817 12
318, 913. 04,
45, 744. 62 3. 355. 38
170. 00
478. 04
60, 000. 00
1, 900. 00 148. 12 80. 87
10, 500. 00
50. 00
19. 435. 52
48, 930. 00
60, 000. 00!
261, 805. 76
2, 017. 75
295. 76
2, 676. 92
7, 303. 71
40. 20
59. 83
44, 255. 38
4, 644. 70
1, 000, 000. 00
1, 070& 465. 49
317. 12 3. 68
Furniture and fixtures 1925 1924 1923
168. 78 . 06
r 21, 554 03~ 21, 500. OOI 100. 00! 110. 00
10, 450. 00!'
110. 06
54. 03 68. 7'
Heating snd lighting 1925 1924 1923
2 010. 60 296. 06
r 76, 591 62! 72, 003. 46 2, 000. 00
500. 00
21, 490. 00,
796. 06
4, 588 16 10. 60
Postage Preservation of collections
Certified
1925 1925 1924 1923
claims.
450 7 4241 402
1, 724 13 934. 17~
81.
00 35
76
450. 00 422, 180. 14
903. 29 888. 17&
69. 99
73, 503. 46 450. 00
422, 325. 28
1, 762. 31
2, 222. 21 820. 84
lh 77
Total, National Museum 5, 305. 26 535, 896. 88
' Exclusive of amount transferred to "Civil service retiremeat aad dissbiTity fuad, " p. 288.
530, 236. 49' 2, 768. 46, 8, 197 19
RECEIPTS AND DISBURSEMENTSJ 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in ifalicsl
Appropriations available in 1925
am the genera1 fun Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse ments in 1925
Amount earned to surplus fund
Balances Junc 30, 1925&
Oftice of Public Buildings and Public Parks of theNational Capital:
(This chapter heretofore stated under" State, Wsr, sml Navy De- p'sriment Buildings, " Independ- ~ ent Offices, snd "Public Build- ingssnd Groundsunder Chief En- gineer, " War Department, p. 219)
Salaries, Office of Public Buildings- and Public Parks of the National Capital
&Salaries, office of superin- tendent, State, War, and Navy Department Buildings»
1925
1925 1924 1923
(29i $202, 193. 38
" $421, 617. 26
" 1, 257, 328. 09
$413, 994. 72
1, 257, 823. 09 "51, i(56. 8
15. 11
$418& 994. 72
1, 205, 851. 03I $202, 208. 49
$7, 622. 54
. . Increase of compensation, State, War, and Navy Department Buildings "
Fuel, lights, etc. , State, War, and Navy Depart- ment Buildings "
Certified
General expenses, office of Public Buildings and Public Parks of the National Capital
' '
Printing and binding, office of Public Buildings and Public Parks of the Na-
, tional Capital Printing and binding,
State, War, and Navy Department Buildings "
1924 1923
1925 1924 1923
claims.
1925
1925
1925 1924
18, 571. 67 56, 497. 89
"27, 630. 81 24, 278. 18
2& 000. 00
" 372, 033. 07
408. 03
" 338, 905. 93
» 2, 051. 77
"698. 23
8, 607. 85 89. 1&5
372, 033. 07 ' 878'. 88
8& 881. 68 408. 03
244, 347. 12
2, 000. 00
698. 23 1, 726. 81
8, 687. 80
369, 845. 56
244, 347. 12
2, 000. 00
2, 425. 04
56, 527. 84
26, 499. 80
16, 179. 52
28, 004. 73
94, 558. 81
51. 77
273. 19
Power plant, State, War, and Navy Department Buildings 1925
Purchase of sites, tempo- rary buildings s' No year.
Replacing elevators, State, War, and Navy Depart- ment Building 1925 — 26
Replacing and repairing elevators, State, War, and Navy Department Building 1924 — 25
12, 718. 17
108, 719. 73
112, 281. 83 112, 281. 83 » 125, 000. 00
108, 719 73I
70, 000. 00 70, 000. 00
25, OOO. 00l 500. 00 '3, 500 2 000
24, 500. Ooi 24, 500. 00
"Transferred from "Salaries, office of Superintendent, State, War and Navy Depart- ment Buildings, 1925. "
n Heretofore stated under State, War and iVavy Department Buildings. 0 Includes $83, 211 transferred from "Salaries, office of chief clerk and superintendent,
Treasury Department, 1925, " and excludes $462, 102. 91 transferred to accounts as follows:
Salaries, office of Public Buildings snd Public Parks of the Nai. ianal Capital, 1925 $&421, 6 1 r. 26
Civil service retirement and disability fund, p. 288 40, 485. 65 n Balance of $33, 099. 4s, snd $5, 500 transferred from "Fuel, lights, etc. , State, tvar, and
Navy Department Buildings, 1924, " together with $51, 400. 57 repayments were trans- hrred ta "Power plant, State, War, and Navy Deportment Buildingc, 1925. "
"Exclusive of $338, 905. 93 transferred to "General expenses, office of Public Buildings snd Public Parks o[ the &National Capita], 1925, " and includes $48, 689 transferred frani accounts as follows:
Contingent expenses, Treasury Department— Fuel, etc. , 1925. $3, 050 Gss, etc. , 1925 2, 5, &9
Miscellaneous items, 1925&. 580 Operating expenses, annex building, Fourteenth and B Streets N W. ,
1925 . 32, 000
Repairs and preservation of public buildings, 1925 Mechanical equipment for public buildings, 1925
» Exclusive of $40, 500 transferred &o accounts as follows: Salaries, office of Superintendent, State, War, and Navy Department
Buil&iings, 1924 ----- — ---- -- ---- — . 5, 500 Power plant, State, &var and iVsvy Department Buildings, 1925 35, 000
i& Transferred fram "Fuel, lights, etc. , State. tvar, and Navy Department Buildings, 1925. "
ii Transferred from "printing and binding, State, vv:&r, and Navy Department Build- ings, 1924. "
i' See note 33. '"' Transferred from accounts as 1'ollows:
Salaries, office o( Superintendent, State, tvar, and iV&;ivy Depart- ment Buildings, 1924 . $90, 000
Fuel, lights, etc. , State, War, and Navy Department Buildings, 1924 35, 000 u Heretofore stated under Public Buildings and Grounds under chief engineer, War
Dcpartnient, p. 219.
58 RECEIPTS AND DISBURSEMENXSr 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in escess of disbursements are printed in italics]
Appropriations available in 1925
Appropriations from the general fund year Balances July 1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1921
Once of Public Buildings and Public Parks of the National Capital — Continued. Care and maintenance,
Lincoln Memorial ss
Care and maintenance, Washington Monu- ment"
Extraordinary repairs and replacement of elevator and machinery, Wash- ington Monument
Improvement and care of public grounds ss
Repairs to building where Abraham Lincoln died s'
1925 1924 1923
1924 1922-28
1925
1925
1925 1924 1928
" $750. 50 sr 1, 167. 97
s' 641. 14 s' 740. 17
s'7. 85 sr 11. 62
sr 4) 257. 16 4, 000. 00
s& 80 000 00
"1, 109. 88
'r 1, 847. 85
28, 000. 00
1, 075. 00
1, 250. 00'
s' $4, 880. 54 $4, 500. 00
$4, 500. 00
4, 000. 00
28, 000. 00
1, 075. 00
$1, 167. 97
740. 17
11. 62
$380. 54 750. 50
257. 16 641. 14
2& 000. 00
34. 33
97. 35 7. 35
Reiiecting pool, West Poto- mac Park s' No year.
Less repayments trans- ferred to "Power plant, State, War, and Navy Department Buildings, 1925"
Total, Of5ce of Public Buildings and Pub- lic Parks of the Na- tional Capital
U. S. Coal Commission: United States Coal Com-
mission 1928 — 24 1928
sr 5& 652. 16
568, 862. 57
51, 400. 57
517, 462. 00
12, 086. 84 123. 27
2, 529, 681. 76
4, 000. 00'
6. 75
1, 250. 00
4, 000. 00
6. 75 128. 27
2, 415, 488. 00 287, 155. 39
1, 652. 16
344, 505. 37
12, 080. 09
Total, U. S. Coal Commission
U. S. Food and Fuel Admin- istrations:
Salaries and expenses, U. S. Food Administration
Certified claims. Judgments, Court of
Claims, U. S. Food Ad- ministration No year
National security and de- fense, U. S. Food and Fuel Administrations, educa- tional ss do
Total, U. S. Food and Fuel Administra- tions
12, 210. 11
4. 20
6& 564. 52i
42. 22,
6, 606. 74
6, 564. 52
42. 22
6. 75
6, 564. 52
42. 22
6, 606. 74
123. 27 12, 080. 09
4. 20
4. 20
U. S. Shipping Board: Salaries and expenses, U. S.
Shipping Board 1925 1924 1923
57, 203. 96 80) 153. 76
1:. mergencr shipping fund, I . S. Shipping Board Xo year. , 969, 873. 76
' 336, 090. 50 325, 441. 80 PJr, 194. S7
958, 449. 72 301& 246. 98 958, 449. 72
80, 153. 76
10, 649, 20 81, 398. 33
11, 424 04 ' I'. solus&vc of. &mount traosferre)f to "Civil service retirement and disability fund, " p. 288.
&s iieretofore stated under Public Buildings and Grounds under chief engineer, Wsr Department, p. 219, where additional transactions will be found- " Transferred from sa&ne object under War Department, p. 219. '& see p. 03 for "National security aud defense" statement.
BE CEIPTS AND DI SBUBSEMENTS& 1925
Disbursemsnfs, balances, etc. — Continued
Repayments to appropriations in excess of disbursements are printed in italics)
G9
Appropriations available in 1925
Appropriations from the general fund year Balances July 1, 1924
i D&sbursements by years
Appropriations
Total disburse- rnents in 1925
Amount carried to surplus fund
Balances June 30, 1925
U. S. Slit pfrin Board — Con. U. S. Shipping Board 1925
1923 $1, 016, 601. 18 $30, 000, 000. 00 $29, 999, 997. 75i
$29, 999, 997. 75
$2. 25 1, 016, 601. 13
Printing and binding, U. S. Shipping Board 1925
1924 2, 165. 56 5, 000. 00 5, 000. 00
706. 65 2, 872. 21
Judgments, U. S. courts, U. S. Shipping Board Xo year.
Indefinite— Judgments in admiralty
suits under act of Mar. 9, 1920, U. S. Shipping Board do
Special fund— Construction loan
fund, U. S. Ship- ping Board do
Total, U. S. Ship- ping Board
4, 782. 47
55, 284, 000. 00
o?, 364, 780. 64
184, 341. 27
4, 293. 35
189, 123. 74 189, 123. 74
71, 157. 46 71, 157. 46 71, 157. 46
2, 981, 931. 62 9, 861, 422. 26 9, 861, 422. 26
33, 578, 520. 85 . 41, 885, 691. 21
$43, 577. 74
123, 731. 50
48& 310, 931. 62
49, 433, 878. 78
U. S. Turin Commission: U. S. Tariff Commission
Increase of compensation, U. S. Tariff Commis-
1925 i
1924 i
1923 !
r 6, 086. 18 48, 040. 27
r 669, 740. 00' 632, 4,
190. 03 934. 03
634, 626. 32 50, 538. 01'
37, 549. 97 1, 152. 15
sion
Printing and binding, l. . S. Tarià Commission
Total, U. S. Tariff Commission
1924 I
1923 i
1925 1924
7, 006. 20 956. 31
15, 000. 00
77, 088. 96
107 000. 00
679, 740. 00
6, 994. 92 14& 999. 04',
9&8. 61, I
21' 993 96i
655, 677. ii4
956. 3li
51, 494. 32
7, 948. 84
3, 005. 08 . 96
49, 657. 00
U. S. Vsferans' Bureau: Salaries and expenses, Vet-
erans' Bureau 1, 759, 093 13 6, 081, 154. 31
'47, 134, 420. 00 45, 375, $88,
78, 88,
1925 1924 1923 1922 1921 1919
claims.
326. 87 698. 71 500. 10 755. 59
6. 89 . 85,
677. 11 ' 44, 84
5, 647, 460. 60 r 826, 872. 49 899, 372.
28, 755. 6.
59, '
59, j 39'
677. 11 Certified 1, 047. 34
Salaries and expenses, Vet- erans' Bureau (trans- fer to Treasury De- partment, Public Health Service)—
Act June 7, 1924 Act Feb. 13, 1923
Increase of compensation, Veterans' Bureau
17& 856. 00 18, 181. ?8
'c 18, 580. 00 1925 1924
17, 856. 50 18, 181. 78
723. 50 237, 115. 68 r 218, 933. 96, '
85, 177
98 43',
881. 77 859. 0$
$8, 680. 81
1, 369, 263. 75 178 , 914. 4?
418. 22 913, 418. 22 255, 081. 78
000. 00 100, 000, 000. 00
and 8862 000 to "Civil service retirement and disability fund" p 288
1924 1, 343, 441. 1923
I
1 161 055
Adnnnistrative expenses, %'orld War adjusted compensation act, Vet- erans' Bureau 1924 — 25 ---- 1 ' 1, 168, 500. 00'
Adjusted service certifi- cate fund, Veterans' Bu- reau ~T . linn 000 000. 00 100 000
' Exclusive of amount transferred to " Civil service retirement and disability fund, " p. 288. @xcfusive of 918, 580 transferred to same object under Tresiury Department, Public Health Service,
u see note 39,
RECEIPT~ AND DISBUBSEIjfmKTS, 1925
Dt'eburserrtertfe, balances, ele. — Continued
[Repayments to appropriations in ercess of disbursements are printed in i/offer j
Appropriations available in 1%~
Appropriations from the seaeral fund
tppropriarions I, 1924
Disbursements bv years
Total disburse- Amoaat carrie, :Bahmcta Jam meats in 1925 to surplus fund
L . S. 7' eferarts' Bureau— Continued.
Adjusted service snd de- pendent pay, Veterans' Bureau
Hospital facilities snd services, Veterans' Bu-
Vo year. 826. 629, 898. 00 $3, 100, 000. 00 $3, 100, 000. 00 $23 529 398 00
do 41 $8, 600, 709. 75 1924-26 1924-25
8, 068, 095 50 875, 063. 82 820, 000. 00 !
537, 614. 25 2, 654, 986. 18
reau tr 8, 580, 000. 00
~ 820, 000. 00 4, 258. 159. 82
Medical snd hospital serv- ices, Veterans' Bureau 1925
1924 1928 — 24
1928 1922 1921
Certified claims
12, 148, 609. 35 15, 449, 51L 12
26. 015, 780. 58 3, 417, 17K 54
44 2, 800, 000. 00 4418, 866, 689. 66
~16, 884, 264. 44 49777. 88 's 113. 25
~35, 364, 389. 93
048, 133. 06 172, 854. 28
2, 731. 78 8 50
$17, 1,
88
88, 90
28,
168, 868 179, 078
8, 818 166, 205 166, 214. 40
260, 601. 42 Medical and hospital serv-
ices, Veterans ' Bu- reau (transfers, acts Feb. 13, 1928, and June 7. ,
1924)— To Department of the
Interior, St. Eliza- beths Hospital — Act June 7, 1924 1925 '
To Navy Department- Act June 7, 1924 1925 Act Feb. 13, 1923 1924
To Treasury Depart- ment, Public Health Service-
Act June 7, 1924 1920 Act Feb. 18, 1923 1924
To Wsr Department- Act June 7, 1924 1925 Act Feb. 13, 1928 1924
To Wsr Department, Vstjonal Home for Disabled Volunteer Soldiers-
Act June 7, 1924 1925 Act Feb. 13, 1928 1924
Military and naval com-
F tion, Veterans uresu Xo year.
1925 and prior.
45, 509 48 45, 509. 48; m 50, 173. 00.
51 1 507 800 00 1
4, 663. 52
314, 634. 58 8, 937. 29
198, 165. 42 1, 198, 165. 42' 845, 750. 75 845, 750. 75. ' ss 349, 688. 04
15, 655. 50 29, OSL 47
440, 076. 10 161, 065. 69
I
360, 604. 50 860, 604. 50 11, 243. 19 11, 243. 19
st 376 260 00 40, 824. 66
660, 696. 55 2, 660, 696. 55 228, 720. 31 228, 720. 81'
s'8 100 772 65 2 389, 786. 00
180, 429 24 178, 868. 89 178, 6b'S. 88 1, 775. 35
I
191, 464. 55 656, 968. 31
140, 848, 427. 86
168, 452. 89: — — — — --- —------ 6, 343, 086. 69
64, 359, 916. 94 83. 000, 000. 00 76,
110. 6~/l 110 8 3b2 16L 50
ylational Home for Disabled Volunteer Soldiers, 1923 National Home for Disabled Volunteer Soldiers-
%arian Branch, 1923 Af ountam Breach, 1923 Pacific Branch, 1923
Navy Department. 1923 " Returaed from same object under Treasury Department. a Transferred from "Medical and hospital services, Veterans' Buratu tp siva of $1, 077 transferred to "Civil service retiremeat and disaMily fund p
IN' a Transferred from "sfedical and hospital services, Veterans' Bureau 1915. a facludes $29, 000 transferred from "Medical and hospital services, Vetenca/ Btm
1924, " and ercludes $4 transferred to "Civil servfce~t and disabBity fatab p. 283.
a The $b 599, 527. 42 transferred from "medical and hoaaitaj mrvises, Veterans B~ 1925, " to this object was carried to the surPlus land on llfgr, P. 3$0r ttnder the P ~ of the act of June 7, 1924 (43 Stat. 532) .
t
Mlitt sI'y snd nsvsl fsInily allowance, Veterans' Bureau Xo year. 362, 050. 86
o Erclades $2, 034. 42 trsasferred to "Civil service retirement and disability fund, " p. 288, and includes $9, 250 returaed from "Hospital facilities and services, Navy De- partment.
o Transferred from 1924-25 ~ant. o See aote 42. o Transferred from 1924 and 1923-24 accounts. o Erclusive ol $6, 635, 610. 07 transferred to same object uader suadry departments, per
notes. ' ~ Ercjusive of $1, 127~ transferred to 1925 accoaat and KB, 000 to same object nader
blavy Department. " Balance of su~&, 000 transferred to 1925 account. " Exclusive of $51, 921. 76 transferred to "Civil Service retirement and disability fund, " p. 2SS, and includes $901~. 89 returned from the following accounts:
Medical and hospital mrviccs- Public Health Service, 1923 $740, 181. 63 tt ar Departmeat, 1923 13, 556, 23 war Department, improvements Fitrsimons General Hospitab 1923- 18, 0ol 00
RECEIPTS AND DISBURSEMENTS, 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in italics]
appropriations available in 1925
Appmpristions from the general fund year Balances July 1, 1924 Appropriations
Disbursements by years
Total disburse ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
U. S. Veterans' Bureau— Continued.
Military and naval insur- ance, Veterans' Bu-
n)) se re &I 1 1 1925 1923
$88, 000, 000. 00 , $88, 000, 000. 00
57. 50 $87, 999& 942. 50
$57. 50
Claims for damages, act Dec. 28, 1922, Veterans' Bureau No year.
Printing snd binding, Vet- erans' Bureau 1925
1924
Soldiers' snd sailors' civil relief claims, Veterans' Bureau 1923
Vocational rehabilitation, Veterans' Bureau No year.
1925 1924 1923 1922 1921 1920
Certified claims.
$626. 16
50, 000. 00
933. 05
275, 000. 00
13, 277, 588. 34 3, 961. 26
67. 00 lb. 00
900, 000. 00
102, 405. 23
2, 500. 00
818. 76 89, 000, 000. 00
8, ooo. 71
66 174 3, 402,
543, 1, 656,
18, 8,
102,
888. 19 041. 11 424. 78 164. 52 116. 18 989. 99 690. 88 405. 23
1, 559. 21
193, 801. 75 8') 67tr. 68
1, 559. 21
109, 154. 12
8, 006. rzl
68, 550, 017. 05
5& 505. 71
1, 655, 116. 13 12, 996. 99 3, 705. 28
$81) 198. 25 134, 647. 63
1, 100. ". 5)
22, 825, 958. ' 9 9, 875, 163. 6
360, 796. 74
reau 1922 1921
Certified claims.
Vocational rehabilitation, revolving fund, Veter- ans' Bureau No year
Payment to Edith W. Pea- cock, treasurer, Peacock Military College (Inc. ) do
Permanent and indefinite- Incresse of compensa-
tion, Veterans' Bu-
198, 050. 54
12, 000. 00
456. 67'
9or. 88
12, 000. 00
108, 650. 75 . 88
456. 67
17, 7„9or. 88I
12, 000. 00
108, 19lj. Jtl
108, 650. 75 . 33
342, 957. 87
Special funds— Losses on war-risk insur-
ance of American ves- sels, their cargoes, etc No year.
Military and naval in- surance, Veterans' Bureau do
Injury claims assigned, Veterans' Bureau do
Vocational rehabilita- tion, Veterans' Bu- res u do
Trust fund— United States Govern-
ment life insurance fund, Veterans' Bu- reau do
Total, U. S. Vet- erans' Bureau
7, 806. 20' 762, 967. 72'
9, 180, 453. 25,
50, 065. 12
672. 25
475, 765. 48 43, 941, 103, 50
524, 606, 889. 74 140, 857, 412. 12l
3, 742, 848. 02 3, 742, 848. 02
672. 25 672. 25, '
43, 989, 728. 75ce43& 989, 728. 75
530, 994, 388. 25
770, 773. 92
5, 437, 605. 23
50, 065. 12
427, 140. 23
12, 184, 651. 02 22, 285, 262. 591
War Finance Cor porationt Subscriptions to capital
stock, War Finance Corporation No year. J)99, 000, 000 00 499, 000, 000. 00
" Annual appropriation provided for beginning with the fiscal year 1923, » Includes 332, 533, 709. 44 paid by warrants on account of investments. Face amounts of investments were 3148, 413, 950, as of June 30, 1925,
62 RECEIPTS AND DISBURSEMENTS, 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in ifaffcr]
Appropriations from the general fund Fiscal year
Appropriations available in 1925
Balances July ~ Appropriations 1, 192t
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances 1 une X, 1925
WateruIays Commission: Waterways Commission No year. I
Miscellaneous commissions, boards, etc. :
Agricultural conference assembled by the Presi- dent 1925-26
U. S. Commission for Cel- ebration of Two Hun- dredth Anniversary of Birth of George Wash- ington No year.
l'. S. Mecklenburg Ses- quicentennial Commis-
sionn
U. S. Lexington-Concord Sesquicentennial Com- mission 1925
U. S. Bunker Hill Sesqui- centennial Commission 1925 — 26 '
National Sesquicentennial Exhibition Commission No year.
Commission on exporta- tion of pulp wood and paper do
Federal fuel distribution do Federal fuel distribution
(transfer to Navy, act May 21, 1920) do
Nitrate plants, methods of utilization do
Printing and binding, Lin- coln Memorial Commis- sion '1923-24
Printing and binding, U. S. Geographic Board 1925
1924 1923
Protection of interests of United States in leases on oil lands in former naval reserves No year.
1925-26
$100, 000. 00
10, 000. 00 42, 543. 60
3, 414. 92
ae 40 000. 00
3, 600. 00
878, 39 664. 48
85, 668. 85
$50, 000. 00
10, 000. 00
15, 000. 00
15, 000. 00
15, 000. 00
25, 000. 00
1, 000. 00
100, 000. 00
$10, 000. 00
5, 000. 00
10I 773. 51
15, 000. 00
15, 000. 00
669. 67
17, 000. 00
90. 68 113. 10
81, 673. 63
$10, 000. 00
5, 000. 00
10, 773. 51
151 000. 00
15, 000. 00
669. 67
17, 000. 00
203. 78
81, 673. 63
$664. 48
$100, 000. OO
40, 000. OQ
5, OOO. 00
4, 226. 49
25, 000. 00
lO, 000. 00 41, 873. 93
3, 414. 92
23, 000. 00
3, 600. 00
909. 32 765. 29
3, 995. 22 100, 000. OO
National security and de- fense (see notes 1, 2, and 3, p. 63) 1919 685. 50
National securitv and de- fense, Committee on Public Information " 1919 i
Council of National De- fense Certified claims.
Relief, protection, snd transportation of Amer- ican citizensin Europe No year. 65, 988. 84
Relief of Blattmsnn (k Co do Relief of Chamber of Com-
merce, Northampton, s ' as do
84. 13
97, 804. 70
4, 500. 00
86. 00
84. 13
79, 689. 81 97, 804. 70
4, 500. 00
8o. 00
84. 13
79, 689. fll 97, 804. 70
4, 500. 00
685. 50
145, 518 45
253I 444. 58 " See p. 63 for "National security and defense' statement, a Transferred from "Nitrate planta" (War),
RECEIPTS AND DISBUBSEMENTSr 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements sre printed in italics]
63
Appropriations available in 1925
Appropriations from the general fund Fiscal Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse ments in 1925
Amount carried Balances June to surplus fund, 30, 1925
Miscellaneous commissions, boards, etc. — Continued,
Less repayments to "Na- tional security and de- fense" returned to prin- cipal account
Total, miscellaneous commissions, boards, etc
$25. 00
253, 419. 58 $333, 388. 83 $178, 154. 81' $1, 349. 98 $407, 303. 62
Total, Independent Offices 666, 191, 907. 04 613, 169, 496. 73' ' 88, 7877, 770. 68 963& 401, 613. 28348, 744, 560. 92
Norz 1. — Statement for the fiscal year 1925 relative to appropriation of $100, 000, 000 made by deficieucy act of Apr. 17, 1917, for "National security and defense. "
Dlsbilrse- '1925' ments in
1925
United States Food and Fuel Administrations, educational $42. 22 $42. 22
Norz 2. — Statement for fiscal year 1925 relative to appropriation of $50, 000, 000 made by the act of July 1, 1918, for "National security and defense, 1919. "
Disburse- ments in
1925
Amount returned to prin-
cipal account in 1925
Committee on Public Information Department of Commerce Department of Justice Treasury Department.
TotaL
ffe6. OO ~
$25. 00 64. 39, 64. 39 6. if 5. 11
69f. 00 i
59L 00
66a 5o l 685. 50
Nbrz 3. — Statement for fiscal year 1925 relative to appropriations made for "National security and defense, certified claims. "
Appro- priations in 1925
Disburse- ments in
1925
Department of Labor Department of State
Total
$0. 60 257. 60
258. 20
$0. 60 257. 60
258. 20
Appropriations available in 1925
Appropriations from the general fund F iscal year Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
DEPARTMENT OF AG- RICULTURE
OItice of the Secretary: Salaries, office of Secre-
tary of Agriculture 1925 — 26 1925
Salaries, Department of Agriculture 1924
1923 7 $228, 924. 20
216, 742. 67
$1, 000. 00 7 475, 989. 00
76, 336. 55
76, 291. 76
$445, 975. 36 $445, 975. 36
$1, 000. 00 30, 013. 64
152, 587. 65 $216, 787. 46
Increase of compensation, Department of Agri-
culture 1924 1923
228, 982. 97 89, 690. 07
75, 689 85
44 2 2
75, 774. 66
153, 293. 53 89, 604. 85,
' Exclqstve of amount transferred to "Civil servi ce retirement and d isability fund, " p. 288.
RECEIPTS AND DISBURSEMENTSr 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in italics]
Appropriations available in 1925
Appropriations from the general fund Fiscal year Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse ents in 1925
Amount carried to surplus fund
Balances June 30, 1925
Once of the Secretary — Con. Compensation, mechanical
shops and power plant, Department of Agri- culture 1925
1924 1923
7 $15, 674. 74 8, 851. 78
7$101, 000. 00 $74, 455. 15 7, 654. 23 3, 382. 82
$85, 492. 20 $5, 468. 96
$26, 544. 85 8, 020. 51
Miscellaneous expenses 1925 1924 1923
1922-23
13, 688. 01 7, 833. 50
11. 17
41 155, 400. 00 114, 154. 21 6, 739. 95
181. 42, 7, 652. 08 11. 17
41, 245. 79 6& 948. 06
Miscellaneous expenses, Department of Agri- culture (transfer to De- partment of State, act May 21, 1920)
Printing and binding, De- partment of Agricul- ture
Rent of buildings
Once of Editorial and Distri- bution Work:
Salaries General expenses
1925
1925 1924 1923
1925 1924 1923
1925 1925 1924
295, 042. 60 29, 075. 48
31, 866. 00 4, 024. 09
' 909. 73
ss 600 00
738, 000. 00
196, 866. 00
' 322, 400. 00 34, 000. 00
300. 00
365, 723. 23 286& 872. 90
17& 441. 89
150, 740. 00 28, 773. 82
300, 266. 62 29, 537. 69
I, 085. 07
121, 075. 58
300. 00
670, 037. 52
179, 513. 82
300, 266. 62~
28, 512. 62
11, 634. 09
4, 024. 09
300. 00
372, 276. 77 8, 169. 70
46, 126, 00 3, 092, 18
22, 133. 38 4& 462. 31 1, 934. 80
General expenses, Division of Publications
Once of Experiment Stations: Salaries General expenses
Extension Service: Salaries General expenses
1923
1925 1925-26
1925 1924
1925 1925 1924
1923-24
4, 581. 61
' 5, 206. 47
4' 126, 105. 91 ss 12, 387. 77,
' 185, 725. 00 ' 1, 418, 180. 00
' 38, 388. 00 " 1, 713. 57 'c 1, 746, 246. 43
40. 87
35& 185. 66
1, 730, 893. 02 558. 88
171, 377. 15 1, 221, 585. 14
89, 240. 87 12, 385. 52
lj. 0. 87
35, 185. 66
1, 730, 330. 73
171, 377. 15
1, 323, 211. 53
4, 621. 88
8&
1, 15, 5,
202, 34 713. 57 353. 41 768. 76
14, 347. 85 196, 594. 86 36, 865. 04
2. 25
General expenses, States Relations Service 1923
1922 Certified claims.
70, 236. 80
5. 00
77. 80 $ 00 5. 00
7f&. 80
70, 314. 60 4. 00
Cooperative agricultural extension work
Weather Bureau: Salaries General expenses
1925
36, 293. 04
292, 908. 28
22, 055. 99
417, 226. 96 417, 226. 96 1, 576, 906. 72
154, 657. 95 130. 53 87. . I f&
. 80 66. 52
1, 731, 729. 36 4& Includes $12, 865. 91 transferred from 1923- "Civil service retirement and disability f
44 Exclusive of $12, 865. 91 transferred to 1924 ent and disability fund, " p. 288. 4& A nnual appropriation proviried for 1925,
10, 590. 09 27. 16
5. 20
21 account and excludes $812. 5 trans ed
und, " p. 288. account and $29. 60 to "Clvi se
stated on p. 70.
1925 7 453, 520. 00 1925 ' 1, 869, 815. 00 1924 ' 176, 713. 94 1923 10, 720. 62 1922 1921—
Certified claims. 66. 52
Exclusive of amount transferred to "Civil service retirement and disability fund, " p to ' V 4& 1»-fee»f s&fo» transferred to same object under Department of State.
m » T&. »»f»» l fr»» 1925 account. 44 1'wl»4»» f sl, . ls:& transferred to 1925-26 account and $2, 500 to "Civil service
retirement »& l l» &l&. l, fy fund, " p. 288.
RECEIPTS AND DISBURSEMENTS7 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in italics]
Appropriations available in 1925
Appropriations from the general fund Balances July
1, 1924 Appropriations
Disbursements I Total disburse- by years ~ ments in 1925
Amount carried, Balances June 30, 1925 to surplus fund
Bureau of Animal Ittfluslrff: Salaries General expenses
@V
Certified
1925 1925 1924 1923 1922
claims.
$1, 071& 934. 18 181, 482. 44
64 $642, 145. 00 rs 5, 669, 593. 00
876. 09
$591, 528 4, 174, 529
939, 052 28, 535
81 876
86 09 72
$591, 528. 86
$152, 946. 52 21. 68
$50, 616. 14 1, 495, 063. 91
132, 881. 46
Eradication of foot-and- mouth and other conta- gious diseases of ani- mals
Eradication of European fowl pest and similar diseases in poultry
Experiments and demon- strations in livestock productiot
1925 1924-25
1923 1922-24
ss 1, 075, 327. 69 50, 000. 00
1& 779. 72
1925 1924 1923 1922
7 455. 11 3, 100. 22
1925-26 67 100, 000. 00
4, 000. 00 3, 506, 980. 00
7 44, 781. 00
5, 142, 972, 141
4, 000 2, 099, 410
00 35',
188. Eol 2, 103, 288. 15
41, 671. 60 257. 19
. 04 8
41, 926. 89
61, 812. 44' 61, 812. 44I
3, 100. 26 1. 86
2, 482, 897. 34 50, 000. 00
1, 901. 92
38, 187. 56
3, 109. 40 197. 92
Experiments in dairying and livestock production in western United States 1925
Meat inspection, Bureau of Animal Industry 1925
Vault for refrigerating plant Bureau of Ani- mal industry . 1923
Bureau of Plant Inrlustrffr Salaries . . 1925 General expenses . 1925 — 26
1925 }&, 1924
1923 1922
Certified claims.
148. 65
' 307, 042. 55 83, 959. 88
(ss)
7 588, 940. 00 41, 000. 00
' 3, 205, 101. 00 2,
642. 25
519, 935. 93
752, 378. 45 195, 357. 22
2, 424. 03 80. 80
642. 25
519, 935. 93:
2 950 741. 65'
148. 65
81, 535. 85 60. 30
69, 004. 07 41, 000. 00
452, 722. 55 111, 685. 33
Investigating sources of crude rubber, Depart- ment of Agriculture 1923 — 24
White-pine blister rust control 1922 — Mar. 31, 1923
Purchase and distribution of valuable seeds 1923
1920 Certified claims.
Forest Service: Salaries 1925 General expenses 1925 — 26
1924-25 1925 1924 1923 1922 1917
Certified claims.
7 10, 733. 23
4, 020. 34
22& 577. 85
"83, 677. 84
7' 120, 489. 44 31, 837. 93
421. 04',
7 3, 270, 003. 00 100, 000. 00
» 6, 031, 862. 00' 125, 000. 00
190. 381
4, 350. 91
11&. 88, 421. 04I
3, 123, 209. 97 15, 000. 00 54, 002. 94
5, 624, 945. 87 242, 269. 66
8, 1&17. 08 1, 88o. I&8
l&5. 87 190. 38
4, 350. 911
406. 76'
3, 123& 209. 97
5, 931, 610. 94
4, 023. 93
22& 577. 85 14. 28
35, 255. 01 1, 355. 46
45. 37
6, 382. 32
146, 793. 03 85, 000. 00 29, 674. 90
406, 916. 13 3, 219. 78
' Exclusive of amount transferred to "Civil service retirement and disabiltiy fund, " P. 288.
«Exclusive of $91, 595 transferred as follows: Salaries, Bureau of Dairying, 1925 $75, 815 Civil service retirement and disability fund p. 288 . 15, 7SO
"Exclusive of $409, 726 transferred as follows: General expenses, Bureau of Dairying, 1925. . . $386, 600 Civil service retirement and disability fund p. 288 23, 126
«Exclusive of $101, 872. 31 transferred as follows: Eradication of European fowl pest and similar diseases in poultry,
1925-26 . $100, 000. 00 Civil service retirement and disability fund p. 288. . . . . . . . 1, 8?2. 81
» See note 66. w Account stated under Bureau of Dairying. w Annual appropriation of $1, 904 420 included with permanent annual account, p. 70. w Transferred from 1924 account. » Exclusive of $3, 000 transferred to sa&ne object under War Department and $20 ppp
to "Civil service retirement and disability fund, " p. 288, » Exclusive of $83 677 84 transferred to 1924 25 account and $15 382 76 to "Civil service
retirement, and disability fund, " p. 288.
66 RECEIPTS AiVD DISBURSEMENTS, 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in italics]
Appropriations frotn the general fund year Balances July 1, 1924 Appropriations
Appropriations available in 1925
Disbursetaents by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
Forest Service — Continued. General expenses, Forest
Service (transfer to War Department, act May 21, 1920)
Cooperative fire protection of forested watersheds of navigable streams
Insect infestations, Forest Service
1922 — Dec. 1922 — Dec.
1925
1925 1924 1923
1922-26 31& 1924 31, 1922
' $61, 386. 63 4, 467. 39
" 10, 000. 00 " 12, 074. 00 1 5 13, 280. 94
"$3, 000. 00
' 401, 650. 00
$2, 979. 80
328, 769. 37 58, 230. 44
7. l&8
87. 39 13& 260. 19
$2, 979. 80
386, 992. 33
13, 347. 58
$4, 474. 87
$20. 20
72, 880. 63 3, 156. 19
10, 000. 00 11, 986, 61
20. 75
Insect infestations, Forest Service (transfer to In- dian Service, act May 21, 1920) 1922 — Dec. 31, 1922
Olympic National Forest 1924 1923
Protection of lands involv- ed in Oregon and Calif- ornia railroad forfeiture
" 2, 000. 00 7 4, 128. 69
20. 62
1, 960. 89 4, 002. 28
1& 960. 89
4, 002. 28 20. 62
39. 11 126. 41
uit s 1924 1923
7 9, 162. 58 35. 18
7, 700. 00 16, 834. 43 35. 18
28. 15
Bureau of Chemistry: Salaries General expenses
1925 1925 1924 1923
Certified claims.
7 92, 482. 95 12, 151. 12
' 360, 460. 00 7 1, 109. 915. 00'
360. 71
328, 872. 35 961, 096. 14
60, 777. 58 268. 80 360. 71
16, 834. 43
328, 872. 35
1, 022& 503. 23
11& 882. 32
31, 587. 65 148, 818. 86 31, 705. 37
Bureau of Soils: Salaries General expenses
Bureau of Entomology: Salaries General expenses
1925 1925 1924 1923
1925 1925 1924 1923
' 26, 974. 49 5, 659. 29
' 84, 755. 58, 13& 946. 78'
' 88, 800. 00 7 298, 700. 00,
' 142, 780. 00 "' 1, 144, 525. 00
82, 090. 35 060, 364. 89
8, 646. 95 . 75
128, 898. 61 974, 367. 33
69, 203. 25 IP. 01
82, 090. 35
269, 011. 09
128, 898. 61
1, 043, 527. 57
5, 660. 04
13, 989. 79
6, 709. 65 38, 335. 11 18, 327. 54
13, 881. 39 170, 157 67 15, 552. 33
General expenses, Bureau of Entomology (transfer to Department of Com- merce, Bureau of Stand- ards, act 'Arsy 28, 1924)
General expenses, Bureau of Entomology (transfer to War Department, act lliay 21, 1920)
Boll-weevil poisoning by airplane
Boll-weevil poisoning by airplane (transfer to War, act liny 21, 1920)
Preventing spread of Jap- anese beetle
Prev en t in g spread of 1 I exi- can bean beetle
4, 652. 57' 4, 652. 57 " 4, 915. 00 1925
5, 043. 93
2, 568. 47
5, 043. 93
2, 568. 47
» 9, 000. 00 1925
965. 55! 72, 1923 — 24
490. 77 490. 77 543. 98 1923-24 i
293. 23 293. 23 1923
22, 741. 19 2, 567. 07
729, 735. 00 1925 1924 1923
601. 23 366. 83,
7 3 366. 83
25, 308. 20, «See note 75. tt Exclusive of 514,
and War Depart&neat a &&t Transferred from sa
service retirement and » See note 77.
000 transferred to same nd 55, 930 to "Civil ser me object uader Agricul disability fund, " p. 288,
objects under Depsrtm vice retirement and diss
ture, excluding 985 trs
' Eve!naive ofamnunt tr in:(& reed to "Civil serviceretirement anddisabilityftmd, " p 288 » See note, !. t& Tnmsf. ere 1 ftnrn !!i"'-Dec. . t!, !922 account. » Exclusive of 5!&), &&oft tean ferret! to !922 — 25 account, 512, 074 to 1922 — Dec 31, 1924
account, 52 000 to seine object utt&jer ' Indian Service" and 579 42 to "Civil service retire- ment and disability fund, " p. ~
262. 43
3, 956. 07
397. 08
53. 21
6, 993. 81
1, 034. 16
ent or Comm«m bility ftmd p
+ asferred to' CIAl
RECEIPTS AND DISBURSEMENTS, 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in ifoffcs]
67
Appropriations available in 1925i
Appropriations from the general fund Fiscal Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried Balances June to surplus fund 30, 1925
Preventing spread of moths (transfer to War, act May 21, 1920) 1923
Prevention of spread of European corn borer 1925 — 26
1925 1924 1923
Bureau of' Biological Survey: Salaries General expenses
1925 1925 1924 1923
Certified claims.
Protection of game ' in Alaska 1925
Enforcement of the Alaska game law No year.
Upper Mississippi River wild life refuge do
Sullys Hill National Park Game Preserve, N. Dak do
Wind Cave National Game Preserve do
Division of Accounts and Disbursements:
Salaries 1925 Library, Department of Agri-
culture: Salaries, Library, Depart-
ment of Agriculture 1925 General expenses, Library,
Department of Agricul- ture 1925
Library, Department of Agriculture 1924
~ 1923
Bureau of Entomology — Con. Preventing spread of
moths . 1925-26 ~ 1925
1924 1923
7 $52, 278. 37 ss 17i 548. 29
"81. 88
7 22, 455. 01 1, 574. 60
ss 86 540 67 19, 578. 21
ss 10, 892. 91
4, 815. 46
40. 03
(ss) 58. 29
$100, 000. 00 ' 587, 800. 00,
50, 000. 00 7 222, 980. 00
7 107, 180. 00 7 823i 185. 00
14. 71
ss 22, 220. 00
100, 000. 00
7 72, 940. 00
7 89, 427. 00
80, 960. 00
$483, 183. 31 37, 804. 33
1. 1r5
81. 88
196, 842. 89 16, 746. 18
1. 18
99, 260. 05 670, 525. 29
71, 888. 45 28. 89 14. 71
14, 034. 73
2, 500. 00
40. 00
66, 675. 04
35, 511. 69
28, 946. 78
ss 1M. 85 6. 00
$520, 486. 19
81. 88
218, 587. 89
99, 260. 05
742, 407. 34
14, 034. 73
2, 500. 00
81r8. 60
40. 00
66, 675. 04
85, 511. 69
28, 946. 78
188. 86
$17, 549. 74
1, 575. 73i
19, 544. 32
64. 29, '
$100, 000. 00 104, 666. 69
14, 969. 04
50, 000. 00 26, 137. 61
5, 708. 88
7) 919. 95 152, 609. 71 14, 702. 22
8, 185. 27
7, 892. 91
100, 000. 00
4, 559. 06
. 08
6, 264. 96
8, 915. 31
2, 018. 27
28. 64
Bureau of Public Roads: Salaries General expenses
1925 1925 1924 1923
'39, 659. 79 90, 161. 53
7 128, 540. 00 ' 863, 055. 00 111, 183. 26 291, 051. 07
6, 994. 38 16. 80
111, 183. 26
298, 029. 51 901 177. 42
12, 356. 74 72, 008. 98 82, 665. 46
Laboratory building, Ar- lington farm, Depart- ment of Agriculture No year.
Bureau of Agricultural Eco- nomics
Salaries 1925 General expenses 1925
1924-25 1924 1928
5, ' 240, 34,
000. 00 143. 89 494. 87
74, 877. 79
1, 157, 879. 00 2, 874, 485. 00
1, 057, 606. 51 2, 085, 561. 72
8, 120. 00 185, 291, 42
881. 68
1, 057, 606. 51
84, 716 2, 223, 751. 61
40 . .
74, 877. 79
99, 772. 49 338, 873. 28
1, SSO. 00 54, 852. 47
General expenses, Bureau of Markets and Crop Estimates 1922
P, 288. ' Exclusive of smouat transferred to "Civil service retirement aad disability fund, " " Includes $5. 59 returned from War. e See note 80. n Rxclusive of $8, 595. 88 transferred to "Enforcement of the Alaska game lsw" and
$923 14 to "Civil service retirement snd disability fuad, " p. 288. "Account and appropriation transferred from Department of the Interior where this
unouat wss heretofore stated, For prior year transactions see p. 83.
86. 66 86. 66 26. 56 " Transferred from accounts ss follows:
General expenses, Biological Survey, 1924 . . $8, 595. 88 Protection of game in Alaska, 1924 (Interior) 1, 797, 03
» Balance of $12. 56 and $148. 21 repayments transferred to "Civil service retirement and dissbdity fund, p. 289.
RECEIPTS AND DISBURSEMENTS( 1925
Disbursements, balances, etc. — Continued
[ Repayments to appropriations in excess of disbursements sre printed in frailer]
Appropriations available in 1925
Appropriations from the general fund Bda ces July,
,
'
Approprl, tl~ 1, 1924
Disbursements I Total disburse by years, ments in 1Am
%mount carried to surplus fand
Balances June 50, 1925
Bureau of A. gricuftura/ Econo- mics — Continued General expenses, Bureau
of Markets Certified Salaries and expenses,
Wool Division, Bureau of Agricultural Economics
General expenses, Offiee of Farm Management
Certified Administration of the
I. nited States warehouse ct a
Enforcement of the stand- ard container sct
claims.
1925 1924 1923
claims
1925 1924 1923
1925 1924 1923
' $1, 831. 46! 2, 799. 17
14, 290. 411 7, 586. 67'
' 425. 00 61. 45
$1. 20|
r 11 156 00!
1. 60
195, 441. 00
4, 940. 00
$1. 201
9, 646. 46I 534. 19 40. 00
l. 60
139, 396. 48 6, 57(. 93
l. 9~(
3, 890. 79 198. 09
$1. 201
10, 220. 65
l. 60I
145, 973. 1(
4, 088. 88!
56, 644. o'&
(, 712. 48 (, 587. 91
61. 45
1, 049. 21 226. 91
$1, 509. 54 1, 297. 27
$2, 759 17
Enforcement of the United States warehouse sct No year.
Enforcement of the United States grain standards
818. 18 216. 18
ct a do 1925 I
1924 ~ 1923
251. 41
r 50, 534. 32 182. 90
' 590, 709. 00 851. 89
539, 240. 66 47, 296. 29
22. 60 ~ 160. 30
902. 70 51, 468. 34 3, 238 03
Enforcement of the United States cotton futures set snd United States cot- ton standards act
Enforcement of the United States cotton futures act
1925
1924 r 12 007 70 1923 6, 896. 84
r 5, 399. 26
6. 311
133. 55' r 61,
1925 1925 1924 2, 100. 05
Enforcement of the United States cotton standards sct 1924,
Determining cotton stand- ards snd spot markets No year. !
Classification of cotton, re- volving fund do
Stimulating agriculture and facilitating distribu- tion of products Certified claims.
Bureau of Home Economics: Salaries General expenses
r 186, 770. 00
100. 33
r 26, 794. 00 ' 78, 680. 00
585, 908. 26
5, 775. 98'. 14. 71~
5, 761. 27
880
98. 50
880. 85i
88. 50
100, 056
100
25, 790 73, 833 1, 660
561
33]
17' 92'
100& 056. 58
100. 38
25, 790. 51
162, 800. 76' 162, 800. 76
6, 911. 55
23, 969. 24
6, 231. 72
5, 679. 61
34. 81
161, 190. 11
I, 003. 49 4, 846. 88
439. 13 75, 494. 09
Bureau of Dairying: Salaries General expenses Experiments in dairying
and livestock produc- tion in western United States
66, 874. 31 66, 874. 31 333, 653. 17 333, 653. 17
1925 so 75 815 00 1925 ~ 398, 346. 00
2, 216 48 1, 084. 14
r 39, 360. 00 1925 1924 1923
37, 143. 57 2, 154. 56
g 00 39, 294. 13
3, 238. 70 385. 43 389. 43
' Exclusive of amount transferred to ' Civil service retiremeat aud dissbiBity fund, " p. 289. ei Transferred from "Salaries, Bureau of Animal Industry, 1925. " n Transferred from ' General expenses, Bureau of Alumni Industry, 1925, " exclusive of 95, 210 transferred to " Civil service retirement and debility fuadI" P. SB.
RECEIPTS AND DISBURSEMENTS, 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements sre printed in italics]
69
Appropriations available in 1925
Appropriations from the general fund Fiscal year Balances July
1, 1924 Appropriations
Disbursements ~ Total disburse- by years ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
Enforcement of the Insecticide Aett
Salaries General expenses
Federal Horticultura/ Board: Salaries General expenses
1925 1925 1924 1923
1925 1925 1924 1923
7 $13, 066. 08 7, 757. 42
7 57, 142. 38 5, 874. 59
7 $36, 180. 00 ' 141, 575. 00
7 57, 840. 00 ' 352, 244. 00
$33, 220. 94 111, 601. 17
4, 327. 71 6. 56
53, 302. 47 273, 008. 94
18, 125. 79 8. 68
$33& 220. 94,
$7, 750. 86 115, 935. 44
53, 302. 47
5, 877. 27
$2, 959. 06 29, 973. 83
8, 738. 37
4, 537. 53 79, 235. 06 39, 016. 59
Suppressing spread of pink bollworm of cotton
Eradication of the date scale
1925 1924 1923 1921
1925 1924 1923
" 77, 093. 07 124, 385. 15
1, 275. 00 360. 04
' 399, 060. 00
' 21, 460. 00
303, 718. 08 8, 776. 77
7. 81t 18. 88
15, 016. 55 431. 40
291, 132. 05
312, 474. 18
124, 392. 99 12. 83
360. 04
95, 341. 92 68, 316. 30
6, 443. 45 843. 60
Miscellaneous: Claims for damages, act
Dec. 28, 1922, Depart- ment of Agriculture No
Demonstrations on recla- mation projects
Enforcement of the future trading act
Enforcment of the grain futures act
year.
1925 1924 1923 1922
1923
1925 1924
7 3, 365. 91 4, 617. 06
55, 678. 51
7 37, 660. 12
3& 062. 84
' 38, 010. 00
' 110, 330. 00
15, 447. 95
3, 062. 84
29, 142. 76 2, 455. 10
3, 062. 84
79, 472. 03 174. 39
79, 646. 42
0 8 31, 597. 56
4, 617. 06 . 30
55, 681. 06
8, 861. 24 910. 81
30, 857. 97 37, 486. 33
Enforcement of packers and stockyards act
Collection of seed-grain loans
1925 1924 1923
1925 1924 1923
7 29, 535. 12 7, 648. 74
3, 371. 79 1, 349. 25
7 470, 380. 00
7 19, 262. 50
394) 884. 12 21, 240. 26
41. 20
18, 632. 30 726. 37 118. 00
416, 165. 58
19, 357. 54
7. 607. 54
1, 350. 38
75, 495. 88 8, 294. 86
630. 20 2, 645. 42
Farmers' seed-grain 'loans 1922 — 23 1921-22
1, 043, 368. 65 617, 11)7. 00 81, 080. 60
145) 179. 60
1, 107, 515 81, 025
65 6&0
Farmers' seed and feed loans, New Mexico
Field station, Woodward, Oki a
1924-25
1925 1924 1923
7 609, 985. 57
245. 00 47, 16
12, 300. 00
11)0 889. 61' 1/0 889. 61
6, 556. 69 244. 73
47. 16
750, 875. 18
5, 743, 31 . 27
Judgments, United States courts, Department of Agriculture
Operation of Center Mar- ket, Washington, D. C
No year.
1925 1924 1923
9, 010. 20
' 18, 773. 13 3, 684. 64
7 177, 061. 00 142, 362. 15 9, 635. 47
180. 18
6, 801. 42
3, 804. 83
9, 010. 20
34, 698. 85 9, 137. 66
Nitrate plants, Depart- ment of Agriculture No year. ss 5391 475. 26, 222) 518. 79
151, 877. 43
222, 518. 79 ) Exclusive of amount transferred to "Civil service retirement snd disability fund, " p. 289. "Includes 8185, 000 transferred from "Nitrate plants" (Warl and excludes 33, 352. 51 transferred to "Civil service retirement snd disability fund, " p. 289.
316, 956. 47
RECEIPTS AND DISBURSEMENTS7 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in itches)
Appropriations available in 1925
Appropriations from tbe general fund Fiscal year Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
amount carried to surplus fund
Balances June 30, 1925
Miscellaneous — Continued. Printing and binding pub-
lications, " Diseases of the Horse" and "Dis- eases of Cattle" 1924
Payment to Henry Mc- Guire No year.
Relief of- Reuben R. Hunter No year. Beatrice J. Kettlewell do
Acquisition of lands for protection of watersheds of navigable streams ". 1925
1924 1923 1922
$100, 000. 00'
292, 797. 48 246, 086. 80'
$225. 28
8, 000. 00 5, 000. 00
7 817, 040. 00'
$94, 576
225
3, 000. 00 5, 000. 00
8, 000. 00 5, 000. 00
170, 947. 81 86, 081. 56
246, 086. 80 I. 68
503, 114. 01
15 $94, 576. 15
28 225. 28
$1. 66
$5, 428. 85
646, 092. 69 206, 715. 92
Permanent and indefinite— Acquisition of land for
protection of water- sheds of navigable streams No year. Cooperative agricul- tural extension work 1925
1924 1928
163, 816. 14~ 17, 684. 07 17, 684, 07
5, 859, 605
146, 132. 07
so 5, 880, 000. 00 20& 395. 00 59& 183. 11 59, 188. 11
69, 550. 55 69, 550. 55 5, 859, 605. 00
Cooperative construc- tion of rural post roads No year.
Cooperative construc- tion of rural post roads (transfer to War, act May 21, 1920) do
Cooperative construc- tion, etc. , of roads and trails, national forests do
Federal forest road con- struction do
Forest road develop- ment do
Forest highways do Increase of compensa-
tion, Department of Agriculture Certified claims.
Meat inspection, Bu- reau of Animal In- dustry
1, 427, 075. 92 ' 77, 763, 769. 04 19, 000, 000. 00 95, 886, 698, 12 95, 386, 693. 12
656. 18 656. 18
1, 448, 882. 05, 1, 443, 882. 05 7 1, 266, 703. 35 1, 000, 000. 00 822, 821. 80
115, 907, 92
2, 126, 024. 51 8, 512, 518, 71
16, 701. 87 7132, 609. 79
7 2, 074, 420. 53 '5& 210, 850. 55
16, 701. 87
2, 948, 821. 02, 5, 198, 406. 84'
3, 000, 000. 00~ 3, 500, 000. 00
2, 948, 321. 02 5, 198, 406. 84
7. 00 7. 00 7. 00
1925 1924 1923 1922
" 4, 800, IO8. OO 4, 207, 238. 46 233, 449 11
64 04 8. oo
592, 874. 54
52, 989. 93 '286, 439. 04 18, 879. 12 18, 943. 16
2. 00
National Forest Reser- vation Commission
4, 440, 6i6. 58
24, 995. 42
24, 684. 73 25, 000, 00, 1925
1924 24, 400. 00 4. 58
884. 76 24, 497. 27 1928
i 24, 497. 27
880. Io Refund to depositors,
excess of deposits, na- tional forests fund
Special funds— Cooperative work,
Forest Service Expenses, cotton
standards act Payments to States
and Territories from national f or- cst' fund
91~ 102, 061, 91 102, 061. 91
2, 481, 878. 22
34, 483. 32
102& 061 No year
508, 687 56
89, 108. 17
23 2, 431, 378. 22 do '835, 846. 55 2, 104, 219.
1, 296. 10, 72, 295. 39 84, 483. 32 do
1, 301, 848. 22 ropriation of $1, 300, ropriation of $1, 904, 4 ent and disability fu
1, 301, 848. 22, 1, 301, 848. 22 &5 Includes annual app » Includes annual app
to "Civil service retirem
000 for 1925. fe&re&f
20 for 1925 and excludes $104 312 ~ nd, " p. 289
' l-. s& ln&&rc of amount transferred to "Civil service retirement and disability fund, " p 259
sec permanent sppropriafion following.
RECEIPTS AND DISMJESEMEETSr 1925
Disbttrsements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements sre printed in ifeffcsl
71
Appropriations available in 1923
Appropriations from the general fund Fiscal Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
Ntecetlaneotts — Continued. Permanent and indefi-
nite — Continued. Special funds — Con.
Payments to school funds, Arizona snd New Mexico, na- tional forests fund No year.
Roads snd trails for States, national for- ests fund do
Less repayments tran sf erred to "Civil service re- tirement and dis- ability fund"
Total, Depart- ment of Agri- c ulture
DEPARTMENT OF COM- MERCE
r $399, 435. 34
97, 579, 963. 81
148. 21
97, 579, 815. 60
$44, 503. 87
520, 739. 29
86, 369, 983. 31
$44, 503. 87 $44, 503. 87
50?, 470. 54 507, 470. 54
159, 727, 804. 30 $2, 453, 098. 01
$412, 704. 09
21, 768, 896. 60
Contingent expenses, De- partment of Commerce 1925
1924 1923 1916 1915
Office of the Secretargr Salaries 1925-26
1925 1924 1923 1922
5& 689. 00 r 5, 882. 79
19, 149. 74 2, 102. 75
1, 000. 00 r 226, 605. 04
225, 000. 00
850. 00 215& 000. 00
2, 874. 87
. 81 6. 218, 718. 06
189, 994. 79 14, 865. 60
922. 28
. 80
5, 882. 79 6. 81
1, 180. 47 . 45 . 20
150. 00 11, 605. 04 2, 814. 13
35, 005. 21 4, 284. 14
Printing and binding, De- partment of Commerce . 1925
1924 1923
Rent, Department of Commerce 1925
1924
National security snd de- fense, Department of Commerce m 1919
Special fund— Expenses of sales of
Swedish iron ore No year.
Less repayments to "Na- tional security snd de- fense" returned to principal account
Total, OfEce of Secretary
Bureatt of fr'ores'gn and Do- mestic Commerce:
Salaries 1925 1924 1923
131, 500. 00 17, 468. 13
3, 000. 00
324. 46
185& 116. 87
64. 39
185, 052. 48
10, 643. 08 6, 362. 71
575, 000. 00
68, 000. 00
1, 095, 605. 04
r 260, 477. 00
380, 000. 00 125, 057. 16 10, 507. 90
67, 000. 00 2, 999. 98
6jr 8iJ
255& 625. 00 3, 973. 34
205, 782. 02
515, 565. 06
69, 999. 98
1, 010, 000. 73
259, 598. 34
6, 960. 23
14, 030. 95
6, 362. 71
195, 000. 00 6, 442. 84
1, 000. 00 . 02
324. 46
256, 625. 84
4, 852. 00 6, 669. 74
' Exclusive of amount transferred to "Civil service retirement and disability fund, " p. 239. 4 See p. 93 for "National security snd defense" statement.
73270 — 26 — 6
72 BEGEIPTS AND DISBUBSEMENTSx 1925
Disburserrtents, balances, etc. — Continued [Repayments to appropriations in excess of disbursements are printed in Baliet]
Appropriations from the general fund year
Appropriations available in 1925
Appropriations I ~ 1924
Disbursements by years
Total dL~burse- ments in 1925
Amount csmed to surplus fund
Balance June t 115S
Bureau of Foreign and Do- rnestic Commerce — Con.
Commercial attaches, De- partment of Commerce 1925
1924 1923 1922
1921 and prior. Certified claims.
Compiling foreign trade statistics, Department of Commerce 1925
1924 1923-24
1923
' $25, 523. 58 2, 537. 00
7 11, 562. 42'
2, 666. 01
7 82(7, 636. 00
220. 00
7 333, 480. 00
$254, 842. 84 9, 588. 29 2, 316. 33
859. 19 917. 19 220. 00
315, 363. 26 1, 760. 08
810. 8~( l(80. 88
$265, 698. 08
$220. 68 352. 19! 917. 19I
3, 146. 24
$22, 793. 05 15, 935. 29
18, 116. 74 13, 322. 45
65[1 61
Directory of foreign buyers
District snd cooperative otfice service, Depart- ment of Commerce
Enforcement of the Chins Trade Act
Export industries, Depart- ment of Commerce
1925 1924
1925 1924
1925 1924 1923
1925 1924 1923
7 74. 22
' 6, 051. 93
' ll& 867. 58, 7 5, 103. 07
7 16, 871. 76 7 5, 035. 77
7 9, 222. 00
7 213, 268. 00
7 31, 404. 00
n 585, 454. 00
8, 662. 62 89. 87
200, 304. 31 5, 202. 92
30, 154. 95 790. 78 944. 58
574, 620. 66 5, 986. 98 1(, 8/(9. 95
312& 312. 16
8, 639. 75
205, 507. 23
29, 119. 69
564, 283. 78
5, 347. 60
9, 385. 72
559. 38 97. 09
12, 963. 69 849. 01
1, 249. 05 12, 658. 31
10, 833. 34 22, 858. 69
Export industries, Depart- ment of Commerce [transfer to Bureau of Standards, sct allay 28, 1924)
Investigation of foreign trade restrictions
1925
1925 1924
Investigating sources of crude rubber 1925
1923-24
Promoting commerce, De- partment of Commerce 1925
1924 1923 1922 1921
1920 snd prior. Certified claims.
Promoting commerce in the Far East 1925
1924 1923 1922
Certified claims.
7 1, 682. 88
1 23, 779. 19
7 16, 934 68 7 1, 145. 64
' 8, 418. 72, '
10, 225. 46
~ 4, 725. 00
7 25, 300. 00
7 93, 250. 00
' 411, 100. 00
1, 222. 77
' 236, 944. 00'
107. 10
4, 608
23, 529 715
89, 369 1& 988
392, 658 3, 205 1(& 551
791 8& (EZ
661 1, 222
226, 116
678 9
107
83
09
44 49( 5E 89 8o
42 16
10
4, 608. 83
22, 814. 05
87, 436. 54
387, 660. 46
5, 697. 16 791. 82
3, 421; 35 661. 55
10, 898. 69 2.
116. 17
I, 77[1 29 2, 39&. 54
3, 880. 91 25, 711. 74
18, 441- 56 13, 729. 19
10, 827. 58 9, 166. SS
Promoting commerce, South and Central Ameri a ca 1925
1924 1923 1920 1918
Certified claims.
' 19, 543. 23 ' 8, 889. 87!
' 246, 14k 00
49. 38
244, 151. 1, 990. 1, ZZ9.
8. 49.
72'
88i 05! 89, ' 38
224, 799. 68
10, 309. 20 . 05
2. 89
I, 988. 28 20, S34. 14
241, 487. 92' Exchmve nf amount transferred to "Civil ser&ce retuement and &hsabditv fund, " p. 289. ~ & Balance of &133. M and &160. 21 repsvments transferred to "Civil service retirement and disability fund, " p. 289. & Exclusive of &4. SW transferred to same object uuder Bureau of Standards and &7, 7&0 to "Civil service retirement snd disability fund, " p. 289. 4 Transferred from "Export industrie, Department of Coinmerce, 192&, " exdusive of &125 transferred to "Civil service retirement and disability fund, " p 289.
RECEIPTS ANIJ DISBUIfSEMENTSr 1925
Disbursements& balances, etc. — Continued-
[Repayments to appropriations in excess of disbursements are printed in ffsffcsj
Appropriations available in 1925
Appropriations from the general fund Fiscal Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
Bureau of Foreign and Do- mestic Commerce — Con.
Raw material investiga- t' lone
Transportation and inter- ment of remains of offi- cers and employees, Bu- reau of Foreign and Domestic Commerce
Transporting remains of officers and employees, Bureau of Foreign and Domestic Commerce
Transportation of families and effects of officers and employees, Bureau of Foreign and Domestic Commerce
Less repayments trans- ferred to "Civil service retirement and disability fund, " p. —
1925 1924
1925
1924
1925 1924
7 $12, 280. 66
1, 500. 00
3, 478. 83
212, 172. 80
160. 23
' $50, 410. 00
1, 500. 00
25& 000. 00
$41, 568. 40 9191. 1f6
. 21, 440. 50 1, 468. 65
$40, 626. 94
22, 909. 15
$8, 841. 60 13, 222. 12
1, 500. 00
1, 500. 00
3, 559. 50 2, 004. 68
Total, Bureau of Foreign and Domes- tic Commerce 212, 012. 57 2, 806, 909. 25 2, 677, 502. 60 $57, 517. 49 283, 901. 78
Bureau of Censusr Salaries
Census of Agriculture Census of Agriculture,
Bureau of Census (trans- fer to Department of Agriculture, act May 21, 1920)
Collecting statistics
1925 1924 1923
1925-26
1925-26 1925 1924 1923 1915
33, 061. 50 21& 032. 51
7 70, 060. 07 797, 021. 53
7 948, 825. 00 915, 000. 00 17, 614. 97
99 135 096 00 97 827, 500. 00
133, 526. 70 795, 959. 97
45, 472. 51 18& 66$. . 79lj
1. 00
9' 3, 354, 904. 00 2, 912, 641. 46 932, 614, 97
2, 912, 641. 46
133, 526. 70
21, 032. 51
110, 585. 97 1. 00
33, 825. 00 15, 446. 53
442, 262. 54
1, 569. 30 31& 540. 03 24, 587. 56
Collecting statistics (trans- fer to Department of Agriculture, act May 21, 1920 ) 1925
1924 7 853. 96 " 2, 500. 00 2, 293. 64
711&. . 10
827, 867. 04
206. 36 1, 568. 06
Expenses of the Four- teenth Census 1920 — 22
Certified claims.
Tabulating machines 1925 1924 1928
562. 16 417. 80
(99) 796. 69
7 38, 551. 00
. 50 796. 69
37& 002. 24 49. 39
891. $9
1, 579. 54
796. 19',
36, 160. 14
. 50
1, 309. 29
1, 548. 76 512. 77
Total, Bureau of Census 223, 009. 53 5, 308, 172, 69 4, 845, 186. 04 132, 929. 27 553, 066. 91
' Exclusive of amount transferred to "Civil service retirement and disability fund, " P. 289,
"Exclusive of $135096 transferred to same object under Department of Agriculture snd $10 000 to "Civil service retirement and disability fund, " p. 289. " See Note M.
& Exclusive of $2, 500 transferred to same object under Department of Agriculture and $5, 000 to "Civil service retirement and disability fund, " p. 289.
9& See Note 97. 9& Appropriation transferred to "Civil service retirement and disability fund, " p 290.
74 RECEIPTS AND DISBURSEMENTSp 1925
Disbursements, balances, etc. — Continued
iBepayments to appropriations in excess of disbursements sre printed in ffolicel
Lpproprhtions available in 1925
appropriations from the general fund Fiscal year Balances July
1, 1924 kppropristions
Disbursements by years
Total disburse- ments in 1925
amount carried to surplus fund
Balsnan Zone $0, 1925
Steamboat Inspection Service: Salaries, Office of Super-
vising Inspector Gen- rsl e
Salaries, Steamboat In- spection Service
1925 1924 1923
1925 1924 1923
$491. 50 231. 79
37, 910. 00 11, 571. 85
'$27, 391. 00
7 722, 205. 00
$27, 000. 00 IOQ 80
707, 000. 00 34, 340. 14
108. 20
$26, 895. 40
741, 448. 34
$231. 79
ll, 463. 65
$391. 00 696. 10
16, 205. 00 3, 569. 86
Clerk hire 1925 1924 1923
Total, Steamboat In- spection Service
Contingent expenses 1925 1924 1923 1921
Certified claims.
7, 807. 50 1, 843. 59
28) 620. 87 17, 757. 02
106, 234. 12
7 139, 581. 00
139, 110. 00
2. 92
1& 028& 289. 92
136, 000. 00 5, 266. 83
108, 222. 60 9, 344. 90 8, 888. 78
. 6'0 2. 92
141, 266. 83
114, 747. 16
1, 024, 357. 73
1, 843. 59
20, 579. 78 . 50
34, 119. 31
3, 581. 00 2, 540. 67
30, 887. 40 19, 276. 97
76, 047. 00
Bureau of Navigation: S alaries
Salaries, shipping service
Admeasurement of vessels
Contingent expenses, ship- ping service
1925 1924 1923
1925 1924 1923
1925 1924 1923
1925 1924 1923
1& 710. 50 497. 11
600. 00 2, 906. 72
1. 32 29. 98
460. 96 72. 65
' 53, 762. 00
' 37, 340. 00
7 4, 421. 58
7 10, 449. 50
53, 500. 00 1& 113. 38
35, 500. 00 918. 66
4, 200. 57 80. 88 81. 60
9, 508. 75 253. 08
54, 613. 38
34, 586. 44
4, 138. 39
497. 11
2, 906. 72
61. 48
2. 65
262. 00 597. 12
1, 840. 00 1) 513. 56
221. 01 32. 00
940. 75 207. 88
Clerk hire, shipping service 1925 1924 1923
Enforcement of wireless communication laws 1925
1924 1923 1922
Instruments for counting passengers
Preventing overcrowding of passenger vess
1925
els 1925 1924 1923
Certified claims.
Enforcement of navigation laws 1925
1924 1923 1922
Certified claims.
3, 250. 00 2, 155. 70
13, 782. 06 (')
5, 970. 14 670. 49
140. 19 255. 43
7 86, 890. 00
7 78, 401. 50
2. 55
7 201 013. 00
250. 00
7 17, 670. 00
l. 39
80, 008. 12 2, 656. 57
656. 07
75, 458. 70 13, 758. 31
808 07 8. 18 2. 55
190, 678. 90 5, 900. 10
881. 75 18. 68
248. 00
12, 931. 92 126. 67
8. 81 l. 39
9, 761. 83
82, 108. 62
88, 907. 36
196, 030. 62
248. 00
2, 711. 77
214. 69 6. 13
1, 202. 24 16. 63
261. 64
6, 881. 88 693. 43
2, 942, 80 23. 76
10, 334. 10 70. 04
4, 738. 08 13. 62
32, 433. 25 to "Civil service re
ce retirement and tirement end dieabili
disability fund, "p 290. I Balance of $17. 02 and $91. 20 repayments transferred & Exclusive of amount transferred to "Civil servf
ty fund, " p. 290.
13, 053. 77
BECEIPTS AND DISBUBSE1KENT87 1925
Disburserrtenfs, balances, etc. — Continued
[Repayments to sppropriatious in excess of disbursements sre printed in irsfics]
75
Appropriations available in 1920
appropriations from ths general fund Piscal year Balances July
1, 1924 &tppropristions
Disbmsements by years
Total disburse- ments in 1925
~cunt carried to surplus fund
Balances June 20, 1925
Bureau of Nar&tgaftort — Con. Less repayments trans-
ferred to "Civil service retirement and dis- ability fund, " p. 290
Total, Bureau of Navigation
$91. 38
32, 341. 87 $490, 201. 52 $483, 448. 41 $7, 881. 06 $31, 213. 92
Bureau of Starrdardsf aries Sal
Automotive power plants Color standardization
Equipment
General expenses
Gauge standardization
High-temperature investi- gations
1925 1924 1923
22, 025. 00 7 15, 132. 55
735. 00 1924 1925, '
1924 521. 30 1923 7 221. 62
1923
1925 1924 1923
3, 699. 00
3, 869. 02 73, 538. 72
1925 1924 1923
697. 38 7 531. 65
1925 1924 17, 967. 00 1923 ! 6, 364. 46
1925 I
1924 '
1l& 222. 88
' 487, 560. 00
7 9, 795. 00
71, 000. 00
44, 500. 00
7 39, 170. 00
' 9, 780. 00
$470, 000. 00 12, 002. 05
8. 58
486. 79 9, 045. 86
425. 96
55, 029. 02 17, 078. 88
89. 1$
28, 449. 21 7, 826. 25
858. 90
35, 124. 21 398. 35
9, 593. 27 162. 96
481, 993. 52 486. 79
9, 471. 82
72, 038. 76
35, 416. 56
35, 522. 56
15, 141. 08
221. 62
6, 433. 60
4, 557. 90
3, 538. 72
531. 65
17, 560. 00 10, 022. 95
248. 21 749. 14 95. 34
15, 970. 98 888. 12
16, 050. 79 3, 396. 63
4, 045. ?9 3, 470. 67
186. 73 534. 42
Improvement and care of grouncls 1925
1924 1923
Industrial research 1925 1924 1923 1922 1921
Certified claims.
900. 00 ' 771. 75
2, 692. 42 7 3, 124. 80
' ll, 310. 00
7 170, 220. 00
(') (')
468. 00
10, 939. 18 668. 84 878. 84
162, 086. 09 1, 158. 74 2, 107. 70
18. 00 1. 80
468. 00
9, 756. 23
10, 729. 18 1, 650. 59
1, 017. 10 16. 00 1. 50
370. 82 231. 16
8, 133. 91 1, 533. 68
Investigation of automo- tive engines
Investigation of clay products
Investigaton of 6re-resist- ing properties
1925
1925 1924 1923
1925 1924 1923
2, 419. 54 7 226. 44
401. 94 7 639. 87
7 24, 340. 00
7 29, 460. 00
7 28, 365. 00
22, 751. 88
28, 217. 20 684. 06 891. 89
27, 131. 41 97. 43 7. 18
165, 803. 03
22, 751. 88
28, 009. 97 1, 117. 73
647. 00
1, 588. 12
1, 242. 80 1, 735. 48
1, 233. 59 304. 51
Investigation of mine scales and cars
Investigation of optical g&, ass gl~
1925 1924 1923
1925 1924 1923
4, 721. 83 4, 833. 04
598. 46 '2, 235. 60
7 14, 780. 00i
550. 00. 7 24&
12, 150. 43 1, 880. 88
M6. 87
23, 062. 16 480. 83
. 95
27, 221. 71
10, 553. 54
23, 542. 04 2,
5, 199. 71
2, 629. 57 5, 952. 05
1, 487. 84 117. 63
236. 55
nd disabiTity fund, " p service retirement au
. 290. d disability
7 Transferred to "Civil service retireinent a 7 Exclusive of amount transferred to Civil fund, " p. 290.
76 RECEIPTS )tN12 DISEUESEMENTSr 1925
Disburser)tertts, balances, etc. — Continued
[Repayments to appropriations iu excess of disbursements sre printed in italics]
Appropriations from the general fund Fiscal year
Appropriations
Appropriations available in 1925
Balances July 1, 1924
Disbursements by years
I
Total disbmse- ' Amount carried ments in 1925 ' to surplus fund I
Bureau of Standards — Con. Investigation of public
utility standards
Investigation of radio- active substances
192o ---, ' 8102, 760. 00! 1924
I So. 878. 22
1923 I ' 656. 49!
1925 ! 10, 810. 00' 1924 ! 1, ?82. 81;-- 1923 ' 550. 75
893, 134. 91, 4, 458. 96
12. 73'
10, 369. 64, 1, 684. 97.
$97, 606. 60!
12, 054. 61'; 550. 75
440. 36 97. 84
$9, 625. 09 I, 419. 26
$643 76
Investigation of textiles, tc e 1920, '
1924 ! 2, 481.
1923;. ,
' 2, 391. 62
7 26, 400. 00 24, 211. 55 1, 755. 47 ~. 8 2, 838. 44
2, 188 45 726. 0?
925-26 I
1925 '
~ 1924 I
1923
clslIns. . ! 1925,
1924 I
1923 !
1925-j 1924,
Military research Certified Radio research
lteplacement of altitude chambers, Bureau of Standards
Rope investigation
Land, Bureau of Stand- ards 1
Metallurgical research 3, 770. 75
7 214. 98
1, 899. 39 (s)
51, 693 72
4, 668. 97
173, 117. 00 ' 43, 050. 00
115. 00 7 44, 640.
7 7, 830. 00
173, 117- 39, 518. 6
3, 668. 9
115. 00 42, 333. 67
1, 731. 8 x 810. 86!
51, 428. 76 7, 000. 00 4, 397. 5
25, 520. 20, ' I
173, 11?. 00
43, 187. 56, ' 115. 00
43, 754. 85! f
51, 428. 76II
214. 98
3, 531. 3& 10L 81
264. 96 830. 00 271. 47
ec . „. , ;, ;, 2, 3' 33 167. 55
310. 63
& I Sound investigation 1925 1924 1923
360. 00 118. 98
7 5, 440. 00 5, 350. 232. 11
11, 397. 50
118. 9 127. 89
Standard materials
Standardization of equip- ment
Standardizing mechanical appliances
Certified
Sugar standardization
Testing machines
Testing miscellaneous ma- terials
Testing railroad scales, etc.
1925 1924 1923
1925 1924 1923
1, 798 71 7 623. 82
3, 493. 72 10, 073 86,
1925 1924 1923
claims.
2, 163. 30I 7 899. 50~
1925 1924 1923
1925 1924 1923
2, 160. 24 7 2) 812. 16
1925 1924 1923
1925 1924 1923 1922
1, 943. 26 7 1, 301. 05
979. 38 ' 854. 42
!
1, 026. 67 ' 1, 018. 6
7 9, 785. 00
' 108, 000. 00
7 29, 250. 00
263. 00
' 39, 100. 00
' 38, 700; 00
' 44, 260. 00
' 39, 385. 00
9, 520. 93, 1, 143. 79
97, 809. 73 2, 569. 58 2, 220. 15
29, 047. 74 1, 722. 64,
263. 00
37, ONL 00 408. 48
5, 582. 11
10, 664. 72
102, 599. 46'
31, 033
3?, 408. 33, 121. 17!
1, 899. ?5 29. 06
35, 049.
48
98
42 230. 79' 1 807. 4o )
890. 18! 43, 348. 06;
37 498. 82, 414. 71' M7. 08'
10. 85 36, 375. 66!
etf) 2
623. 82
7, 853. 71
10, 19ik 2? 924. 14
899. 59
202. 26 440. 66
1, 018 69
2, 10II 00 61&. 19
2, 783 10
5, 57&, &3
260. 49
2, 029. 21 135 81
1, 991
2, 381 10
23'
94! 35[
1, &Qk 18 564. 67
cunt vv 264. 0? 654. 92
~ Balance of 2244. 97 and 20. 02 repayments transferred to "Civil service retirement and disability fund, " p. 290. ' Exrlusive of amount transferred to "Civil service retirement and disability fund. " p. 290.
RECEIPTS AND DISBURSEMENTS, 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in italics]
77
Appropriations available in 1925
Appropriations from the general fund Fiscal Balances July
1& 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
Bureau of Standards — Con. Testing structural ma-
terials 1925 1924 1923 1920 1919
Less repayments trans- ferred to "Civil service retirement and disability fund, " p. 290
Total, Bureau of Stand- ards
Bureau of Lighthouses: Salaries, Bureau of Light-
houses 1925 1924 1923
Salaries, keepers of light- houses 1925
1924 1923
Salaries, Lighthouse Service 1925
1924 1923
Salaries, lighthouse vessels 1925 1924 1923
Certified claims.
Retired pay, Lighthouse Service 1925
1924 1923
$15, 444. 34i ' 106. 26
233, 258. 87
. 03
233, 258. 84
4, 040. 00 789. 91
44, 268. 46 33, 657. 25
2, 956. 41 4, 163. 49
8, 493. 16 122, 830. 49
226. 77 2, 664. 56
1 $230, 320. 00
1, 918, 523. 00
1 88, 426. 33
1, 685, 300. 00
' 524, 542. 67
2, 220, 000. 00
2. 25
125, 000. 00
$218, 572. 46 5& 615. 18
11, 01I&. 1$ . 75 . 70
83, 000. 00 $8. 58
1, 680, 338. 35 8, 6'18. I&1
15. 86'
520, 796. 70 888. 50
86. 00
2, 216, 156. 45 11, II&0. 85
180. 80 2. 25
122, 743. 78 817. 07
Ir0. 88
$213, 172. 05
1, 906, 713. 57
82, 956. 41
1& 677& 810. 28
520, 398. 20
2, 204, 887. 65
$11& 120. 40 . 75 . 70
75, 672. 48
789. 91
33, 672. 91
4, 199. 49
122, 961. 29
2, 705. 19
$11& 747. 54 9, 829. 16
169, 395. 79
5, 426. 33 4, 083, 59
4, 961. 65 46, 780. 87
3, 745. 97 3& 318. 91
3, 843. 55 19, 633. 41
2, 256. 22 444. 74
Aids to navigation, Light- house Service No year.
General expenses, Light- house Service 1925
1924 1923 1922 1921 1920
Certified claims.
356, 135. 60
e 307 434 21 69, 259. 60
473, 000. 00
'4, 253, 376. 42
2, 403. 08
122, 485. 18
344, 589. 67 344, 589. 67
3, 873, 334. 06 283, 424. 79 =
8, 775. 75 M8, 16'
7. 87 8. 80
2, 403. 08
73& 035. 35 928. 16
7. 27 3. 20
484& 545. 93
380, 042. 36 24, 009. 42
General expenses, Light- house Service (transfer to Navy Department, act May 21, 1920) 1925
1924 s 11, 303. 10 e 2, 272. 36 2, 272. 36
11, 303. 10
4, 154, 447. 55
13, 575. 46 General expenses, Light-
house Service (transfer to Department of Com- merce, Bureau of Stand- ards, act May 28, 1924) 1925
& Exclusive of $2, 272. 36 transferred to same obj P. 290. ' Exclusive of $1, 420. 10 transferred to same obje ' See note 4.
& Exclusive of amount transferred to "Civil ser ' Includes $1, 420. 10 transferred from "General e & Transferred fro&n " General expenses, Lightho
3, 005. 63 ' 4, 945. 00 3, 005. 63
ct under Navy Department.
vice retirement snd disability fund, " p. 290. xpenses, Lighthouse Service, 1924. " use Service, 1925, " exclusive of $55 to "Civil service retirement snd dissbiiity fund, " p. 290,
acts under Navy Department, $5, 000 under Bureau of Standards, and $3, 851. 22 to "Civil service retirement
1, 939. 37 disability fund, "
RECEIPTS AND DISBUBSEMENTSp 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements sre printed in italics]
Appropriations from the general fund year Balances July l, 1924 Appropriations
Appropriationa svai1sble in 1925
Disbursements by years
Total disburse- ments in 1926
Amount carried to sur plus fund
Balances June 20& 1925
Bureau of Lighthouses — Con. Claims for damages by col-
lisions with lighthouse vessels No year.
Light keepers' dwellings do Light vessels for general
service do Vessels for Lighthouse
Service do Light stations, etc. —
Aids to navigation, Hud- son River, N. Y do
Staten. Island light- house depot, N. Y No year-
Aids to navigation, Raritan Bay and con- nected waters, N. Y. and N. J do
Riprap protection for light stations, third lighthouse district do
Aids to navigation, Dela- ware Bay entrance do
Aids to navigation, Chesapeake Bay, Md. and Va do
Cape Charles light ves- sel, Va do
Aids to navigation, St. Johns River, Fla do
Aids to navigation, Florida coasts do
Sand Island, Ala do Sabine Pass Jetty, Tex do Aids to navigation, Con-
neaut Harbor, Ohio do Aids to navigation, Cal-
umet Harbor, Ill do Detroit River lights,
M' ich do Detroit light house de-
pot, Mich do Spectacle Reef, Mich do Point Vincente, Calif do Aids to navigation, Co-
quille River, Oreg do Aids to navigation,
Alaska do Aids to navigation, Pearl
Harbor, Hawaii do Point Borinquen, P. R do Radio installations on
lighthouse tenders do Tender for third light-
house district do Repairing and rebuild-
ing aids to navigation, Atlantic coast do
Repairing and rebuild- ing aids to navigation, seventh lighthouse district 1922 — 23
Repairing and rebuild- ing aids to navigation, seventh and eighth lighthouse districts No year.
Repairing and rebuild- ing aids to ns, vigation, Gulf of Mexico do
Total, Bureau of
$624. 60 1, 226. 87
81, 118. 97
$778. 24
r 273, 290. 60 100, 000. 00
842. 70
29, 900. 00
9 4
4, 452. 32
52, 204. 90
12, 166. 50
v 129, 772. 71
3, 721. 63
2, 289. 63 9& 476. 44 6, 976. 00
635. 52
50. 00
' 37, 370. 99
58. 66 3, 781. 41
61, 486. 50
36. 61
3, 338. 00
13. 88 734. 85
8, 880. 94
34, 633. 42
13, 540. 79
1, 350. 87
6, 391. 94
4, 827. 78
1, 753, 418. 83 9, 480, 046. 35
$1, 135. 62
91& 084. 14
40/j. 81
4, 123. 86
24, 753. 90
439. 88
49, 242. 64
1, 637. 80
1, 660. 15 4, 500. 00 6, 195. 91
202. 19
8, 099. 17
3, 776. 28 59, 165. 65
10. 08
3, 007. 55
. 82 170. 89
24, 480. 75
1, 449. 03
1, 811. 70
3, 470. 67
3, 315. 79
$1, 135. 62
91, 084. 14
$0lj. 81
4, 123. 86
24, 753. 90
439. 88
49, 242. 54
1, 637. 80
1& 560. 16 4& 500. 00 6, 195. 91
202. 19
50. 00
8, 099. 17
3, 776. 28 59, 165. 65
10. 08
3, 007. 55
. 82 170. 89
24, 480. 75
1, 449. 03
1, 811. 70
3, 470. 67
3, 315. 79
9, 414, 292. 09
$405. 30
328. 46
780. 09
433. 33
5. 13----
46. 63
321. 16
13. 06 563. 46
2, 662. 57
243, 861. 96
$267. 12 1, 226. 8?
81, 118. g7
282, 206. 46
842. '?0
29, 900. 00
27, 451. 00
11, 726. 62
80, 530. 17
2, 083. 83
729. 48 4& g?6. 44
2g& 2?1. 82
68. 56
2, 320. 85
g. 29
8, 880. 94
10, 152. 67
12, 091. ?6
2, 921. 2?
&, &&1. »
& Exclusive of amount transferred to "Civil service retirement and disabiUty fund, " p, 290.
RECEIPTS AND DISBURSE1KENTSt 1925
Disburssrftcnfs, balartccs, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in ifoffcs]
79
Appropriations available in 1925
Appropriations from the general fund Fiscal Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amoimt carried to surplus fund
Balances June 30, 1925
Coast and Geodetic Survey: Salaries 1925
1924 1923
Pay, etc. , of officers and men, vessels, Coast Sur- vey 1925
1924 1923
Pay and allowances, com- missioned officers, Coast and Geodetic Survey 1925
1924 1923
1922 and prior.
Alterations to mine sweepers, Coast and Geodetic Survey 1923
1922 — 23 Claims for damages, act
June 5, 1920, Coast and Geodetic Survey No year.
General expenses 1925 1924 1923
Certified claims.
$3, 652. 25 12, 980. 28
64, 364. 50 92, 797. 52
89, 005. 00 107, 785. 88
2, 512. 91 1, 911. 74
30. 50
2, 006. 65 2, 713. 66
7 $393, 473. 50
' 662, 716. 50
500, 000. 00
503. 34 te 77 215 00
3. 78
$389, 820. 83 1t, 088. 88
616& 138. 16 35, 452. 68
123. 18
445, 000. 00 19, 918. 7/i
8& 565. 8b'
190. Ob
487. 39 69, 662. 99
b, 700. 78 76. 34 3. 78
$385, 798. 15,
651, 714. 02
422, 327. 36
487. 39
46, 578. 34 28, 911. 82
92, 674. 34
110,
55, 000. 00 108, 921. 74
351. 73 190. 05
2, 512. 91 I, 911. 74
2
46. 45 7, 552. 01 6, 707. 41
637. 32,
$3, 652. 67 7, 674. 93
$12, 980. 28,
General expenses (transfer to Department of Com- merce, Bureau of Stand- ards, act May 21, 1920) 1925
Party expenses No year. 1925 1924 1923 1921
Certified claims.
Party expenses (transfers, act May 21, 1920)—
To Navy Department 1925 1924
To Bureau of Standards 1924 1923
3, 242. 08
"73, 477. 64 "68, 394. 69
"13, 442. 00
7 2, 355. 00 " 860. 50
"2, 000. 00
ts 646, 683. 43
381. 17
"1, 310. 00
621, 334. 50 40, 727. 69
69b; 59 . 50
381. 17
310. 00 13, 442. 00
I, 555. 59 638. 72
65, 042. 35
661, 747. 27
13, 752. 00
69, 090. 28 . 50
221. 78
2, 000. 00 3, 242. 08
25, 348. 93 32, 749. 95
I, 000. 00
799. 41
To War Department Party expenses (transfer
to Bureau of Standards, act Jan. 5, 1923)
ReItajrs of vessels, Coast burvey
1925
1924
1925 1924 1923
420. 50
444. 42 4, 296. 83
ts 500. 00
" 73, 700. 13
382. 80
64, 526. 48 b& 958. 89
~7. 87
2, 194. 31
382. 80
58, 160. 22 4, 704. 20
500. 00
37. 70
9, 173. 65 6, 403. 31
Repairs of vessels, Coast burvey (transfer to Navy, act May 21, 1920)
Total, Coast and Geodetic Survey
1925 ts 1, 299
546, 694. 55 2, 359, 786
87
72
1& 299. 87 1, 299. 87
2, 262, 905. 74 , 275. 13 297 ' 346, 300. 40
' Exclusive of amount transferred to "Civil service retirement aud disability fund, " p. 290.
» Exclusive of 52, 000 transferred to same object under Department of Commerce snd 8285 to "Civil service retirement and disability fund, " p. 290.
u See note 10 '& Exclusive of 81, 810 transferred to same object under Navy and War Departments
ssd 51, 786. 57 to "Civil service retirement and disability fund, " p. 290,
» Exclusive of 51, 442 transferred to same object under Navy Department. » Includes 5102. 33 returned from Bureau of Standards. » See note 12. » I ucludes 81, 442 transferred from same object under Coast aud Geodetic Survey. » Exclusive of 5102. 33 returned to "Party expenses, 1923". » Exclusive of 51, 299. 87 transferred to same obiect under Navy Department. » See note 18.
80 RECEIPTS AND DISBURSEMENTS~ 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in italics]
Appropriations available in 1925
Appropriations from the general fund year Balances July 1, 1924
Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to sill'pllis fund
Balances Junc 30, 1925
Miscellaneous expenses 1925 1924-25
1924 1923-24
1923 Certified claims.
Fish-rescue station, Mis- sissippi River 1925
1923 — 24
Investigating damages to fisheries No year.
Marine biological station, Florida do
Pay, officers and crew of vessels, Alaska fisheries
1925 1924 1923
service
Fisheries of Alaska 1924 — 25 Protecting seal and salmon
fisheries of Alaska 1925 1924-25
1924 1923-24
1923
Fish hatcheries— Duluth Minn No year.
1923
Gloucester, Mass 1923 Rhode Island No year. San Marcos, Tex do Wyoming do Yes Bay, Alaska 1923
Less repayments to "Fish-rescue station, Mississippi River, 1923 — 24, ' transfen ed to 1925 account
Bureau of Fisheries: Salaries 1925
1924 1923 1922 1921
$17, 660. 00 31, 738. 73
10& 000. 00 21, 917. 80
5, 000. 00 793. 32
tc 32, 419. 10 (2&)
5, 251. 33
3, 591. 94
730. 00 1, 765. 68
100, 000. 00 2, 734. 39 5, 000. 00 2& 365. 78
225. 52 1, 985. 00
8. 64 20, 882. 54
1, 502. 75 373. 20 126. 56
266, 072. 28
912. 46
7 $612, 160. 00
7 553, 395. 00
55. 08
47, 790. 00
55, 000. 00
117, 000. 00
$550, 000. 00 $, 185. 96
81. 00 81. 00
8. 68
480, 091. 44 3, 151. 78
21, 892. 83 2, 989. 84 8, 101. 01&.
55. 08
27, 993. 30 s' 918 lt6
1, 069. 21
888. 97
34, 662. 34 545. 33
34, 469. 53
111, 292. 03 98, 544. 80
581. 73 4, 315. 72
165& 88
25. 50 1, 983. 86
$545, 819. 41
506, 079. 93
27, 080. 84
1, 069. 21
888. 97
35, 207. 67 34, 469. 53
214, 569. 05
2, 009. 36
$31& 759. 73 21. 00
2. 63
2, 894. 36
1, 765. 68
2, 531. 01
1. 14
8. 64
662. 89
$62, 160. tw 21, 795, g6
73, 303. 56 6, 848 22
24. 97 2, 010. 15
4, 425. 80
4, 182, 12
3, 814. 91
13) 127. 66 184. 67
20, 530. 47
5, 707. 97 1& 455. 20 2& 152. 66
684. 28
200. 02
20, 882. 54
1, g72. 28 373. 20
Total, Bureau of Fisheries 265, 159. 82 1, 385, 400. 08 1, 365, 076. 17 39, 647. 08 245, 836. 65
Patent Ogicer (By Executive order of Mar. 17, 1925,
the Patent Office with available balances and appropriations was transferred to tbe Department of Commerce under date of Apr. 1, 1925. For additional transactions under the Department of the Interior, see p. 87. )
Salaries 1925 1924 1923
27, 214. 63 38, 077. 17
599, 323. 14 559, 861. 55
38, 077. 17
39 461. 59
27, 214, 63
559, 861. 55, Additional employees,
Patent Office 1924-25 Contingent expenses, Pat-
ent Office 1925 Exclusive of amount transferred to "Civil servi
p. 290. w Transferred from 1923-24 account.
13, 486. 14
283. 75
45, 000. 00 ' 58, 486. 14 i
45 000. 00
2, 000. 00, ------------- tt 2 283 75 2 000 00 ce retirement and disability fund, " n Balance of 331, 506. 64 and 3912. 46 repayments transferred «»ItO5 ~~ ' „
n Transferred from "Contingent expenses, Department of the Interior 1925. "
RECEIPTS AND DISBURSEMENTS, 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in ffeffcs]
81
Appropriations available in 1925
Appropriations from the general fund Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
Patent Once — Continued. Disposition of Patent Of-
fice models 1925 — 26 Furniture and filing cases 1925
1924 1923
$16. 52 105. 51
$10, 000. 00 15, 912. 27 $5, 000. 00
$105. 51
$10& 000. 00 '
10, 912. 27 16. 52
Printing and binding, Patent Office
Public use of inventions . '
and defending suits
1925
1925 1924' 1923
International protection of industrial property 1923
Photolithographing 1925 1924 1923
1, 700. 00
10, 414. 49 9, 273. 78
69, 856. 35 50, 000. 00
275, 000. 00
290. 58
ss 75, 000. 00 " 295, 366. 64
717. 57 362. 44 18'2. 64
$5, 000. 00
50, 000. 00
275, 000. 00
290. 58
1, 700. 00
9, 273. 78
182. 64
19) 856. 35 10, 414. 49
95, 366. 64
426. 99 362. 44
Rent and storage of Patent Office models 1925
1923
Scientific library 1925 1924 1923
Stationery, Paten't Office 1925
700. 00
914. 32 677. 61
450. 00
4, 502. 36
's 3, 500. 00
300. 00
1& 500. 00 239. 85 23. 80
1, 500. 00
300. 00
1, 763. 65 1, 500. 00
700. 00
653. 81
150. 00
3, 002. 36 674. 47
2, 000. 00
Total, Patent Office 223, 125. 25 1, 001, 912. 08 940& 715. 78 50& 692. 91 233& 628. 64
merce 1924 1923
Judgments, United States . courts, Department of 'Commerce No year.
R'elief of James F. Abbott do Permanent and indefinite—
Increase of compensa- tion, Department of Commerce 1922
1920 1919
Certified claims.
Refunding penalties or charges erroneously exacted No year.
Refunding moneys er- roneously received and covered into the Treasury» do
Total, Commerce, miscellaneous
'Commerce, miscellaneous: Claims for damages, act
'of Dec. 28, . 1922, De- ' partment 'of' Commerce No year. Increase of compensation,
Department of Com- 96, 929. 53 44, 780. 05
7, 500. 00
149, 209. 58
1, 712. 15
78. 90 1, 302. 00
. 22
1, 314. 48
871. 90
5, 279. 65
1, 712. 15
8, 451. 08 7, $78. 98
7, 578. 90 1, 302. 00
86. 00 8. 8$ . 16 . 22
1, 314. 48
871. 90
1, 712. 15
978. 15
7, 578. 90 1, 302. 00
88. 18
1, 314. 48
871. 90
13, 729. 40
52& 252. 98
26. 00 2. 24 . 16
52, 281. 38
88& 478. 45
88, 478. 45
Total, Department of Commerce 3, 929, 517. 44 26, 880, 126. 30 25, 943, 92S. 26 1, 005, 909 02 3, 859, 806 46
' Exclusive of amount transferred to "Civil servi f&. 280. ' S Transferred from "printing and binding, Depa
ce retirement and disability fund, " » Transferred from "Printing and binding, Department of the Interior, 1925. ) ~
» Transferred from "Stationery, Department of the Interior, 1925, " rtment of the Interior, 1924. "
82 RECEIPTS AND DISBURSE1KENTSr 1925
Dtsbfzrsements, balances, etc. — Continued
[Repayments to sppropristiona in excess of disbursements sre printed in ffalfcz]
Appropriationa available in 1925
Appropriations from the general fund Balances July
1, 1924 A. ppropriatlona
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
DEPARTMENT OF THE INTERIOR
Once of the Secretary: Salaries 1925-26
1925 1924 1923
$20, 198. 25' 11, 604. 96
$1, 000. 00 7 395, 840. 00
$975. 00 390, 000. 00
88f. 87
$390, 043. 03 $11, 604. 96
$25. 00 5, 840. 00
21& 130. 22
Increase of compensation, Department of the In- terior
Contingent expenses, De- partment of the In- terior
1924 1923
1925 1924
1923-24 1923
158, 586. 33 143, 965. 62
8, 313. 27 900. 00
1& 361. 10
1' 74, 716. 25
87, 598. 88 97, 151. 02
70, 078. 84 7, 834. 73
757. EO
69i 552. 64
77, 156. 37
46, 814. 60
2, 118. 30
186, 184. 71
4, 637. 41 478. 54 900. 00
Expenses, special inspec- spectors, Department of the Interior
Expenses in disbarment proceedings, De- partment of the Interior
Library, Department of the Interior
1923
1924 1923
1924 1923
Postage to Postal Union countries, Department of the Interior 1924
1923
Expenses of inspectors, Department of the Interior 1925
1924 2, 472. 17
1, 777. 21
100. 00 19. 82
192. 00 46. 60
851. 00 431. 10
9, 000. 00 1, 688. 08 127. 10
114 20
1, 815. 18
114. 20
1& 777. 21
19. 82
46. 60
431. 10
7& 311. 92 2& 345. 07
100. 00
77. 80
851. 00
Printing and binding, De- partment of the Interior 1925
1924 1923
1922-23
Rent and storage of Patent Office models " 1925
1924 1923
zz 74 946 75 11& 037. 38
32. 55
150. 00 (z&)
2' 929, 633. 36 75, 000. 00
zo 3, 150. 00
807, 960. 90 140, 836. 21
8, 480. 81
3, 150. 00 150. 00
957, 277, 92
3, 300. 00
2, 556. 57 32. 55
121, 672, 46 9, 110. 54
Stationery, Department of the Interior 1925
1924 1923
7, 183. 92 2, 195. 72
zz 131, 800. 00
» Exclusive of $2, 233. 75 transferred to "Contingent expenses, Patent Office, 1925". » Exclusive of $295, 366. 64 transferred to "Printing snd binding, Patent Oifice, 1925. " » Exclusive of $75, 000 transferred to "printing snd binding, Patent Oifice, 1924. " ' Exclusive of amount transferred to "Civil service retirement snd disability fund, "
p. 290. » Account with balance transferred under date of Apr. I, 1925, to Department of Com-
merce, p. SI, by Executive order of Mar. 17, 1925. &' Exclusive of $450 transferred with this account to Department of Commerce. '& Balance of $700 transferred with this account to Department of Commerce. '& Exclusive of $3, 500 transferred to "Printing and binding, Patent Office, 1925, " and
includes $60, 300 trans(erred from the following 1925 spproprlatiomn Indian schools: Support $32, 500. 00 Administration of affairs of Five Civilized Tribes, Oklahoma - 1, 000. 00 General er pensee, Indian Service I 000. 00 Purchase and transportation of Indian supplies Surveying public lands 2, 500. 00 Protecting public lands, timber, etc 2, 000. 00 Contingent expenses of land offices 3, 000. 00 Salaries and expenses, offices of surveyors general --------- 2 000 00 Geological Survey 2, 000. 00 Investigating mine accidents, Bureau o[ Mines . 1, 100. 00 Testing fuel, Bureau of Mines aafL 00 Minend mining investigations, Bureau of Mines 600-00 Expenses, mining experunent stations, Bureau of Mines . . . . 1, 50L 00
5& 870. 72 1, 379. 73
125, 929. 28 5, 804. 19 1, 88Jj. 88 4& 090. 58
129, 838. 61 Operating nine-rescue, cars, snd stations, Bureau of Mines Enforcement of mineral leases, Bureau of Mines Oil, gas, snd oil shale investigations snd leasing, Bureau of Mines . - —- Freedmene Hospital St Elizsbetha Hospital Protection of National monuments Crater Lake National Park General Grant National Park Glacier National Park Grand Canyon National Park Hawaii National Park Hot Springs National Park Lafayette National Park Mess Verde National Park Mount McKinley National Park Mount Rsnier National Park Plstt National Park Rocky Mountain National Park Sequoia National Park Wind Cave National Park Yellowstone National Park Yosemite National Park Zion National Park
$1, 2NLN NLN
1, NL00 5N. 00
3, 5ao'. ao 25. 00 N. N 15. 00
20ft 00 2NL N
10. 00 100. N 175. 00 7L aa xi. 60
170. N 20. 60
100 ao 200. N 25, N
7IL aa 61IL N NN
RECEIPTS AND DISBUBSEMENTSr 1925
Disbttrsemtsrtfs, balances, elc. — Continued
[Repayments to appropriations in excess of disbursements sre printed in ffelfcr]
Appropriations available in 1925
Appropriations from the general fund Fiscal Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
Ogcs of the Secretary — Con. Traveling expenses of in-
spectors, Department of the Interior 1928
Care and custody of the insane, Alaska xx
Operation of river steam- ers in Alaska 34
Protection of game in Alaska 1925
1924 1923
Suppressing traffic in in- toxicating liquors, Alaska "
$1, 358. 87
(xe)
$1, 361. 54
Total, Office of the Secretary 447& 724. 62 $1, 620, 189. 61 1, 629, 095. 28 70& 858. 88 $367, 915. 12
Maps of the United States (transfer to Geological Survey, act May 21, 1920) 1925
1924 1923 1922
Reproducing plate of sur- veys, General Land Of- ffce 1925
1924 1923
State and Territorial maps 1925
1924 1928
General Land Oncet Salaries 1925
1924 1928
Expenses of inspectors, General Land Office 1925
1924 1928
Filing system, General Land Office 1925
1924 1928
Library, General Land Office 1924
1928
Maps of the United States 1925 1924 1928 1922
62) 524. 89 45, 749. 59
2, 500. 00 74. 52
2, 000. 00 18. 57
50. 00 l. 37
3, 611. 65 tr 109. 54
xs 34
16, 388. 35 7 14 785. 57
320. 00 20. 00
1, 370. 00 810. 00
150, 284. 89
7 864, 920. 00
5, 000. 00
3, 000. 00
" 3, 565. 16
» 14, 434. 84
5, 000. 00
1, 500. 00
762, 000. 00 686. BB
1, 199. 04 179. 61
1, 481. 57 1, 998. 89
49. 48
2, 700. 00 651. 41
600. 00 14, 785. 57
B6. 87
4, 400. 00 320. 00
7. 50
761& 364. 12
1, 878. 65
3, 479. 96
49. 48
3, 351. 41
15, 249. 30
4, 727. 50
45, 749. 59
74. 52
18. 57
l. 87
109. 54 . 84
12. 50
810. 00
102, 920. 00 68, 160. 77
3, 800. 96 2, 320. 39
1, 518. 43 l. 61
. 52
865. 16 2& 960. 24
14, 484. 84 15, 788. 35
(40)
600. 00
1, 500. 00 1, 370. 00
' Exclusive of amount transferred to "Civil service retirement and disability fund, " p 290
n Account stated under Qovernment in the Territories, p. 96. "Account stated under Alaska Railroad, p, 96. u Account for 1925 stated under Department of Agriculture, p. 67. s& Exclusive of $14, 434. 34 transferred to same object under Qeologieal Survey.
» Includes $2. 55 returned from same object under Qeological Survey, 1923. » Returned from same object under Qeological Survey, 1922. » See note 36. » $35. 93 transferred to " Civil service retirement and disabiTity fund, " p. 290 snd 0. 34
returned to "Maps of the United States, 1922. "
RECEIPTS ANII bISBURSEMENTSx 1925
Disbursements, balances, elc. — Contifiued
[Repayments to appropriations in excess of disbursements are printed in ifsiicrl
Appropriations available in 1926
Appropriations from the general fund year Balances July I, 1924
Appropriations
Drsbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
GeneraL Land Once — Con. Less repayments trans-
ferred to "Civil service retirement and disability fund, " p. 290 and $0. 84 returned to o Maps of the U. S. , 1922"
Total, General Land Office
$86. 27
150, 198. 12 $897, 420. 00 $789, 600. 42 $46, 776. 48 $211, 241. 27
Public Land 8ervicer Salaries and expenses, offi-
ces of surveyors general Ss, laries, offices of survey-
ors general
1925
1924 1928
Contingent expenses, offi- ces of surveyors general 1924
1923 1921
Salaries snd commissions of registers and receivers 1925
1924 1923 1922 1921
Certified claims.
Claims of certain settlers in Sherman County, Oreg No year.
Contingent expenses of land offices 192 5
1924 1923 1922 1921 1920
Examination and classifi- cation of lands within the Northern Pacific grant No year.
Expenses of hearings in land entries ~ 1925
1924 1923
Protecting public lands, timber, etc 1925
1924 1923 1922
1921 and prior. Certified claims.
Opening Indian reserva- tions (reimbursable) 1925
1924 1923
951. 92 9, 692. 01
668. 40 8, 259. 18
87, 228. 20 82, 789. 48
9, 214. 00
88, 857. 45 81& 248. 10
1, 576. 45
1, 801. 60 5, 092. 86
4, 900. 00 3, 527. 69
24, 485. 88 52, 187. 27
o 208, 555. 00
707. 50
315, 000. 00
836. 81
" 404, 080. 00
15, 000. 00
1, 000. 00
's 516, 500. 00
18. 11
$194, 666. 46
4, 594. 88
779. 88 9. 75
707. 50
285, 774. 53 10& 484. 69
449. 83 879. 86 466. 71 886. 31
380, 513. 30 4& 771. 49 1, 249. 13
94. 18 11. 96 8. 00
12, 802. 00 299. 50
. 85
254. 56 408. 67
458, 510. 97 18, 119. 36
1, 244. 88 9. 55
49. 15 18. 11
194, 666. 46
69. 58
275, 736. 41
326, 951. 80
13, 101. 25
663. 23
472, 834. 62
9& 692. 01
8, 249. 43
82, 839. 60 872. 86 466. 71
29, 998. 97 24. 18 11. 96 3. 00
1, 576. 45
5, 092. 61
3, 527. 69
50, 942. 39 9. 55
49. 15
13& 888. 54
5, 546. 25
1, '448, 23
29, 225. 47 47, 712. 89
9, 214. 00
73, 516. 70 43, 628. 94
2, 198. 00 1, 502 10
745. 44 4, 491. 33
62, 989. 03 6, 366. 52
Reimbursement to State of Utah, act Aug. 18, 1894 No year.
Restoration of lands in for- est reserves 1925
1924 1928
Certified claims.
2, 050. 00 2, 360. 28
90, 000. 00
2, 000. 00
37. 88
400. 00 355. 69
10. 50 37. 88
804. 07
2, 349. 78----
90 000. 00
1, 600. 00 1, 694. 31
~ &Exclusive of 56, 125 transferred as follows: Stationery, Department of the Interior, 1925 Civil-service retirement and daability fund, p. 290
~ & Exclusive of 311, 250 transferred as follows: Stationery, Department of the Interior, 1925 Civjl~rvice retirement and disability fund, p. 29)
32, 000 4, 125
3, 000 8, 250
Exclusive of 39, 900 tra Stationery, Depsrtm Civil service retirem
nsferred as follows: ent of the Interior, 1926 ent and disability fund, p. 290
32, 000 I, 900
RECEIPTS Al&fD DISBUIISEMENTSr 1925
Disbttrsements, balances, efc. —. Continued
[Repayments to sppropristiona in excess of disbursements are printed in fts/foal
85
Appropriations available in 1925
Approprjatfona from the general fund Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
Public Land Service — Con. Surveying the public lands 1925
1924 1923 1921
Certified claims.
Surveying the public lands (transfer to War, act May 21, 1920) 1925
1924 1923
$16, 100. 74 9, 428. 02
34. 65
17, 285. 51 8, 600. 81
" $757, 000. 00
107. 00
5 25 000 00
$719, 188. 62 9, 755. 31
86. 09 8. 78
107. 00
8& 869. 88 16, 914. 16 8, 600. 81
$729, 134. 24
34, 384. 85
$9, 341. 93 2. 78
$37, 811. 38 6, 345. 43
34. 65
16, 130. 12 371. 35
2. 91
83, 005. 92 68, 895. 70 68, 895. 70
64, 591. 34 fir, 875. 96 . 1$, 875 96 ' 15, 300. 19
7 28, 558. 65 811, 146. 94 33, 552. 35 33, 552. 35
207, 444. 32 561, 504. 71
664, 833. 14 2, 983& 204. 36
4& 656& 157 21 4& 656& 157 21 4, 665, 469. 64 3, 449, 842. 44
20, 035. 00 56. 91
37. 65
201. 09
769. 15
107. 50 107. 50 107. 50
1, 217. 49 595. 19
1, 985. 88 256. 18
1, 601. 66 84. 88
128. 62 185. 11
1, 826. 90 98. 19
755. 00 769. 40
, 67. 15 59. 50
182. 33 3, 211. 46
336. 78 1, 815. 07
ability fund, " p. 291 nt, and $10, 820 to acc
$2, 500 8, 320
1, 217. 49 595. :19
1, 985. 88 256. 18
1, 601. 66 84. 88
128. 62 185. 11
1, 826. 90 98. 19
755. 00 769. 40
67. 15 59. 50
182. 33 3, 211. 46
336. 78 1, 815. 07
1, 217. 49 595. 19
1, 985. 88 256. 18
1, 601. 66 84. 88
128. 62 185. 11
1, 826. 90 98. 19
755. 00 769. 40
67. 15 59. 50
182. 33 3, 211. 46
336. 78 1, 815. 07
ice retirement and dis under War Departme ounts as follows:
Surveying public lands in Alaska No year.
Permanent and indefinit e- Repayment for lands
erroneously sold No year. Surveying within land
' grants (reimbursable) do
Special funds— Deposits by individuals
for surveying public lands do
Coos Bay wagon road grant fund do
The Oregon and Cali- fornia land-grant fund do
Payments to States from receipts under min- eral leasing act do
Proceeds sale of lots Hot Springs National Park do
Proceeds sale of town lots, Lawton, Okla do
Proceeds of town sites for schools and other improvements, Alaska do
Proceeds of certain pub- lic lands in township 8 north, Nebr do
Three per cent fund of net proceeds of sales of public lands in Alabama No year
F've per cent fund of net proceeds of sales of public lands in-
Arizona do Arkansas do California do Florida do Idaho do Louisiana do Michigan do Minnesota do Montana do Nebraska do Nevada, do New Mexico do North Dakota do Oklahoma do South Dakota do Utah do Washington do Wyoming do
' Exclusive of amount transferred to "Civil aerv «Exclusive of $25, 000 transferred to same object
Stationery, Department of the Interior, 1925 Civil service retirement and disability fund, p. 2 " See note 44.
14, 110. 22
2. 91
94& 767. 49
806& 153. 24
768, 949. 03
3, 648, 037. 50
3, 459, 154. 87
20, 091. 91
37. 65
201. 09
769. 15
RECEIPTS AND DISBVRSEMENTSr f925
Disburssrrtertfs, balances, etc. — Continued
[Repayments to appropriations in excess of disburseruents sre printed in ffelfcrl
Appropriations available in 1925
Appropriations from the general fund year Balances July 1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 39, 1925
Salaries and expenses, ad- ditional employees' Bu- reau of Pensions
Investigation of pension cases, Pension Office
1922-23
1925 1924 1923
Public Land Service — Con. Special funds — Continued.
Five per cent fund of net proceeds of sales of agricultural lands in Colorado No year.
Trust funds— Completing s u r v e y s
within railroad land gr ants do
Outstanding liabilities, lands do
Unearned moneys, lands do
Total, Public Land Service
Bureau of Pensions: Salaries, Pension Office 1925
1924 1928
$43, 661. 96
103, 598. 99 173. 80
9, 597, 759. 40
145, 342. 00 39, 848. 69
56, 228. 21
10, 000. 00 50. 20
$1, 723. 88
10, 006. 32 160. 47
6, 831, 986. 42
' 1, 483, 580. 00
110, 000. 00
$1, 723. 88
15, 585. 71
331. 71 154. 52
1, 406, 623. 13 3, 185. 05
65. 25
10. 40
109, 069. 75 7, 888. 00
$1, 723. 88
15, 535. 71
381. 71 154. 52
6, 820, 379. 43
1, 409, 873. 48
10. 40
116, 452. 75
$213, 161. 27
89, 783. 44
56, 217. 81
50. 20
$28& 126. 26
113, 273. 60 179. 75
9, 396, 205. 12
26, 90B. 87 142, 15B. 96
930. 26 2, 617. 00
Miscellaneous expenses, Pension Office 1925
1924 1928
2, 875. 09 1, 027. 33
9, 000. 00 8, 000. 00 1, 989. 09
78. 74 953. 59
1, 000. 00 386. 00
Salaries and expenses, employees' retirement act, Bureau of Pensions 1925
1924 1923
Army Pensions 1925 1924 1928 1922
1922 and prior. 1921 1920
7 8, 566. 53 1, 382. 78
r 75, 500. 00
214, 500, 000. 00 210, 21, 700, 860. 00
4, 826, 584. 19
72, 500. 00 651. 11
5. 00
055, 974. 07 806, $87. 80
$, 906. 88 $& 671. 00 8, 81/ 88 8, 116. 60
180. 00
10, 062. 83
73, 156. 11 1, 327. 73
4, 881, 489. 52 4, 671. 00 3, 214. 28 3& 116. 50
120. 00
3, 000. 00 2, 915. 42
4, 444, 025. 93 21, 907, 347; 80
Navy pensions 1925 1924 1923 1922
1922 and prior. 1921
Fees of examining sur- geons, pensions 1925
1924 1923
" 12, 782. 28 1, 200, 000. 00
340, 640. 38
886. 40 1, 024. 67
540, 000. 00 63, 000. 00
481, 648. 64 62, 944. 57
37. 00
7, 943, 385. 00
544, 630. 21
209, 833, 459. 21 &r 7, 987, 267. 72 7, 996, 408. 80
1&7, 818. 68 6/P. 80
1, 86!j. 78 8) 987. 81&
980. 00
341, 283. 58 1, 254. 73 2, 927. 84
930. 00
987. 67
3, 5gl. 20 1, 247, 318. 63
58, 351. 36 g41. 83
abilitI fund, " p. 291.
Navy, miscellaneous.
vice retirement snd dis est, " Navy, miscellaneo pension fund, interest, "
' Exclusive of amount transferred to "Civil ser &' Transferred from "Navy pension fund, inter && Includes 3266, 455. 33 transferred from "Navy
RECEIPTS AND DISBURSEMENTS7 1925 /
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in ifcgcel
87
Appropriations available in 1925
A propristions from the general fund P year Balances July 1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
A. mount carried I
Balances June to surplus fund i 30, 1925
Bureau of Pensions — Con. Permanent and indefi-
nite— Trust fund—
Civil service retire- ment and disability fund No year 5syl& 698 941 23 55418&415, 350. 01 $18, 627, 174. 35 a&$18, 627, 174. 35 $1, 487, 116. 89
Total, Bureau of Pensions
Patent 01iicef (By Executive order of Mar. 17,
1925, the Patent Office with available balances and sppro-
b rlations was transferred to the epartmeut of Commerce, un-
der date o( Apr. 1, 1925. For additional transactions under the Department of Commerce, see p. 80)
30, 041, 439. 88 243, 133, 647. 73 238, 558, 154. 29 $5& 288, 327. 29 29, 328, 606. 03
Salaries
Additional employees, Patent Office
Disposition of Patent Office models
Furniture and filing cases
International protection of industrial property
Photolithographing
Public use of inventions snd defending suits
1925 1924 1923
1924-25
1925-26 1925 1924 1923
1923 1925 1924 1923
1925 1924 1923
71
100. 00 105. 51',
1, 700. 00
37 9,
000. 00 270. 54
400. 00 182. 64
26& 643. 04 38, 077. 32'
75, 250. 00|
72 312, 495. 00
10& 000. 00 60, 000. 00
190, 000. 00
800. 00
1, 713, 171, 86 571. 59
. 15
116, 638. 86
44, 087. 73 83. 48
120, 143. 65 26, 585. 51
8. 815
82. 43 37. 56
1, 712, 600. 42
116, 638. 86
44, 171. 21
146, 725. 92
119. 99
(51) (51) (51)
(51)
(51) (51) (51) (51)
(51) (51) (51) (51)
(51) (51) (51)
Scientific library 1925 1924 1923
2 870. 29 790. 16
8I 000. 00 3, 497. 64 1, 955. 97
112. 55 5& 566. 16
(51) (51) (51)
Less balances and appro- priations transferred snd stated under De- partment of Commerce, p. 80
Total, Patent Office
147, 550. 25 700, 311. 69
144, 839. 25 1, 880, 983. 31
292, 389. 50 2, 581, 295. 00
2, 025, 822. 56
& Exclusive of amount transferred to "Civil service retirement and disability fund, " p. 2M. 0 Includes deductions of 2+q per cent amounting to $1, 613, 517. 68 transferred from balances of sundry accounts as shown in summary, p. 302. " Includes the following credits:
Deductions of 2y per cent transferred from sundry current appropriations as shown in summary& p 302------------ — ------- —--- Miscellaneous receipts from—
Interest on investments Profits on investments Deferred deductions from employees Deductions from Indian reimbursable appropriations Deductions from Indian tribal funds Deductions from salaries of employees, Federal Reserve Issue and Redemption Division, Office of Comptroller of the Currency Deductions from salaries of employees, Insolvent Banks Division, Office of Comptroller of the Currency Deductions from cooperative employees, Secret Service Division Deductions from salaries payable by Porto Rican treasury Deductions from salaries from revenues of Virgin Islands Deductions from cooperative employees, Bureau of Mines Deductions from cooperative employees (Agriculture) Service credit payments
Total
Total credits from all sources, fisc'al year 1925 u Includes $9, 745, 622. 04 paid by warrants on account of investments. Face amount of investments were $L3, 358, 350 as of June 30, 1925. u Account and balance transferred and stated under Department of Commerce, p. 80.
73270 — 26 — 7
$16, 291, 553. 30
$1, 860, 548. 01 169, 453. 12
8, 320. 11 6, 514. 51
13, 140. 99 40. 87
362. 06 82. 80
3, 132. 00 246. 00 126. 66
2, 309. 88 59, 519, 70
2, 123, 796. 71
18, 415, 350. 01
20, 028, 867. 69
88 EECEIPTS AND DISBURSEMEETS7 1925
Duburserrtents, balances, etc. — Continued
[Repayments to appropriations in excess of disbmsements sre printed in ifaficsl
Appropriations available in 1925
Appropriations from the general fund year Balances July 1, 1~ Appropriations
by years ments in 1925 Amount carried to surplus fund
Balances June + Ifgm
Architect of the Capitol: ( F o r additional transactions
under Architect of the Capitol, see p. 44)
Capitol Building snd re- pairs Xo year. ,
Enlarging the Capitol Grounds do
Bronze doors, west en- trance of the Capitol do
Refrigerating apparatus, Capitol and Senate snd House Office Buildings do
Subway transportation, Capitol and Senate and House Office Buildings do
Statuary f or pediment, House wing of Capitol do
Senate Office Building do Furnishing Senate Office
Building do Reconstructing Hall of the
House of Representa- tives do
House Office Building do Reconstruction, Maltby
Building do Permanent and indefinite—
Trust fund- Enlsrging the Capitol
Grounds, estate of Hsttie L. Burnish, deceased, or others do
$0. 84
2, 894. 45'
43& 492. 48
722
953 527
61 23
08
351, 659 61
72 97
10
. 09
1, 798, 139. 27
$8, 003. 20 $8, 003. 20
$0.
953. 61.
128. 08
351, 659. 72 61. 97
l. 10
9[ 0
$1, 798, 13g. 27
2, 894 45
35& 489. 28
527. 23
Total, Architect of the Capitol, 2, 198, 581. 48
Reclamation Service: General investigations,
Reclamation service 1923, Dec. 31, 1924 ' 76, 575. 38
Permanent and indefinite: Special funds— Reclamation fund Xo year. 773, 971, 185. 71, Yuma auxiliary irriga-
tion project, Arizona do !
'4 42, 352. 25
8, 003. 20
62, 772. (7 62, 772. 77
7, 235. 94
ss 3, 829, 284. 36
7, 235. 94
' $5, 644, 872. 0(' 3& 829, 284. 36
352, 805. 41 1, 837, 772. 87
13, 802. 61
71, 999. 48 5, (14, 773. 94
35& 116. 31
Total, Reclamation Service 4, 090, 113. 34 5 644 872. 07 3, 899, 293. 07 71, 999. 48 5, 763, 692. 86
Geological Survey: Geological Survey 192o — 26
1925 1924-25
1924 1923-24
1923 1922-23 1921-22
1921 Certified claims.
ss 333, " 54, 15, 22',
ss 9 72',
722. 00 174. 51 795. 85 769. 03 144. 21 372. 60
223. 78
72, 000. 00 6 1 290 410 72
88. 66
9 1. 592,
46, 2,
'
15, 1&
1,
100. 00 183. 45 902 54 301. 27 252. 23 88fi. sy 280. 08'
1. 01 . M
88. 66 1, 665, 270. 02
10, 980. 48 1& 092. 52
l. 01 . 93
62, 900. 06 31, 949. 2(
7, 271. 97 13, 4g4. 58 7, 516. 80
223. 78
' Exclusive of amount transferred to "Civil service retirement and disability fund, " p. 291.
&' Exclusive of 5700, 000. 00 transferred to "Fort Hall irrigation 4 per cent fund, " trust fund. " Includes 51, 000, 000 reimbursed to the Treasury on account of advances heretofore &sade to ihe reclamation fund ss provided by law.
n Includes 557. 55 returned from " Civil service retirement and disability fund. " p. 291. u Transferred from 1924-25 accoimt.
» Exclusive of 530, 290M transferred as follows: Stationery, Department of the Interior, 1925 Civil service retirement and disability fund, p. 29L
&' Exclusive of 51, 100. 49 transferred to "civil service retirement and disabs ty ~' p. 291, 5333, 722 to 1925 account, and 57, 000 to same object, under Navy Department.
» Exclusive of 510, 217. 59 transferred to "Civil service retirement and disability ~ &
p. 291, and includes 5431. 22 returned from Commerce.
RECEIPTS AND DISBURSEMENTS, 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in italicsl
Appropriations available in 1925
Appropriations from the general fund Fiscal year Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried i
Balances June to surplus fund 30, 1925
Geological Survey — Continued. Geological Survey (trans-
fers, act May 21, 1920)—
To Department of Com- merce 1923
To Navy Department 1924 — 25
Total Geological Sur- vey
(69) '6 $7, 000. 00
445, 201. 98 $1, 362, 499. 38. $1 665 270 02~
$7, 000. 00
$12, 074. 94 130, 356. 40
Bureau of Mines: Adjustment and payment
of mineral claims, act Mar. 2, 1919
Army investigation of ac- tivated coal, Bureau of Mines
Books and publications 1923 1924 1923
6. 92 138. 12
16. 16
No year. ' 1, 892, 424. 29 $751, 422. 62
51. 29
751, 422. 62
51. 29 16. 16
1, 141& 001. 67
(61) 86. 88
Care, etc. , of buildings and grounds, Pittsburgh, Pa 1925
1924 1923
Purchase of land, Bureau of Mines, Pittsburgh, Pa 1923
Enforcement of the act to regulate explosives No year.
Enforcement of mineral leases 1925
1924
' 219. 11 358. 69
300. 00
13. 13
7 11, 137. 63
' 66, 230. 00 259. 00
" 94, 020. 00
3. 50 3. 50
83, 376. 87 3, 275. 04
62, 973. 54 413. 46
3. 50 63, 390. 50
355. 19
300. 00
3, 256. 46 64. 65
9. 63
10, 643. 13 7, 862. 59
Enforcement of the oil- leasing act
Expenses, mining experi- ment stations
1923
1925 1924 1923
Certified claims.
Helium exploration and research 1922
Certified claims.
General expenses 1925 1924 1923
Certified claims.
2, 153. 71
' l8, 036. 72 622. 15
7 3, 606. 89 116. 57
66 210, 150. 00
92. 14
7 86, 500. 00
56. 88
17. 94
405. 94
198& 640, 87 16, 682. 88
222. 76 92. 14
81, 720. 85 1, 206. 09
. 37 56. 88
81. M 17. 94
86, 651. 91
405. 94
215, 638. 65
82, 984. 19
1, 747. 77
399. 39
116. 20
11, 509. 13 1, 353. 84
4, 779. 15 2, 400. 80
(64)
Helium gas leasing fund. Certified
Upkeep, helium plant, Petrolia, Tex
Investigating mine acci- dent 3
Certified
claims.
1922
1925 1924 1923
claims.
7 16, 846. 06 1, 407, 76
469. 76
66 382 428 00
2, 45
469. 76
360, 407. 52 13& 019. 05
147. 96 2. 45
469. 76
1, 259. 80
(64)
22, 020. 48 3, 827. 01
Investigations, I i g n i t e coals and peat No year.
Investigations, petroleum and natural gas 1923
7 47, 728. 96
956. 52
6, 495. 10
67. 14
373, 576. 98
6& 495. 10
67. 14 889. 38
41, 233. 86
' Exclusive of amount transferred to "Civil service retirement snd disability fund, " P. 291, " See nots 53. a See note 57. " Balance returned to "Chemical Warfare Service, Army, 1923. "
u Exclusive of $1, 500 transferred to accounts ss follows: Stationery, Department of the Interior, 1925 . $500. 00 Civil service retirement and disability fund, p. 291 1, 000. 00
66
64
66
Exclusive of $4, 300 transferred to accounts as follows: Stationery, Department of the Interior, 1925 $1, 500. 00 Civil service retirement snd disability fund, p. 291 2, 300. 00
Balance returned to "Aviation, Navy, 1922. " Exclusive of $7, 600 trans(erred as follows:
Stationery, De portment of the Interior, 1925 . $1, 100. 00 Civil service retirement and disability fund, p. 291 . . „6, 500. 00
90 RECEIPTS AND DISBURSEMENTSr 1925
Dt'sbttrsemenfs, balances, efc. — Continued
[Repayments to appropriations in excess of disbursements are printed in italics]
Appropriations available in 1925
Appropriations from the general fund year Balanoes July 1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus ftmd
Balances June 80, 1925
Bureau of Mines — Continued. Land for mine rescue cars No year. Maintenance and opera-
tion fuel yards, District of Columbia 1924 — 25
1923-24
Mineral mining investi- gations 1925
1924 1923
$655. 67
" 698, 068. 00 sr 282. 00,
' 7, 907. 33 763. 35
ss $142, 060. 00
$111, 932. 07 282. 00
115, 683. 19 4, 249. 89
1. 75
$112, 214. 07
119, 934. 83
$655. 67
761. 60
$586, 135. g3
26, 376. 81 3, 657. 44
Mineral mining investi- gations (transfer to De- partment of Commerce, Bureau of Standards, act May 28, 1924)
Mining investigations in vaska
1925
1925 1924 1923
7 2, 231. 91 455. 90
ss 4, 905. 00
' 36, 120. 00
4, 500. 00
33, 970. 31 904. 94 56. 00
4, 500. 00
399. 90
405. 00
2, 149. 69 1, 326. 97
Oil shale investigations 1925 — 26 Oil, gas, and oil shale in-
vestigations and leasing 1925 1924 32
90, 000. 00
re 509, 830. 00 070. 01
5, 729. 70
414, 729. 19 25, 825. 62
34, 931. 25 5, 729. 70
440, 554. 81
84, 270. 30
95, 100. 81 6, 244. 3g
Operating mine rescue cars and stations, Bureau of Mines
Operating mine rescue cars
Certified
1925 1924 1923 1922 1921
c]aims.
13, 2
359. 26 019. 66
» 274, 940. 00
14. 40
256, 830. 27 117 753, 62
16. 25 8b. 10
$. 50 14. 40
256, 830. 27
2, 003. 41 25. 10l 4. 50
18, 109. 73 1, 605. 64
Purchase and equipment of mine rescue cars 1925
1923 40, 000. 00
32. 24. 39, 924. 69
11, 754. 67
32. 24 76. 31
Testing fuel
Less repayments and bal- ances on sundry accounts returned to War and Navy
Total, Bureau of Mines
1925 1924 1923 1922
r 5, 032. 19 604. 58
2, 759, 571. 49
43. 58
2, 759, 527. 91
rs 149, 290. 00
27 087, 385. 57
142, 744. 80 3, 659. 42
51. 54 8. $8
39, 924. 69
146, 453. 34
2, 753, 966. 49
553. 04, 2. 42
9, 521. 77
6, 545. 20 1, 372, 77
2, 083, 425. 22
Naft'onal Par]'sr National Park Service 1925
1924 1923
275. 00 36. 50
7 45, 532. 50 45, 530. 00,
36. 50
2. 50 277. 33
Accounting services, Na- tional Park Service 1925
1924 1922-23 I
6, 000. 00, 790. 00 783. 40
3, 869. 90 782. 1
45, 527. 67
4, 652. 01 783. 40
2, 130. 10 7. 89
Exciusivr of amount transferred to "Civil service retirement and disability fund, " p. 291
44 Transferred (rom 1923-24 sccnunr cxcluJiing $2, 132. 98 transferred to "Civil service retirement and disability (und. " p. 291.
47 Exclusive of $2J00, 200. 98 trrn~ferred to 7924-25 account. 44 Exclusive of $7. 100 transferred as follows:
Sr. ltiJlnery, Department of the interior. 1925 . $500. 00 Civil service retirement »nd iisability fund, p. 291 1, 500. 00 Aliuerai rninins invv. tigstions &transfer tn Commerce& . . -- 5. 000700 4' Trlnsfcrred from same object under Bureau of Mines, exclus v. of $95 to "Civ'il service retirement end disability fund. " p. 291.
74
77
Exclusive of $7. 800 transferred as follows: Stationery, Department of the Interior, 1925 . ----------------- — — — 8"f 60 Civil service retirement and disability fund, p. 291 -. ------ — — ------ — - ~
Exclusive of $2, 600 transferred as follows: Stationery, Department of the Interior, 1925 Civil service retirement and disability fund, p. 291.
Exclusive of $3, 300 transferred as follows NN 69 Stationery, Department of the interior, 1925------------- — --------
af6000 Civil service retirement and disability fund, p. 291
RECEIPTS AND DISBURSEMENTS, 1925
Disbursements, balances, etc. — Continued [Repayments to appropriations in excess of disbursements are printed in ifslicsl
Appropriations available in 1925
Appropriations from the geneisl fund Fiscal Balances July
I, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
Natiortal Parks — Continued. Emergency reconstruc-
tion in national parks Fighting forest fires in na-
tional parks
1925
1925 1924 1928
Insect infestations, Na- tional Park Service 1925 — 26
Insect infestations, Na- tional Park Service (transfer to Department of Agriculture, act May 21, 1920) 1925-26
Protection of national monuments 1925 — 26
1925 1924-25
1924 1928
Certified claims,
$19, 605. 27 7) 353. 29
5, 000. 00 1, 559. 35 1) 168. 18
$20, 000. 00
20, 000, 00
rs 21, 000. 00
7' 4, 000. 00
25) 000. 00 rs 16) 955. 00
12. 00
$12, 965. 03
20, 000. 00 1, 181. 29
117. 45
11, 608. 80
15, 282. 94 5, 000. 00
888. 50 58. 73 12. 00
21, 248. 74
11, 608. 80
$7, 235. 84 18& 473. 98
9, 891. 20
1, 114. 45
4, 000. 00
25, 000. 00 1, 722. 06
725. 85
$12' 965' 03I $7' 034' 97
Roads and trails, na- tional parks 1925 — 26
1924-25 's 1, 420, 000. 00
1, 0001 000. 00 225, 889. 87 245, 176. 78,
21, 182. 17
471, 016. 65
1, 194, 160. 13 754, 823. 22
Roads and trails, na- tional parks (transfer to War Department, act May 21, 1920) 1925 — 26 77 80, 000. 00 75, 396. 97 75& 896. 97 4, 608. 03
Crater Lake National Park 1925-26
1925 1924-25
1924 1923-24
1928 1922-23
2& 300. 00 1, 098. 78
20. 67 170. 87 154. 53
5, 000. 00 rs 28, 288. 00
3, 000. 00 27, 690. 52 2, 299. 27
927. 71 7. 18
112. 67 57. 70 154. 58
2, 000. 00 597. 48
. 78 166. 07
13. 49
General Grant National Park 1925
1924 1928-24
1928
Glacier National Park 1925 — 26 1925
1924-25 1924
1923 — 24 1923
1922-23
608. 66 85. 00
126. 88
122, 600. 00 1, 282. 49 " 27, 880. 80
518. 66 8, 029. 84
rs 15, 340. 00
24, 000. 00 so 158' 512 86
ss 1 900 00
18, 854. 78 521. 07
47. 50 46. 76
18, 000. 00 1491 987. 89 60, 978. 40
687. 46 28, 992. 25
459. 00 7, 905. 20
84, 087. 85
18, 970. 11
261, 960. 20
80. 12
59. 66 124. 64
1& 985. 22 87. 59 87. 50
11, 000. 00 8, 524. 97
61, 621. 60 595. 03 288. 55
Grand Canyon National Park No year.
1925-'26 1925
1924-25 1924
1923-24 1923 1921
100, 000. 00
11, 000. 00 "789. 70 s4 192. 40
ss 1, 199. 44 60. 15
91, 500. ss 98 294
0 Exclusive of $4, 000 transferred to same object under Department of Agriculture. )' See note 73. "Exclusive of $25 transferred to "Stationery, Department of the Interior, 1925. " s Exclusive of f80, 000 transferred to same object under War. » See note 76. ') Exclusive of $92 transferred as follows:
Stationery, Department of the Interior, 1925 $50. 00 Civil service retirement and disability fund, p. 291 42. 00
)& Exclusive of $15 transferred to "Stationery, Department of the Interior, 1925. " » Exclusive of $747. 14 transferred ss follows:
Stationery, Department of the Interior, 1925 . . 200. 00 Civil service retirement snd disability fund, p. 291. . . „547. 14
00 07
24, 964. 40 20, 002. 02 94, 031. 17 10, 265. 31
211. 86 168. 67 105. 79 1, 093. 65
Survey.
149, 748. 72 n Includes $1, 000 transferred from following accounts:
Grand Canyon National Park, 1924 Grand Canyon National Park, 1923-24 Yellowstone National Park, 1924
)' Transferred from ":. mesa Verde National Park, 1924. " » Exclusive of $1, 065. 93 transferred as follows:
Stationery, Department of the Interior, 1925 Civil service retirement and disability fund, p. 291 Zion National Park, 1925
» See note 81. » Includes $2. 60 returned from same obiect under Geological
75, 035. 60 71, 497. 98
4, 262. 90 734. 69 578. 84
28. 78
60. 15
$200. 00 600. 00 200. 00
200. 00 365. 93 500. 00
92 RE~ ~D DISBUEBEMENTBr 1925
Dt'eburserrtenfs, balances, ele. — Continued
[Bepsyments to appropriations in excess of disbursements are printed in ilslfcs]
Appropriations from the general fund Balances July
I, 1924 Appropriations
Appropriations available in 1925
Fiscal year
Disbursements l Total disbursa-
by years l
ments in 1925 Amount carried to surplus fund
Ba!ances Junc &tt 1925
Valiona/ Parks — Continued. Grand Canyon National
Park (transfer to Geol- logical Survey, sct of Msy 21, 1920)
Hawaii National Park
Hot Springs National P ark
1923 1925 1924 1923
1925 ~
1924-25 1924 1923
1922 — 23
$881. 30.
18, 000. 4, 824
574 247.
78i 97
ooj 78 89 73
811, Z50. 00
-' 70, 086. 11
$7, 519. 40 541. 45
68, 333. Ooj 3, 500. 00, 4, 519. 601-
212. 50l
$8, 060. 85I $30. 97
362. 39 247. 73
$3, 73[1 60 340. 33
1, 753. 11 14, 500. 00
305. 18
Lafayette National Park 1925 1924 1923
1922-23
2, 861. 231.
2. 24
-' 37, 265. 50 76, 565. 10[
34, 375. 93[ 2, 647. 23
54. 05 177. 80 2 24',
2, 889. 57 214. 11
Mesa Verde National Park 1925-26
1925 1924-25
1924 1923-24
1923 1922-23
Lassen Volcanic National Park 1925 — 26
1925 1924 1923
77. 46.
3, 000. 963. 161. 555. 67.
01 83
00 26 05 64 38
1, 500. 0 3. 025. 00
ei 1, 100. 00
5, 450. Ooj ro 38, 776. 50
2, 841. 61 57. 88 10. 25
2, 500. 00 37, 551. 26
2, 963. 79 671. 40 124 62I 435. 64I
37, 077. 21
2, 794. 48'
44, 246. 71
36. 58
120. 00, 67. 38
1, 50[1 00 183. 39 134. 39
2, 950. 00 1, 225. 24
36. 21 1, 39L 86
36. 43
Mount McKinley Na- tional Park 1925
1924 1923 4Z4.
76 34
Ooi 10, 216. 72 868. 88 274. 95 149. 39
1, 4?8. ZS
269. 15
Mount Rainer National Park 1925 — 26
1925 1924-25
1924 1923-24
1923 1922-23
23, 500. 00 2, 515. 54 6, 648. Z4
835. 10 18, 048. 41
16, 370. 00 wi 89, 866. 50
(si)
10, 000. 89, 610. 23, 487
2, 338. 6, 638.
827. 16, 976.
00 59 68 67 87 60 96
-10, 223. 28
7. 5 1, 0?1. 45
6, 37[1 00 255. 91
12. 32 176. 87
9. 37
Plstt National Park 1925, 1924 I
1923 '
639. 43 174. 38
~ 11, 862. 50 11, 116. 17 621. 91
149, 880. 37
174. 38
746. 33 17. 52
Rocky Mountain National Park 1925 — 26
1925 1924-25
1924 1923
1922-23
25, 2,
7, 500. ss 95, 471.
000. 00 757. 30l (sr) 138. 6?i 759. 86'
00 00,
5, 000. 00 87, 049. 1 24, 997. 87
2, 463. 83 112. 79 39. 73
11, 738. 08
25. 88 720. 13
2, 500. 09 8, 421 84
2 13 o93, 47
i Exdusive of amount transferred to "Civil service retirement snd disability fund, " p. 291.
Balance returned to "Grand Canyon National Park, 1923. " ' Exclusive of 5!0. 00 transferred to "Stationery, Department of the Interior, 1925. " » Exclusive of &!, 713. 69 transferred as follows:
Sistionerv, Department of the Interior, 1925 &!00. 00 Civil service retirement and disability fund p 291 613. 69 Zion National Park, 1925 1, 000. 00 " Eic! usive of &~. 50 tmnsierred as follows: Ststionerv, Department of the Interior, 1925 Civil service retirement snd disability fund p. 291
w Exclusive of 5!!6. 50 transferred as follows: Stationery, Department of the Interior, 1925 . 7a 00 Civil service retirement and di'ability fund p. 29L
Eic!usive of $1, 900 transferred to "Glacier National Park, 1923-24. "
663. 38 119, ~ I " Exclusive of $25. 00 transferred to "Stationery, Department of the Interior. !925. " Includes &13, 000 transferred from 1!M account snd escudos $303. 50 tiansfem
followsi Stationery, Department of the Interior, 1925 Civil service retirement and disability fund p. 29L 4 See note 93.
» Exclusive of &57M transferred ss follows: Stationery, Department of the Interior, 1925 Civil service retirement and disability fund p. 291 -- — --------------—
» Includes $25, 171, transferred from 19% account snd exriudes $240 ~ ferred as follows:
Stationery, Department of the Interior, 1925 Civil service retirement snd disabiTity fund, " p. 291
~ See note w. .
RECEIPTS AND DISBUBSEMENTSr 1925
Disbursements, balances, eic. — Continued
[Repayments to appropriations in excess of disbursements are printed in italics]
Appropriations available in 1925
Appropriations from the general fund year Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
ltfatiorta/ Parks — Continued. Sequoia National Park 1925 — 26
1925 1924-25
1924 1923-24
1923 1922 — 23
$79, 325. 00 5. 18 3. 92
346. 14 45. 34
$9, 138. 00 ss 60 427 00
$2, 250. 00 57, 531. 29 75, 969. 35
157. 80 87&9. 50
63. 10 $283 45
04 34',
$6, 888. 00 2, 895. 71 3, 355. 65
162. 98 246. 42
Southern Appalachian National Park 1925 — 26
Wind Cave National Park 1925 1924 1923
Certified claims.
Yellowstone National Park 1925 — 26
1925 1924-25
1924 1923-24
1923 1922-23
Yosemite National Park 1925 — 26 1925
1924-25 1924
1923-24 1928
1922-23
Zion National Park 1925 1924
1923-24 1923
Permanent and indefinite— Special funds-
Grsnd Canyon Na- tional Park, Ariz. , donations No year.
Hot Springs National Park, Ark. , dona- tions do
Lafayette National Park, Me. , dona- tions do
Mesa Verde National Park, donations do
National Park Serv- ice, donations do
Rocky Mountain Na- tional Park dona- tions do
Protection and im- rovement of Hot prings, Ark do
Total, National Parks
1& 500. 00 76. 15
36, 000. 00 s
3& 129. 67 227. 60 578. 38
17. 12
75, 000. 00 14, 862. 25 21, 369. 65
3& 197. 59 68. 73
2, 372. 78 92, 514. 72
293. 17
. 15
390. 92
24. 89
95. 00
1, 332. 85
2, 501. 09
14, 291. 14
777, 672. 57
20, 000. 00 " 10, 935. 00
. 99
31, 497. 00 1 358, 807. 48
3, 500. 00 ' 248, 271. 46
' l8, 128. 77
95. 00
250. 00
4, 238, 603. 24
2, 020. 92 8, 600. 00 1, 434. 56
19. 99 . 99
20, 000. 00 353, 622. 86
35, 672. 42 2, 610. 58
190. 82 483. 86
3, 500. 00 229, 338. 41
71, 975. 50 14, 604. 64 21, 368. 22
I& 422. 94 61. 88
12, 823. 08 1, 972. 58
77, 683. 87 20. 56
1, 464. 80
$135& 413. 44
2, 020. 92
10, 055. 54
412, 580. 04
342& 271. 59
92, 500. 09
1, 464. 80
2, 579& 820. 30
56. 16
95. 2 17. 12
1, 774. 65 6. 85
272. 61
16, 485. 10
17, 979. 08 2, 335. 00
65. 44
11, 497. 00 5, 184. 62
327. 58 519. 09 36. 78
18, 933. 05 3, 024. 50
257. 61 1. 43
5& 305. 69 400. 20
14& 830. 85
390. 92
24. 89
190. 00
118. 05
2, 501. 09
14, 291. 14
2, 419, 970. 41
$200. 00 183. 00
of the Interior,
750. 00 1, 345. 52
» Exclusive of $383 transferred as follows: Stationery, Department of the Interior, 1925 Civil service retirement and disability fund, p. 291 » Exclusive of $25 transferred to "Stationery, Department
1925. " & Exclusive of $2, 095. 52 transferred as follows:
Stationery, Department of the Interior, 1925 Civil service retirement and disability fund p. 291
& Exclusive of $200 transferred to "Glacier National Park, 1923-24. " ' Exclusive of $2, 142. 54 transferred as follows:
Stationery, Department of the Interior, 1925 $51p pp Civil service retirement and disability fund p. 2gl 1 532'54 ' Includes $1, 000 transferred from "Hot Springs National Park, 1g25' $50Q 0(j from "Grand Canyon National Park, 1925, " and excludes $121. 23 transferred as follows; Stationery, Department of the Interior, 1925 g5p pp Civil service retirement and disability fund, p. 291 . , 71. 23
94 RECEIPTS AND DISBURSEMENTS, 1925
1Nsbursements) balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in iiaiicsl
Appropriations available in 1923
Appropriations from the general fund year Balances July 1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1923
Amount carried to surplus fund
Balances June 30, 1923
Bureau of Education: Salaries
General expenses Collecting statistics
Distributing documents
Investigation of city school administration and education
Investigation of kinder- garten education
Investigation of rural snd industrial education
Library
Traveling expenses
1925 1924 1923
1925 1925 1924 1928
1924 1923
1925 1924 1923
1925 1924 1923
1925 1924 1923
1924 1928
1924 1923
$8& 480. 77 919. 69
8, 534. 00 540. 00
916. 16 202. 45
27. 00 93. 44
515. 00 64. 72
6, 888. 00 1, 218. 00
50. 00 52. 76
2, 958. 82 1, 405. 75
r $114, 85. ". 00
1 17, 464, 00 1 17, 025. 00
' 9, 775. 00
r 6, 970. 00
' 54, 075. 00
$114, 300. 00 88. 88
11, 150. 98 15, 400. 00
118. $5
154. 23
9, 500. 00 88. /)0
6, 500. 00 114. 70
49, 000. 88 777. 88 791. 97
80. 16'
982. 06 4. 20
$114, 277. 72 11, 150. 98
15, 286. 55
154. 23
9, 460. 60
6, 614. 70
49, 015. 51
80. 1h
986. 26
$919. 69
540. 00
202. 45
98. 44
64. 72
426. 03
52. 76
1&401. 55
$55. 00 3, 453. 05
6, 313, 02 1, 625. 00 3, 647. 45
761. 93
275. 00 66. 40
470, 00 400. 30
5, 074. 17 7, 615. 29
70. 15
2& 021. 26
Education of natives of Alaska 1925-26
1924-25 1923-24 1922-23
Certified claims.
Medical relief in Alaska 1925 — 26 1924 — 25 1928-24 1922-23
Certified claims.
' 845, 390. 00 28, 768. 11
3, 046. 88
105, 000. 00 18, 955. 00
288. 54
437, 075, 00 52, 335. 00
183. 00
122, 820. 00 17, 560. 00
213. 00
20, 167. 50 854, 865. 44
19, 869. 79 183. 95 188. 00
5, 000. 00 98, 714. 32 17& 115. 43
237. 11 218. 00
394, 269. 68
116& 279. 86
2, 862. 88
46. 48
416, 907. 50 48, 359. 56 9, 398. 32
117, 320. 00 28, 845. 68
1, 839. 57
Reindeer for Alaska 1925 — 26 1924 — 25 1923 — 24 1922-23
10, 500. 00 1, 000. 00
438. 90
12, 500. 00 2, 640. 00 6, 637. 97
78. 08 244. 25
6, 804. 19 194. 65
12, 500. 00 6, 502. 03 1, 078. 03
Permanent, and indefi- nite—
Colleges for agriculture and the mechanic arts 'Xo vear 2, 550, 000, 00 2) 550, 000. 00 2, 550& 000. 00
Special funds- Alsskan reindeer fuud do Public schools, Alaska
fund do
Total, Bureau of Education
209. 25
62, 275. 85
598, 628. 54
38. 75'
49, 073. 84
3, 468, 602. 09
68, 658. 52 68, 653. 52
3, 342, 888. 65 6, 804. 60
248. 00
42, 695. 67
712, 542 38
& Exclusive of amount transferred to "Civil service retirement and disability fund, " p. 291.
RECEIPTS AND DISBVRSEMENTS~ 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements sre printed in ffoffcs]
Appropriations available in 1925
Appropristioas from the general fund Fiscal Balsaces July
1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
Freedmen's Hospital, pathological building
Freedmen's H o s p i t a l, pathological building, shelving and equipment
Howard University
No year.
1925 1925 1924
1923 — 24 1923
1922-23
Howard University, build- ings No year.
St. Elizabeths Hospital 1925 1924 1923 1922 1921
Certified claims.
Buildings and grounds, St. Elizabeths Hospital No year
1925 1924 1923
Bcnefiriariesf Columbia Institution for
the Deaf s 1925 1924 1923
Freedmen's Hospital ' 1925 1924 1923 1922
$1, 009. 09 1, 000. 00
9, 082. 50 7 12, 116. 67
4, 398. 80
84. 89 29. 03 19. 39
2. 63
37, 000. 00
7, 992. 43 83, 282. 37
30, 071. 85
6, 874. 06 9. 03
$109, 000. 00
e 153 425 00
18, 700. 00 207, 500. 00
157, 500. 00 4 857, 110. 00
127. 05
7 106, 522. 50
$108, 000. 00
148, 315. 37 4, 781. 75 3, 426. 63
4, 331. 70
13, 523. 18 207& 440. 91
885. 1r8 24. 03
46, 500. 00 732, 251. 88
88, $58. 98 o8. 08
190. 00 851. 00 127. 05
4, 977. 70 101, 524. 92
6, 604. 86
$108, 000. 00
156, 523. 75
4, 331. 70
13& 523. 18
207& 199. 51
46, 500. 00
693, 325. 93
$1, 000. 00
8, 690. 04
19. 39 2. 63
83, 340. 45 190. 00 351. 00
9. 03
$1, 000. 00 1, 009. 09
5, 109. 63 4, 300. 75
67. 10
5, 176. 82 59. 09
350. 32 5. 00
148, 000. 00 124, 858. 12 46, 446. 35
25, 094. 15 4, 997. 58
269. 20
Remodeling and extending power, heating, and lighting plant, St. Eliza- beths Hospital No year.
Permanent and indefi- nite—
Trust funds— Personal funds of pa-
tients, St. Eliza- beths Hospital No year.
Pension money, St. Elizabeths Hospital do
Total, Beneficia- les r
" 212, 396. 72
201& 242. 37
" 437 303. 02
1, 043, 914. 85
108, 755. 00
68, 032. 06 20, 548. 14
I, 878, 471. 02
200, 554. 41' 188, 595. 21
113, 107. 48
108, 755. 00
188, 595. 21
20, 548. 14
1, 660, 409. 90
103& 641. 72
213, 201. 57
484, 786. 94
93, 602. 54 1, 168, 373. 43
Government in the Territories: Territory of Alaska—
Salary of governor 1925 Contingent expenses 1925 — 26
1925 1924 1923
Legislative expenses 1925 1923
l. 00 23. 25
423. 69
7, 000. 00 2, 500. 00
10, 780. 00
47, 010. 00
6, 708. 33 177. 50
9, 402. 07 58. 80 51&. 50
44, 872. 60
6, 708. 33
9, 468. 27
44, 872. 60
77. 75
423. 69
291. 67 2& 322. 50 1, 377. 93
57. 80
2, 137. 40
' Additional disbursements were made for this object under "District of Columbia, " p. 244
4 Exclusive of $2, 575 transferred as follows: Stationery, Department of the Interior, 1925 $500. 00 Civil service retirement and disability fund, p. 291 . 2, 075. 00
'Exclusive of amount transferred to "Civil service retirement snd disability fund, " P. 291,
s Transferred to "Civil service retirement snd disability fund, " p. 291. ' Exclusive of $42, 890 transferred ss follows: Stationery, Department of the Interior, 1925. $3 5pp pp Civil service retirement snd disability fund, p. 291 39, 390, 00
w Includes $161, 645. 92 transferred from "Pension money, St. Elizsbeths Hospital, " trust fund.
» See note 10.
96 RECEIPTS AND DISBURSEMENTS, 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in italics]
Appropriations available in 1925
Appropriations from the general fund year Balances July I, 1924 Appropriations
Disbursements by years
Total disburse- meats in 1925
Amount carried to sur plus fund
Balsaces June 30, 1925
Gosernment in fhe Terri- tories — Continued.
Territory of Alaska — Con. Care and custody of the
insane, Alaskan 1925 1924 1923
$3, 500. 00 663. 35
$153, 524. 00 9, 500. 00
$145, 899. 48 11, 805. 95
143. 54 $519. 81
$7, 624. 52 1, 194. 05
Protection of game in Alaska " 1925
1924 1923
Suppressing traffic in intoxicating liquors, Alaska " 1925
1924 1923
1, 652. 38
2, 000. 00 208. 05
16, 200. 00
1, 787. 08 15. 88
12, 279. 33 511. 96
$157, 848. 97
1, 818. 86' 1, 668. 31
208. 05
(u)
3, 920. 67 1, 488. 04
Territory of Hawaii— Salaries, governor and
secretary Contingent expenses
1925 1925 1924 1923
188. 18 463. 70
12, 400. 00 4, 500. 00
12, 400. 00 4, 027. 69
12, 791. 29
12, 400. 00
463. 70
472. 31 188. 18
Legislative expenses 1925 1923
Less repayments trans- ferred to Department of Agriculture per note 14
9, 123. 60
1, 797. 03
30, 000. 00 30, 000. 00 80. 08
4, 027. 69
29, 939. 97 60. 03
Total, Government in the Territories
Alaska Railroad: Alaska Railroad fund No year. Construction and opera-
tion of railroads in Alaska do
Construction and equip- ment of railroad in Alaska 1924, Dec. 31, 1924
1923-24 1922-23
7, 326. 57 293, 414. 00
'5 392, 475. 81 's 927, 353. 19
206, 362. 47
815, 000. 00 14, 497. 80
2, 808. 48
524, 423. 09
105, 632. 44
526, 093. 78 14, 184. 35
2, 174. 34
276, 244. 16
524, 423. 09
105, 632. 44
542& 452. 47
3, 421. 34 21, 075. 07
795, 405. 91
Maintenance and opera- tion of railroads in Alaska 1925
1924 1923
Operation of river steam- ers in Alaska 1925
1924
25, 020. 27 14. 56
5, 000. 00
1, 002, 400. 00
25, 000. 00
878, 546. 81 23, 817. 10
87@ 811
21, 500. 00 5, 000. 00
901, 689. 67
Less balances and appro- priations transferred to 'Alaska Railroad
funds"
Total, Alaska Rail- road
1, 461, 179. 39 1, 954, 753. 19
392, 475. 81 127, 353. 19
1, 068, 703. 58 1, 827, 400. 00
26, 500. 00
2, 100, 697. 67 795 405. 91
» Heretofore stated under office of the Secretary. » Account for 1925 transferred and stated under Department of Agriculture. &' Transferred to "Enforcement of the Alasl-a game law" (Agriculture). » Transferred from accounts as follows:
Construction and operation of railroads in Alaska Xo year 8100, 730. 03 Construction and equipment of railroad in Alaska 1924, Dec. 31, 1924- 288, 906. 22
1923-24 . . 313. 45 1922-23- - 634. 14
hfnintenance snd operation of railroads in Alaska 1924 1, 203. 17 1923 688. 80
» Includes 3127, 353. 19 transferred from accounts ss fonows: 31+ 853 19 Maintenance and operation of railroads in Alaska ---- — -- 1925 — 3 +359069 Operation of river steamers in Alaska
'r Balance transferred to "Alaska Railroad fund, " per note 15. &e Balance transferred to "Alaska Railroad fund, " per note 16.
RECEIPTS AND DISBURSEMENTSr 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in italics]
97
Appropriations available in 1925
Appropriations from the general fund Fiscal year Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
Interior Civil, , miscellaneous: Claims for damages, act
Dec. 28, 1922, Depart- ment of the Interior No year.
Judgments, United States Courts, Interior, civil do
Judgments, Court of Claims, Interior, civil do
Protecting lands and prop- erty in the Imperial Valley, Calif do
Relief of- Wesley T. Kastep do Amy L. Fallon, mother
of Lieut. Henry N. Fallon do
J. M. Farrell do Permanent and indefinite—
Increase of compensa- tion, Department of the Interior Certified claims.
$75. 00
20, 187. 29
8, 200. 00
1, 757. 88
1, 500. 00
$0. 56
41. 72
2, 274. 08
58. 72
$17, 305. 25
41. 72
1, 500. 00 2, 274. 08
58. 72
$17, 305. 25
. 56
41. 72
1, 500. 00 2, 274. 08
58. 72
$75. 00
2, 882. 04
8, 200. 00
1, 757. 38
Total, Interior Civil, miscellaneous
Total, Interior Civil, including Pen- sions
INDIAN AF1I'AIRS
26, 719. 67' 2, 375. 08
53, 398, 351. 76 275& 162, 799. 47
21& 180. 28
"268&180, 820. 72
7, 914. 42
$6, 185, 834. 00 54, 244, 496. 51
Salaries, current, and contin- gent expenses:
Salaries, Bureau of Indian Affairs 1925
1924 1928
21, 795. 20 15, 812. 20
7 379, 264. 00 869, 000. 00 o78. 07
368, 427. 98 15, 812. 20
10, 264. 00 22, 867. 27
Increase of compensation, Indian Service 1924
1923
Pay of judges, Indian courts 1925
1924 1923
Pay of Indian police 1925 1924 1923
Expenses of Indian Com- missioners 1925
1924 1928
44, 033. 23 160, 882. 15
713. 80 898. 30
4, 289. 26 18, 239. 43
282. 61 272. 84
20) 160. 80
204, 012. 00
10, 260. 00
88, 78k 70 8L 61
10, 140. 47 86. J&7
170, 637. 82 6, 688. 80
4. 22
10, 000. 00 886. 6b'
88& 881. 81
10, 054. 00
165, 019. 34
9, 768, 85
160, 478. 76
898. 30
18, 235. 21
272. 84
72) 772. 93
10, 020. 83 800. 27
33& 874. 68 9, 911. 46
260. 00 469. 26
General expenses, Indian Service 1925
1924 1928
Indian agency buildings Industrial work and care
of timber
1925
1925 1924 1928 1921 1920 1918
claims. Certified
' Exclusive of amount transferred to " Civil service "Includes $9, 745, 622. 04 paid by warrants on ac
of investments were $43, 358, 350. 00 ss of June 30, 19
4) 614. 60 14, 786. 17
17, 879. 47 85, 320. 82
retirement and dissbil count of investments. 25
'e 118, 622. 25
7 100, 370. 00
7 472, 388. 75
15. 80
) ty fund, p. 291. Face amount
107, 261. 08 8. 40
71. 22 107, 385. 65 95, 229. 62 95, 229. 62
440, 148. 97 11, 800. 17
6. 96 6. 81 8. 80
81&. 08 15. 80
428, 817. 81 5 transferred as folio tment of the Interior ment and d)ssb&hty
&)& Exclusive of $2, 227. 7 Stationery, Depsr Civil service retire
11, 361. 22 4, 611. 20
14) 714. 95
5, 140. 38
82, 289. 78 28, 679. 64
85, 827. 78 6. 81 3. 50
24. 02I
ws: , 1925. . $1, 000. 75 fund, P. 291 1. 227. 00
98 RECEIPTS AND DISBURSEMENTS, 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in itatfcsl
Appropriations available in 1925
Appropriations from the general fund year Balances July 1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
INDIAN AFFAIB8 — continued
Salaries, current and contin- gent expenses — Contd.
Inspectors, Indian Service 1925 1924 1923 1919 1918
Purchase and transporta- tion of Indian supplies 1925 — 26
1925 1924-25
1924 1923-24
1923 1922 1921
Certified claims.
Telegraphing and tele- phoning, Indian Service 1924
1923 Certified claims.
Total, salaries, current and contingent ex- penses
Fuljilling treaty stipulations with and support of Indian tri bes:
Fulfilling treaties with— Chippewas, Pillager, and
Lake Winnebagoshish Bands No year.
Chippewas of the Mis- sissippi do
Chippewas, T u r t 1 e Mountain Band do
Choctaws, Oklahoma do Cnlumbias and Colvilles do Creeks do Crows, Montana No year.
1925 1924 1923
$3, 158. 71 5, 666. 88
3, 125. 00 53, 979. 55
1, 510. 78 730. 92
120. 00
1, 622. 03 633. 07
403, 812. 02
2, 159. 88
2, 425. 11
1, 311. 31 21, 090. 00
2, 850. 19 551. 45
, 24
308. 00 132. 49
$22, 000. 00
6, 000. 00 tu 505, 189. 00
151. 94
1. 91
1, 838, 430. 95
10, 520. 00
r 6, 114. 50
$19, 035. 42 45. 39 88. 58
1. 88 10. 81
3, 514. 63 453, 336. 21
1, 089. 85 53, 975. 06
1, 510. 78 730. 56
19. 86 6. Ir8
151. 94
144. 44 1. 75 1. 91
31, 610. 00
6, 114. 50 818. 67
$19, 035. 85
512, 164. 19
148. 10
1, 687, 164. 53
311 610. 00
5, 795. 83
$5, 700. 40 1. 23
10. 21
. 36 19. 26 6. 48
631. 32
246, 633. 63
132. 49
$2, 964. 68 3, 113. 32
2) 485. 37 51, 852. 79
4, 154. 25 4. 49
120. 00
1, 477. 59
308, 444. 81
2, 169. 88
2) 425. 11
1) 311. 31
2, 850. 19 661. 45
. 24
626. 67
Crows, for cession of lands No year.
Fort Hall Indians do Indians at Blackfeet
Agency do Indians at Fort Ber-
thold Agency do Indians formerly of Lem-
hi Agency, Idaho do Iowas in Kansas do Iowas in Oklahoma do Ekaskaskias, P e o r i a s,
Weas, and Pianke- shaws do
Miamies of Indiana do Na vaj oes, schools,
Arizona 1925 — 26 1925 1924 1923 1922
224. 34 1, 201. 58
55. 22
6, 718. 95
4, 609. 30 183. 47 691. 59
177. 92 596. 92
2, 404. 83 32, 038. 67
75, 000. 00 200, 000. 00
159. 90 159. 90
60. 59 60. 59
99. 49 99. 49
37, 898. 32 198' , 470' . 15~
242. 12 112. 69 84. 00
31, 925. 98 24. 00
224. 34 11201. 58
66. 22
6, 718, 96
4, 449. 40 183. 47 631. 00
177. 92 497. 43
37, 101. 6S 1, 529. S5 2, 162. 71
ability fund, " r Excius)ve of amount transferred to Civil service rct)rement and )hs p. 291.
236, 699. 28 » Exclusive of 01, 391 tr
Stationery, Depart C)vil serv)ce ret)re
ansferred as follows: 0500, 00 ment of the Interior, 1025-------- — ------- 00100
ment and disability fund, p. 291 .
RECEIPTS AND DISBUBSEMENT8& 1925
Disfrurssmsnts, balances, stc. — Continued
[Repayments to appropriation in ezcess of disbursements are printed in ifoficsj
99
Appropriations available in f 92o
appropriations from the general fund Fiscal Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
%mount carried to surplus fund
Balances June 30, fir&s
JNnLtN spyafns — continued
$702. 41
207. 03 828. 11
1, 291. 89
8, (?'2. 87j
1, 125. 19'
2, 837. 87~
, 4, 79
3, 810. 72 2, 204. 42
520. 37
145. 99'
696. 04
1, 244. 08 236. 13.
4& 861. 87
1& 341. 28
1925 ( 1924,
1928; 78. 16
1925 j
1924 686. 50 1928, 897. 22
Chippevrss of the iMis- sissippi, Minnesota
Fulfiitirtg trsatff sti pulattorts tsttb artd support of Ir((teart tribes — Contd.
FulfiUing treaties with— Continued.
Omahas No year. Ottswas and Chippewas
of Michigan do Pawnees, Oklahoma do Pottswatomies, Kansas do Pottswatomie Nation,
sward of Jsn. 28, 1869 do Pottawatomies of
Indians and i&Iichigsn do Ssc and Fox of the
Mississippi, Oklahoma do Ssc snd Fox of the
Missouri, Kansas do St. Croix Chippewa
Indians of Wisconsin do Senecas of New York do Shoshone snd Arspa-
hoes in Wyoming do Sioux, Ysnl-ton Tribe,
South Dakota do Sissetons snd Wahpe-
to ns do Six Nations of New
York do Spoksnes, Washington do Winnebagoes do
Advance interest to Chip- pewas in Minnesota (reimbursable) do
Support of- Bsnnocks, Idaho: Em-
ployees
$30, 000. 00
10, 000. 00 6, 000. 00
4. 500. 00
' 6, 519. 00
r 5, 180. 00
$1. 74 29, 944. 44
8, 918. 40j 5, 877. 46',
146. 00
4. 496. 63)
955. 61j
1, 281. 08;
6, 415. 67 1. 17
4, 800. 00' 67(L 68
$1. 74 29, 944. 44
8, 918. 40 5, 877. 46
146. 00
4& 496. 68
955. 61
1, 281. 08jj
6, 414. 50' 8?8. 16
897. 22
8 02. 41
205. 29 883. 6?
1, 291. 89
3, 1?2. 87
1, 125. 19
2, 887. 8(
7, ?42. 79
4, 892. 32 2, 326. 96
520. 37
145. 99
550. 04
1, 247. 40 236. 18
3, 906. 26
103. 38 L 17
380. 00 1, 2?8. 12
Coeur d'Alenes, Idaho 1925, 1924
i
168. 40 1928
j 275. 76
r 4, 318. 50 4, 038. 50j 1o8. 00(
4, 158. 38; 280. 00 827. 40
Confederated bands of Utes, Utah: Em- ployees, etc
Confederated bands of Utes, Utah: Subsist-
Northern Cheyennes and Arapahoes, Mon-
ns ts
& Exclusive of amount transferred to
1920 1924 1923
373. 78 4, 379. lo
1925 1924 3, 558. 00 1923 12, 280. 76,
' 32, 448. 50
24, 260. 00
84, 358 50 1925 1924 1923
5, 197. 81, 808. 6o
"Civil service retirement snd disability fund, " p. 2jn.
29, 930. 50 187. 78
22, 778. 91'j 8, 86o. 88
7o, 92L 48j 4, 818. 60',
236. 18
3, 874. 50
29, ?32. 7?
18, 808. 58
80, 976. 21
4, 879. lo
12, 280. (6
67. 4?
2, 513. 00 57L 51
1, 486, 09 7, 518. 33
8, 437. 07 879. 21
100 RECEIPTS ANII IIISBUBSEMENTS7 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in frolics]
Appropriations available in 1925
Appropriations from the general fund year Balances July 1, 1924 Appropriations
Disbursements by years
Total disburse- ments m 1925
Amount carried to surplus fund
Balances June 39, 1925
INDIAN AFFAIRs — continued
Fulfillin treaty stipulations with and su p port of Indian tribes — Contd.
Support of — Continued. Pawnees, Oklahoma:
Employees, etc 1925 1924 1928
$872. 85 548. 98
7 $8, 446. 00 $8, 346. 00
$8, 346. 00 $548. 98
$100. 00 872. 85
Pawnees, Oklahoma: Iron, steel, etc 1925
1924 1923
Pawnees, Oklahoma: Schools 1925
1924 1923
Quapaws, Oklahoma: Education 1925
1924
Quapaws, Oklahoma: Employees, etc 1925
1924 1923
Sioux of different tribes, South Dakota: Em- ployees, etc 1925
1924 1923
Certified claims.
Shosh one, Wyoming: Employees, etc 1925
1924 1923
40. 47 127. 45
505. 80 640. 85
250. 00
20. 00 188. 09
100. 00 199. 02
4, 960. 69 77 411. 54
500. 00
r 11, 065. 00'
1, 000. 00
1, 040. 00
r 7, 097. 50
7 158, 980. 75
56. 33
480. 00
10, 251. 53 189. 92
750. 00 250. 00
980. 00 188. 08
6, 500. 00 880. 18
139, 238. 53 57 080. 88
480. 00
10, 441. 45
1, 000. 00
846. 94
6, 119. 84
127. 45
640. 85
188. 09
199. 02
7, 4'll. 54-
20. 00 40. 47
813. 47 315. 88
250. 00
60. 00 153. 06
597. 50 480. 16
19, 742. 22 9, 981. 02
Sioux of difFerent tribes, South Dakota: Sub- sistence and civiliza- tion
Certified
Spokanes, Washington
1925 1924 1923 1922 1913
claims.
1925
21, 848. 60 79, 010. 60
258, 000. 00
74, 10
107. 63
1, 320. 00
231, 560. 15 /, 157. 60
147. 46 73. 04
8. 91 107. 63
1, 320. 00
134, 274. 53
227, 721. 87 1, 320. 00
78, 863. 14 1. 06 8. 91
26, 439. 85 26, 006. 10
Total, F ulfilling treaty stipulations with, and support of, In- dian tribes 257, 664. 60 946, 896. 31 860, 562. 02 137 545 03 206 453 86
Miscellaneous Supports: Support and civilization of
Indians Support of-
Chippewas of Lake Su- perior, Wis
1925
1924 1923
Certified claims.
262. 42 824. 14
r 773, 008. 23 751, 723. 18
5. 08
47
11, 459. 85 r 11, 815. 00 Choctaws in Ilississippi 1925 ' Exclusive of amount tnmsferred to "Civil serv ice retirement and dissbiliity fund, " p. 292.
751, 723. 1
5. 55 11, 459. 85
824. 14
21, 285. 05
257. 34
355, 15
RECEIPTS AND DISBURSEMENTSr 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in ileffcs}
101
Appropriations available in 1925
Appropriations from the general fund year Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
INDIAN AFFAIRs continued
Miscellaneous Su p ports — Con. Support of — Continued.
D'Wamish and other allied tribes in Wash- ington
Indians in Arizona
Certified
1924 1923
1924 1923 1922
claims.
$252. 50 832. 03
2, 255. 01 5, 204. 61
$1. 02
tf1&81. 85 43. 50
8& 895. 01 217. 80
1. 85 1. 02
tf 887. 85' $788. 53
4, 986. 81 1. 85
$683. 85
4, 550. 02
Indians in Arizona and New Mexico 1919
Certified claims. 2. 00
111. 50 2. 00
111. 50
8, 078. 04
113. 50 Indians of Fort Belknap
Agency, Mont
Indians of Fort Berthold Agency, N. Dak
Indians of Blackfeet Agency, Mont
Indians in California
Indians at Colville and other agencies and Joseph's Band of Nez Perces, Washington
1924 1923
1924 1923
1924 1923
1924 1923 1922
1924 1923
500. 00 205. 97
311. 64 760. 04
857. 87 2& 441. 97
948. 21 1, 798. 55
1, 625. 95 377. 25
63. 72
699. 11 9. i&5'
788. 98 29. 58
8. 8o
196. 87
63. 72
689. 66
711. 65
196. 87
205. 97
760. 04
2, 451. 42
1, 768. 97 2. 25
377. 25
436. 28
758. 87
158. 76
1, 687. 19
1, 822. 32
Indians of Flathead Agency, Mont 1924
1923
Indians of Grande Ron- de and Siletz Agen- cies, Oreg 1924
1923
Indians at Fort Hall Reservation, Idaho 1924
1923
Indians, Mescalero Res- ervation, N. Mex. (reimbursable) 1923 — 24
Indians in Nevada 1924 1923
Certified claims.
Indians in New Mexico 1924 1923 1921
Indians of Fort Peck Agency, Mont 1924
1923 1922 1921 1918
3, 500. 00 4, 243. 06
. 02 24. 25
773. 25 543. 59
221. 47 247. 02
2, 593. 83 6, 56. 53
3, 066. 76 2, 298. 43
16. 50
1, 108. 1&1
86. 78
221. 89
1, 579. 10 87. 48
16. 50
8, 198. 95 $. 65
67. 68
89. 32 8, 868. 18
. 50 6. 87
15. 59
1& 108. 41
221. 89
1, 579. 10
10. 98
8, 796. 76
4, 243. 06
24. 25
543. 59
247. 02
6, 570. 00 67. 62
5, 161. 55 . 50
6. 87 15. 59
4, 602. 41
26. 74
551. 36
1, 579. 10 248. 89
4, 786. 33
2, 977. 44
102 RECEIPTS A. ND DISBURSEMENTS~ 1925
Disbursements, balances, elc. — Continued
[Repayments to appropriations in ezcess of disbursements sre printed in ffslfcrl
Appropriations available in 1925
Appropriations from the general fund year Balances July 1, 1924 hppropristions
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
INDIAN AFFAIRs — continued
Miscellaneous Sup ports — Con. Support of — Continued.
Indians in Utah 1924 1928
$727. 97 721. 79
$9/6. 61
g9/j6. 61 $721. 79
$974. 58
Indians of Warm Springs Agency, Oreg. (re- imbursable) 1925
1924 1928
50. 16 52. 85
$4, 560. 00 4, 890. 94 88. 6$
52. 85 '
169. 06 132. 80
Kansas Indians, Okla- homa
Kickapoos, Oklahoma
Makahs, Washington
Poncas, Oklahoma
Pottawatomies, Wiscon- ln s
1928 1924 1923 1924 1923
1924 1923
No year. 1924 1928
14. 28 280. 00 158. 23 255. 56
18. 84
786. 28 706. 70
2, 580. 23 328. 48 714. 66
98. 98
1, 629. 75 815. 4$
4, 308. 30
96. 96I
895. 69
1, 814. 81
14. 23
153. 23
18. 84
706. 70
714. 66
280. 00
354. 54
1, 082. 12
900. 48 643. 92
Qui-nai-cits and Quil- leh-utes, Washington 1924
1923
Rocky Boy's Band of Chippewas and other Indians, Montana 1924
1923
Seminoles in Florida 1924 1923
Sioux of Devils Lake, N. Dak 1924
1923
Turtle Mountain Band of Chippewas, North Dakota 1924
1923
Wichitas and ainliated bands, Oklahoma 1924
1923
Wisconsin Band of Pot- tawatomies, Wiscon- sin and Michigan (re- imbursable) No year
Yankton Sioux, South Dakota 1924
1923
391. 89 80. 99
126. 43 177. 87
148. 80 274. 46
176. 70 230. 14
260. 99 496. 58
582. 00 1, 297. 31
2, 978. 05
525. 53 1, 453. 86
187. 75
148. 80
6. 00 . 71
8L 17 J&. 07
650. 09
2, 978. 05
168. 77 1. 55
167. 75
148. 80
650. 09
2, 978. 05
161. 89
80. 99
177. 87
274. 46
229. 43
500. 60
1, 297. 31
1, 451. 81
5 hu
529. 14
156. 99
182. 70
292. 16
1, 182. 09
688. 30
Totals Miscellane- ous Supports 60, 026. 22 789, 514. 72 759, 762. 91 ss sss ss ss ss"
RECEIPTS AND DISBURSEItifENTSr 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in italics]
103
Appropriations available in 1925
Appropriations from the general fund Fiscal year Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse- Amount carried ments in 1925 I to surplus fund
Balances June 30, 1925
INDIAN AFFAIRS — continued
Trust funds: Principal accounts iper-
msnentl— Apache, Kiowa, and Co-
manche fund No year. Aps, che, Kiowa, and Co-
manche 4 per cent f und do
Blackfeet Reservation 4 per cent fund do
Cherokee school fund do Cheyennes and Arspa-
hoes in Oklahoma, fund do
Cheyennes and Ars, ps- hoes in Okls, horns 3 per cent fund do
Cheyenne River Reser- vation 3 per cent fund, act Jsn. 28, 1913 do
Cheyenne River Reser- vation 3 per cent fund do
Chippewas in Minnesota ' fund do Coeur d'Alene 3 per
cent fund do Creek general fund do Crow consolidated 4 pcr
cent fund do Crow Creek 4 per cent
fund do Fort Belknap Reserva-
tion 4 per cent fund do Fort Berthold Reserva-
tion 3 per cent fund do Fort Hall Reservation 4
per cent fund do Fort Hall Irrigation 4
per cent fund do Fort Peck Reservation 4
per cent fund do Grande Ronde minors'
fund do Iowa fund do Iowa minors' fund do Kansas consolidated fund do Kickspoo minors' fund do Kickspoos in Oklahoma
fund do Kiowa Agency hospital
4 per cent fund do Klamath fund do L'Ause snd Vieux de Sert
Chippewa fund do Menominee fund do Menominee 4 per cent
fund do Menominee log fund do Nez Perces of Idaho fund do Omaha fund do Omaha minors' fund do Osage fund do
~ Otoe snd Missouria minors' fund do
Pine Ridge Reservation 3 per cent fund do
Pottawatomie educa- tional fund do
Pottawstomie general fund do
"Transferred from "Reclamation F und. " 73270 — 26 — 8
$91. 22
67, 880, 59
8, 205. 22 50. 26
86, 293. 06
55, 448. 48
1, 180, 1& 481,
2
3, 405,
512. 11 477. 89 198. 83 582. 40 258. 48 484. 04
. 04
187, 677. 16'
29, 401. 18
33, 820. 30
53, 716. 83
1) 157, 059. 59
4, 966, 547. 12
67, 007. 60 21, 720. 65
83& 845. 15
5, 491. 29
157. 13
19& 455. 90
1, 117. 29
ss700, 000. 00
115, 452. 45
4, 011. 51 569. 47
5, 227. 72 2, 486. 54
10, 241. 85
1, 810. 11
12, 390. 15 5, 696. 05
358. 20 62, 586. 18
30, 806. 17
977. 38
1, 022. 52
55, 929. 77 111, 071. 00
88, 444. 00 971, 264. 02
662. 72
15& 975. 45
9, 571. 98
98, 878. 58
811. 80
30, 855. 02 18, 436. 27
98, 869. 51
84, 000. 00
97, 570. 60
295. 05 599. 19
2& 160. 37
1, 462. 72 11& 281. 00 1, 356. 67I
727, 643. 21
2, 126. 62
74, 889. 68
43, 524. 62 40. 81
188, 278. 76
5, 875. 81
997. 64
1, 147. 60
$2, 224. 50~ 8/88) $80. 89
8, 019. 16 50. 26
8488& 7&80. 89
8, 019. 16 50. 26
30, 806. 17
111, 071. 00
971, 264. 02
9& 571. 98
88, 878. o8
811. 80
18, 436. 27
84, 000. 00
97, 570. 60
295. 05 589. 19
2, 160. 87
4& 096. 75
11, 281. 00 1, 356. 67
2, 126. 62
74, 889. 68
40. 81 183, 278. 76
997. 64
1, 147. 60
$91. 22
587, 985. 98
186. 06
55, 486. 89
56& 425. 81
54, 788. 85
1, 101, 918. 36
4, 038, 727. 10
58, 098. 39 21, 720. 65
123, 199. 13
4, 679. 49
157. 18
31, 874. 65
1, 117. 29
616, 000. 00
116, 751. 36
8, 716. 46 1, 138. 66 3, 067. 85 2, 486. 54 6, 145. 10
1& 810. 11
2& 571. 87 4) 889. 38
858. 20 60, 409. 56
1& 838, 815. 64 1, 481, 477. 39
2, 198. 38 582. 40 217. 67
8, 315, 729. 90
. 04
198, 052. 47
28, 403. 54
32 672 70
104 RECEIPTS AND DISBVRSEMENTSr 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in ffslfcs]
Appropriations from the general fund year Balances July 1, 1924 Appropriations
Appropriations available in 1925
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 80' 1929
INDIAN AlrlrAIRS — continued
Trust f unde — Continued. Principal accounts (per-
manent) — Continued. Pottawstomie mills fund No year. Pottawatomie minors'
fund do Puysllup 4 per cent
school fund do Quspsw 3 per cent mi-
nors' fund do Red Lake Chippewas 3
per cent minors' fund do Red Lake Forest 4 per
cent fund do Rosebud Reservation 3
per cent f und, act Mar. 2, 1907 do
Rosebud Reservation 3 per cent fund, act Msy 30, 1910 do
Rosebud Sioux 8 per cent minors' fund do
Round Valley general fund do
Ssc snd Fox of the Mis- sissippi in Oklahoma fund, act Mar. 3, 1909, and Apr. 4, 1910 do
Ssc snd Fox of the Mis- sissippi in Iowa fund, acts Mar. 3, 1909, snd Apr. 4, 1910 do
Sac and Fox of the Mis- sissippi in Iowa fund do
Ssc snd Fox of the Mis- sissippi in Oklahoma fund do
Sac snd Fox of the Mis- souri minors' fund do
Seminole school fund do Senses fund do Seneca fund (Tons-
wands Band) do Senacas of New York
fund do Seneca snd Shawnee
fund do Shawnee fund do Shoshone snd Bannocl-
fund do Sioux Fund—
Cheyenne River do Crow Creek dn Flsndreau do Flsndresu minors do Lower Brule do Pine Ridge do P ones do Poncs minors do Rosebud do Santee do Ssntee minors do Standing Rock do
Sisseton snd Wahpeton fun d do
Sisseton snd W'shpeton minors' fund do
Standing Rock Reserva- tion 3 per cent fund do
Standing Rock Reserva- tion 3 per cent fund, sct Feb. 14, 1913 do
$6, 62?. 87
17, 429. 13
68, 723. 48
64. 54
990. 92
45, 441. 93
54, 577. 22
28, 758. 64
24, 483. 01
40, 000. 00
196, 514. 62
2. 94
372. 35
5, 524. 32 136, 863. 68
6. 55
2?i 751. 25
1, 262. 76
1, 565. 31 90. 33
2, 897. 08
105, 356. 46 52, 055. 60
178. 26 318. 84
12 194 93 320, 717. 59
458. 00 114. 50
356, 585. 18 982. 80 122. 87
188, 991. 53
4, 908. 37
1, 080. 49
115, 750. 40
76, 320. 35
$52, 525. 68
2, 599. 08
30, 755. 36
7, 532. 6
$224. 79
4, 357. 27
6, 572. 10
16. 00
5, 556. 52
7, 918. 02
372, 35
1, 191. 68 6, 509. 91
1, 678. 38
217. 72
4, 796. 02 4, 761. 42
816. 88 818. 84 657. 18
29, 452. 95
18, 382. 79
7, 396. 13
756. 95
586. 67
65, 530. 31
80. 00
$224. 79
4, 357. 27
6, 572. 10
81. j&8
16. 00
5, 556. 52
7, 918. 02
372. 85
1, 191. 68 6, 509. 91
1, 678. 38
217. 72
4, 796. 02 4, 761. 42
815. 88 318. 84 657. 18
29, 452. 95
18, 382. 79
7, 396. 13
756. 95
586. 67
65, 530. 31
80. 00
$6, 402. 68
13, 071. 86
68, 723. 48
990. 92
91, 3g5. 61
21. 48
57, 191. 26
23, 202. 12
24, 483. 01
40, 000. 00
188, 696. 60
2. 94
4, 832. 64 130, 363. 77
6. 56
26, 072. 87
1, 046, 04
1, 666. 31 90. 33
2, 897, 08
100, 560 44 47, 294. 18
48L 64
ll, 637. 76
2gl, 264, it4
468. 00 114, 60
843, 262 39 g82 80 122, 8?
181, 596. 40
4, 16L 42
493. 82
80, 976 46
83, 93299
RECEIPTS AND DISBURSEMENTS~ 1925
Disbursements, balances, efc. — Continued
[Repayments to appropriations in excess of disbursements are printed ln ffalfcr]
105
Appropriations available in 1925
Appropriations from the general fund Fiscal Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse- ments ln 1925
Amount carried to surplus fund
Balances June 30& 1925
INDIAN APPAIRS — continued.
Trust funds — Continued. Principal accounts (per-
manent) — Continued. q Unitah and White
River Ute fund No year. Umatilla general fund do Umatilla school fund do Ute 5 per cent fund,
Southern Ute do Ute 5 per cent fund,
Uintah, etc do Ute 5 per cent fund, Ute
Mountain Ute do Utes, Conf ederated
Bands of, 4 per cent fund, Southern Ute do
Utes, Confederated Bands of, 4 per cent fund, Uintah, etc do
Utes, Confederated Bands of, 4 per cent fund, Ute Mountain U te do
Winnebago fund, Ne- braska do
Winnebago fund, Wis- consin do
Yankton Sioux fund do Principal and interest
account: Payment to North Carolina Cher- okees do
Proceedsof lands: FulfiB- ing treaties with—
Chippewas and Chris- tian Indians do
Menominees do Menominees. logs do Miamies of Kansas do Omahas, interest on
deferred payments for lands do
Ottawas do Sac and Fox of the
Missouri do Shaw nees do Winnebagos - — do Winnebagos in Ne-
braska, allotted lands do
Proceeds of- Blackfeet Reserva-
tion, Mont. , act of May 18, 1916 do
Blackfeet Reserva- tion, Mont. , act of Mar. 1, 1907 do
Cheyenne and Arapa- hoe reserve lands, Oklahoma do
Cheyenne River and Standing Rock Res- ervations, S. Dak. and N. Dak do
Coeur d'Alene Reser- vation, Idaho do
Colville Reservation, Wash do
Col ville, Reservation, Wash. , act Mar. 22, 1906 do
$18, 499. 01 80, 776. 58
9, 242. 14
81, 405. 86
280, 364. 09
113, 945. 57
130& 748. 91
93, 852. 96
820, 651. 46
13, 034. 31
10, 526. 49 89. 69
17. 48
289. 17 18. 90
18, 722. 09 77. 04
135. 72 112. 88
28. 58 292. 50
4, 741. 81
355. 00
544. 40
4, 787. 59
365. 41
10, 257. 00
10, 870. 67
1& 262. 68
92, 424. 56
$300. 71
5, 790. 34
18, 692. 16
7, 127. 83
44. 10
10, 657. 83
$5, 693. 99 570. 50
55, 560. 16
20, 628. 26
41, 869. 79
38, 737. 27
958, 73
1, 903, 85 89. 69
636. 26
1, 491. 94
6, NjO. 80
680. 65
6, 909. 98
613. 88
25, 500. 13
$5, 693. 99 570. 50
55, 560. 16
20, 628. 26
41, 869. 79
38, 737. 27
953, 73
1, 903, 85 89. 69
636. 26
. 85
1, 491. 94
6, &le. 80
680. 65
6, 909. 98
613. 88
25, 500. 13
$18, 499 01 75, 383. 30 8, 671. 64
81, 405. 86
174, 803. 93
118, 945. 57
115, 910. 99
70, 175. 33
289, 042. 02
12, 080. 58
8, 622. 64
17. 48.
289. 17 18. 90
18, 085. 88 77. 04
184. 87 112. 38
28. 58 292. 50
3, 249. 87
355. 00
4, 484. 60
5, 452. 34
365. 41
8, 847. 02
10, 870. 6?
648. 80
77, 582. 26
106 BECEIPTS A11fD DISBUBSEMENTSp 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in frolics]
Appropriations available in 1925
Appropriations from the general fund year Balances July 1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
INDIAN AFFAIRS — continued
Trust funds — Continued. Principal accounts (per-
manent) — Continued. Proceeds of — Continued.
Devils Lake Reserva- tion, N. Dak No year.
Flathead Reservation, Mont do
Flathead Reservation, Mont. , act of May 18, 1916 do
Fort Peck Reserva- tion, Mont. , act of May 18, 1916 do
Irrigable lands, Yuma Reservation, Calif do
Klamsth River Reser- vation do
Lower Brule Reserva- tion, S. Dak do
New York Indian lands in Kansas do
Oil and gas leases, t. royalties, etc. , Osage
Reservation, Okla do Omaha Reservation,
Nebr do Pawnee Reservation,
Okla do Quinsielt Reserva-
tion, Wash do Red Lake Reserva-
tion, Minn do Rosebud Reservation,
S. Dsk do Rosebud Reservation,
S. Dak. , sct of Msr. 2, 1907 do
San Carlos Reserva- tion, Ariz
' do
Siletz Reservation, Oreg do
Sioux Reservations in Minnesota and Dakota do
Sioux Reservations, N. Dak. snd S. . Dak do
Southern Ute Reser- vation do
Spokane Reservation, Wash do
Surplus Pottawatomie lands, Kansas do
Surplus P u y a I I u p school lands do
Surplus lands, Qua- paw Agency, Okla do
Surplus lands, Sac and Fox of the Mis- souri Indians, Kan- sas and Nebraska do
Timber, cemetery site, etc. , La Pointe Chippewas, Wis- consrn do
Timber, Jicarilla Res- ervation, X. Mex. , act Mar. 4, 1907 do
Town lots, White Earth Reservation, &briinn do
$1, 092. 541
25, 389. 24
800. 00
$440. 00
1, 693. 71 $5, 328. 68
80, 425. 75'
2, 486. 50 6, 790. 18
017. 35
4, 562. 25
1& 319. 24
18. 72 199. 60
192. 28
110. 551
581. 12
17, 851. 94
5, 453. 66
11, 801, 544. 76
4, 680. 28
259. 21
5& 146. 98 606. 06
533. 63
1, 543. 26
805, 589. 64
162, 057. 70,
3, 126. 48
14, 520. 54
10, 302. 4S
1, 696. 75
1. 2S
504. 56
1, 165. 00 23. 30
256. 012. 94
9, 610. 99
30, 820. 00 60, 670. 09
$5, 828. 68
199. 60
4, 680. 23
259. 21
$/8. 97
504. 56
23. 30
60, 670. 09
$1, 532. 54
21, 754. 27
300. 00
80, 425, 76
9& 276. 63
5, 017. 35
4, 775. 47
1, 319. 24
11, 801, 544. ?6
192. 28
110. 56
581. 12
13, 221. 71
5, 194. 46
6, 199. QB
538. B3
1. 89
1, 543. 26
305 589 B4
162, 058, 98
3, 126. 43
14& 016. 98
10, 302. 48
1, B96. 76
1, 14k 70
226, 162. 85
9, 610. 99
RECEIPTS AND DISBURSMfENTSr 1925
Disbursements, balances, efc. — Continued
[Repayments to appropriations in excess of disbursements are printed in ffaffcsl
107
Appropriations available in 1925
Appropriations from tbe general fund Fiscal year Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried Balances June to surplus fund 30, 1925
INDIAN AFFAIRS — continued
Trust funds — Continued. Principal accounts (per-
manent) — Continued. Town sites, Colorado
River Reservation, Ariz No year
Town site, Spokane Reservation, Wash do
Town site, Fort Hall Reservation, Idaho, act May 31, 1918 do
Uintah and White River Ute lands do
United Peoria and Western Miami sur- plus lands do
White Mountain Apache lands, Ariz do
Wichita ceded lands do Wind River Reserva-
tion, Wyo do Wind River Reserva-
tion, Wyo. , oil and gas leases do
Winnebago Reserva- tion in Minnesota do
Proceeds of interest on moneys on deposit in banks, act Mar. 3, 1911—
Chickasaw do Choctaw do Creek do Seminole do
Indian moneys, proceeds of labor do
Compromise settlement suit of United States v. Yabe Gaino et al. , Creek Nation do
Compromise settle- ments, United States v. sundry persons, Creek trust fund do
Individual Indian mon- eys, trust fund do
Payment to Puyallup allot tees do
$71, 020. 78
1, 027. 50
1, 644. 71
37, 878. 41
$1, 094. 74
1& 170, 46 $4, 722. 03
78. 89
85. 00 7 12, 009. 78 278. 76 3, 000. 00
4, 886. 58
82, 883. 92
46. 55
1& 837. 38
15, 179. 30
11, 889. 22 117, 252. 26
7, 639. 55 827. 76
3, 438. 72 84, 603. 48 115, 052. 02
. 50
27, 496. 29
3, 548. 40
429. 21
12, 512. 78
8, 168. 58
6, 110, 893. 50 18, 399, 305. 00 28, 642, 487. 85
$4, 722. 03
3, 000. 00
115& 052. 02 . 50
23& 642& 487. 35
3, 168. 53
3. 33
$71, 020. 78
1, 027. 50
2, 789. 45
33, 826. 84
78. 89
785. 00 9, 288. 54
6, 549. 34
97, 513. 22
46. 55
15, 322. 94 86, 808. 72
7, 640. 05 827. 76
867, 711. 15
27, 717. 83
379. 87
425. 88
12, 512. 78
Total, Trust Funds
fnferest accounts (permanent): Interest on-
Apache, Kiowa, and Co- manche fund do
Apache, Kiowa, and Co- manche 4 per cent f n un nd do
Blackfeet Reservation 4 per cent fund do
Cherokee school fund do Cheyennes and Arapa-
hoes in Oklahoma fund do
Cheyennes and Arapa- hoes in Oklahoma 3 per cent fund do
Cheyenne River Reser- vation 3 per cent fund„do
24, 849, 428. 92
5, 521. 92
1, 202. 45
384. 53 1, 564. 46
4, 540. 04
5, 875. 01
3, 856. 78
31, 457, 304. 86
4. 56
4, 326. 92
260. 60 2. 52
4, 088. 17
1, 686. 42
33, 983. 73
3, 548. 30
202. 75 1, 565. 72
8, 072. 10
8. 07
33, 185. 25
25, 267, 354. 56
8, 548. 80
202. 75 1, 565. 72
8, 072. 10
3. 07
33, 185. 25
30, 589, 379. 22
5, 526. 48
1, 981. 07
442. 38 1. 26
506. 11
7, 514. 50
4, 605. 26
108 RECEIPTS AND DISBURSEMENTS, 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in lfaffc»]
Appropriatione available in 1925
Appropriatione from the general fund year Balances July 1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
B&dances June 99, 1925
INDIAN AI&I&AIns~ontinucd
Interest accounts (perma- nent — Continued.
Interest ou — Continued. Cheyenne River Reser-
vation 3 per cent fund, act Jan. 28, 1913
Chippewa and Christian Indians fund No year
Chippewas in Minnesota fund do
Choctaw 3 per cent fund do Coeur d'Aleue 3 per cent
f und do Creek general fund do Crow fund do Crow consolidated 4 per
cent fund do Crow Creek 4 per cent
f und do Devils Lake Sioux 3 per
cent minors' fund do Fort Belknap Reserva-
tion 4 per cent fund do Fort Berthold Reserva-
tion 3 per cent fund do Fort Hall Irrigation 4
per cent fund do Fort Hall Reservation 4
per cent fund do Fort Peck Reservation 4
per cent fund do Grande Ronde minors'
f und do Iowa fund do Iowa minors' fund do Ka n s as consolidated
f und do Kaskaskia, Peoria, Wea,
and Piankeshaw fund do Kickapoo general fund do Kickapoo minors' fund do Kickapoos in Oklahoma
fund do Kiowa Agency hospital
4 per cent fund do Klamath fund do L'Anse and Vieux de
Sert Chippewa fund do Menominee fund do Menominee 4 per cent
f und do Menominee log fund do Nez Perces of Idaho
fund do Omaha fund do Omaha minors' fund do Osage fund do Otoe and Missouri
fund do Otoe and Missouri
minors' fund do Pine Ridge Reservation
3 per cent fund do Ponca fund do Pottawatomie educa-
tional fund do Pottawatomie general
fund do Pottaivatomiemills fund do Pottawatomies of Kan-
sas and 9'isconsin, act Apr. 4, 1910 do
$3, 988. 54
1, 026. 80
137, 048. 08 1. 03
4, 122. 09 7, 598. 76
36. 59
14, 337. 95
3, 871. 40
36. 99
151. 56
509. 57
1& 378. 51
489. 46 680. 66
4, 405. 36
1, 409. 40
434. 56 622. 05
8, 413. 05
$1, 619. 64
253, 419. 96
2, 007. 62 1, 086. 04
3, 559. 77
217. 44
6. 28
576. 44
230. 14
4, 537. 97
203. 02 33. 39
266. 92
153. 86
591. 86 451. 11
$284, 069. 05
2, 655. 28 8, 681. 45
1, 939. 43
709. 73
2, 800. 00
608. 26 $/j9. 69
1, 780. 75
712. 24 3, 504. 21
$284, 069. 05
2, 655. 28 8, 681. 45
1, 939. 43
709. 73
2, 800. 00
608. 26 $/j9. 69
1, 780. 75
712. 24 3, 504. 21
2, 232. 87
3, 996. 29 1, 855. 41
487. 24 983. 59
78& 942. 07 24, S77. 38
9, 035. 69 930. gg 443. 71
62, 377. 54
90. 50
396. 22 288. 25
17. 92 3 125. 42
46, 916. 13 71, 574. 14
109. 66 26, 21 12. 17
169, 765. 21
3, 721. 81 230. 03
3, 721. 81 230. 03
3, 045. 54
4, 986. 29 94, 598. 40
3, 045. 54
4, 986. 29 94, 598. 40
935. 49 6. 00 6. 00
102. 09
21, 984. 27 553. 51
2, 060. 86
77. 96 6, 723. 85
5, 602. 38
1, 469. 69
1, 690. 58 331. 26
1, 280. 15 1, 280. 15
1, 527. &gi 1, 527. 89 234. 1&i 234. 18
83. 74
10. 73 10. 73 0. 04' 50. 04 5
126& 823. 74 126, 823. 74
$5, 60&, 18
1, 026. 80
106, 39&. 9g 1. 03
3& 474. 43 3. 35
36. 59
17, 897. 72
2, 149. 41
36. 99
167. &4
376. 2&
230. 14
1, 378. 51
1, 737, 97
84. 22 1, 163. 74 2, 891. 53
102. Og
27, 586. 66 ss3. s1
2, 2SO. 40
24O. 66
6 &20. 93
1, 563, 26
434. 66 501. 67
6, 3M, 'I
2, 323 37
670. 70 1, 913. 63
SOS, 16 1, 063. 47
120, 871. 91 1, 563. 12
9, 145. 36 946. 47 406. &4
106, 319. 01
g40. 49
RECEIPTS AND DISBURSEMENTS, 1925
Dt'sbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in italics]
109
Appropriations available in 1925
Approprhtions from the general fund Fiscal Balances July
1, 1924 Appropriations
Disbursements b s y year
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
INDIAN AFFAIRS — continued
Interest accounts (perma- nent) — Continued.
Interest on — Continued. Pottawatomie minors'
fund No year. Puyallup 4 per cent
school fund do Quapaw 3 per cent mi-
nors' fund do Red Lake Chippewas 8
per cent minors' fund do Red Lake Forest 4 per
cent fund do Rosebud Reservation 8
per cent fund, act May 30, 1910 do
Rosebud Reservation 3 per cent fund, act Mar. 2, 1907 do
Rosebud Sioux 8 per- cent minors' fund do
Round Va]]ey general f und do
Sac and Fox of the Mis- sissippi fund do
Sac and Fox of the Mis- sissippi in Iowa fund, act Mar. 3, 1909 do
Sac and Fox of the Mis- sissippi in Iowa fund, acts Mar. 3, 1909, and Apr. 4, 1910 do
Sac and Fox of the Mis- sissippi in Iowa fund do
Sac and Fox of the Mis- sissippi in Oklahoma fund do
Sac and Fox of the Mis- sissippi in Oklahoma fund, acts Mar. , 3, 1909, and Apr. 4, 1910 do
Sac and Fox of the Mis- souri fund do
Sac and Fox of the Mis- souri minors' fund do
Santee Sioux fund do Seminole general fund do Seminole school fund do Seminoles in Oklahoma
f und do Seneca fund do Senecas of New York
fund do Seneca fund (Tonawan-
da Band) do Seneca and Shawnee
f und do Shawnee fund do Eastern Shawnee fund do Shoshone and Bannock
fund do Si]etz general fund do Sioux fund—
Cheyenne River do Crow Creek do Flandreau do Flandreau minors' do Lower Bru]6 do Pine Ridge do Ponca do
$14, 386. 23
19, 160. 69
29. 68
653. 06
5, 452. 81
1, 519. 77
9, 343. 13
12, 906. 79
3, 683. 06
517. 80
417. 08
186. 36
103. 59
1, 064, 80
6, 006. 45
410. 27
2, 763. 87 810. 19 104, 11
6, 471. 03
92. 46 957. 77
1, 047. 10
4, 451. 83
2, 250. 56 8. 09
519. 45
2, 057. 96 825. 10
8, 807. 61 1, 684. 46
157. 11 317. 16
4, 241. 04 18, 917. 11
2& 507. 05
$925. 48
2, 748. 94
1. 94
29. 72
8, 486. 69
1, 626. 47
918. 30
1, 233. 58
9, 829. 01
19. 29
3, 323. 10
263. 42
6, 814. 89
62. 27
1, 390. 24
78. 26
144. 30
5, 272. 21 2& 597 44
8. 66 lb. 94
622. 86 16, 050. 46
22. 90
$3, 804. 41
7, 842. 29
2, 960. 51
154. 84
2, 611. 80
2, 164. 16
9, 869. 23
731. 46
1, 939. 07
601. 14
7, 324. 51
159. 44
1, 279. 41
2, 406. 97 8, 450. 77
808. 0$ 310. 88
2, 815. 50 28, 694. 11
$3, 804. 41
7, 842. 29
2, 960. 51
154. 84
2, 611. 80
2, 164. 16
9, 869. 23
731. 46
1, 989. 07
601. 14
7, 324. 51
159. 44
1& 279. 41
2, 406. 97 3, 450. 77
808. 0$ 810. 88
2, 815. 50 28, 694. 11
$11, 457. 25
21, 909. 63
31. 62
682. 78
1, 097. 21
185. 73
9, 188. 29
11, 213. 29
2, 752. 48
517. 80
417. 08
146. 14
103. 59
352. 63
7, 390. 48
410. 27
2, 426. 15 310. 19 104. 11
5, 960. 91
92. 46 957. 77
949. 98
4, 562. 16
2, 828. 82 8. 09
519. 45
2, 202. 26 825. 10
11, 672. 85 781. 18 467. 81
22. 22 2, 047. 90 6, 273. 46 2, 529. 95
RECEIPTS AN'D DISBURSEMENTSx 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in ital&cs]
Appropriations available in 1925
Appropriations from the general fund year Balances July 1, 1924 Appropriations
Disbursements by years
Total disburse- rnents in 1925
Amount carried to surplus fund
Balances June 39& 1925
INDIAN AFFAIRS — continued
Total, Interest Ac- counts
Support of Indian Schools: Indian schools: Support 1925
1924 1923 1922 1921 1920
Certified claims.
Interest accounts (perma- nent) — Continued.
Interest on — Continued. Sioux fund — Contd.
Ponca minors' No year. Rosebud do Santee do Santee minors' do Standing Rock do Tongue River do
Sisseton and Wahpe- ton fund do
Sisseton and Wahpe- ton minors' fund do
Standing Rock Res- ervation 3 per cent fund do
Standing Rock Res- ervation 8 per cent fund, sct Feb. 14, 1918 do
Stockbridge consoli- dated fund do
Tonkawa fund do Tonkawa minors' fund do Uintah and White
River Ute fund do Umatilla general f und do Umatilla school fund do Ute 4 per cent fund do Utes, Conf ederated
Bands of, 4 per cent fund, Southern Ute do
Utes, Confederated Bands of, 4 per cent fund, Ute Mountain U te do
Utes, Conf ederated Bands of, 4 per cent fund, Uintah, etc do
Ute 5 per cent fund, Ute Mountain Ute do
Ute 5 per cent fund, Southern Ute do
Ute 5 per cent fund, Uintah, etc do
Winnebago fund, Ne- braska do
Winnebago fund, Wis- consin do
Yankton Sioux fund do
$216. 86 24, 294. 53 11, 003. 81
804. 86 80, 292. 69
442. 85
110. 88
1, 867. 54
10, 811. 04
2& 548. 75
19, 086. 55 2, 256. 06 8, 182. 88 6, 615. 65
21, 979. 01
14, 297. 62
15, 370. 43
13, 553. 93
5, 635. 03
7, 546. 10
9, 600. 87
3, 525. 98 3, 875. 55
773, 048. 23
26, 423. 96 60, 236. 94
$5. 72 17, 716. 23
49. 14 6. 14
9, 477. 46
228. 41
51. 91
3, 018. 07
2, 294. 57
924, 96 4, 089, 52
462. 00
5& 889. 91
12, 525. 06
3, 907. 48
5, 697. 28
4, 070. 80
11, 581. 89
659. 19
554. 73 4. 48
754, 679. 89
's 2, 843, 226, 87
185. 72
3& 242. 96
$10, 115. 90&
45. 70
88, 161. 54 968. $9
205. 00
523. 82
7, 502. 92
$10, 115. 90 45. 70
38, 161. 54 M'8. /f9
205. 00
523. 82
7, 502. 92,
3, 440. 46 8, 440. 46
21, 755. 47
17& 114. 97
3& 552. 64
2, 945. 41
14, 125. 85
554. 31
752. 08 67. 06
21, 755. 47
17, 114. 97
3, 552 64
2, 945. 41
14& 125. 85,
554. 31
752 67
08' 06'
796, 104. 04
2, 234, 60, 28&
1,
915. 18 076. 10 883. 05, 808. 89
1f. 0, 5 16. 85
242. 96 3
5, 351. 96 5, 851. 96 1, 965. 91 1, 965. 91
$31, 853. 8'9
1, 803. 59 139. 77
15. 85
$222. 58 31, 894. 86 11, 006. 75
810. 50 1, 608 61 1, 400. 84
133. 79
895. 63
5, 826. 19
4, 843, 32
1. 53 15. 84 6. 65
20& 011. 51 943. 62
1, 678. 92 B, 615. 65
23, 928. 46
5, 067. 21
2, 162. 94
15, B98. 57
6, 759. 92
4, 951, 64
9, 705. 75
3, 828. 63 8, 312. 97
&& &, &&&S. I!8
108, 311 74 86, 500. 06
Additional support, In- dian schools, California 1923
Indian school improve- ments No year.
4, 883. 61
(24) (24)
2, 204, 641. 55
4, 383. 61
» Exclusive of 250, 196u3 transferred ss follows: Stationery, Department of the interior, 1925, Civil service retirement and disability fund, p. 292
Balance of 2993. 26 and appropriation of 3525. 52 transferred to "lnd ian school improvements, sct Apr. 21, 1994, " special fund.
232, 599 99 12 59523 &I &
RECEIPTS AIifD MSBUESEMENTSr 1925
Disbursements, balances, etc. — Continued
iRepayments to appropriations in excess of disbursements sre printed in ffalics]
Appropriations from the general fund !
Fiscal year Balances July
1, 1924 Appropriations
Appropriations available in 1925
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
INDJAN AFFAIRs — continued
Support of Indian Schools — Con. Indian school buildings Indian school and agency
buildings
1925
1924 1923 1922 1920
$8, 435. 35 42, 983. 58
r $230, 740. 00 $218, 209. 00
4, 087. 85 349. 23 588. 78
8. 00
$218, 209. 00
1» 819. 40
$42, 634. 35 528. 78
2. 00
$12& 531. 00
12, 473 20
Indian school transporta- ion t' 1925
1924 1923
Certined claims.
Indian boarding schools 1925 — 26 1925
1924-25
4, 555. 38 9, 674. 89
31, 000. 00
90, 000. 00
81. 71
177& 300. 00 7
2& 891, 123. 30
82, 510. 23 &
885. 48 , 513. 37
81. 71
30, 000. 00 2, 819, 190. 57
29, 816. 76
79, 839. 88
2, 879, 007. 33
8, 161. 52
7, 489. 77 8, 820 81
147, 300. 00 71, 932. 73
1, 183. 24
Indian schools— Albuquerque, N. Mex
Bismarck, N. Dak
Carson City, Nev
Cherokee, N. C
Cherokee Orphan Train- ing School, Five Civi- lized Tribes, Okla- h orna
Chilocco, Okla
Five Civilized Tribes
Flandreau, S. Dak
Fort Bidwell, Calif
Fort Mojave, Ariz
Fort Totten, N. Dak
Genoa, Nebr
Hayward, Wis
Lawrence, Kans
Mount Pleasant, Mich
1924 1923
1924 1923
1924 1923
1924 1923
1924 1923
1924 1923
1925 1924 1923
1924 1923
1924 1923
1924 1923 1922 1921
1924 1923
1924 1923
1924 1923
1924 1923
1924 1923
290. 69 896. 70
312. 89 242. 26
313. 40 5& 834. 41
2& 715. 65 3, 334. 15
2, 841. 31 708. 25
557. 15 192. 70
797. 35 604. 99
326. 63 2, 189. 76
203. 82 8?8. 25
2, 067. 50 1, 685. 21
2, 045. 82 1, 228. 64
269. 77 847. 15
283. 59 4, 090. 95
1, 490. 39 1, 264. 82
307. 19 2, 377. 79
153, 240. 00
158. 11
58. 77
235. 83
23. 31 7. 1r0
8, 878. 18
137. 04 . 50
153, 240. 00 1, 888. 07
175. 87
887. 09
288. 46 1& 240. 35
488. 88 1. 10
981. 11 67. 80
887&. $1 I
1, 886. 88 53. 84
573. 04 14, 89
$1. 88 188. 65
158. 11
58. 77
235. 83
15. 91
8, 878. 18
136. 54
151, 857. 93
175'. 87
887. 09
1, 094. 33
858. 81
88/ 1j. 1
1, 688. 54
558. 65
147. 43
896. 70
242. 26
5, 834. 41
3, 341. 55
708. 25
193. 20
604. 99
2, 189. 76
878, 25
444. 86 433. 38
1. 10
1, 160. 84
847. 15
4, 037. 11
1, 279. 21
2, 189. 14
132 58
365. 66
77. 57
2, 692. 34
5& 719. 49
420. 11
2, 179. 42
501. 90
530. 91
1, 779. 04
2, 966. 93
554. 18
1, 969. 97
917. 35
348. 41
' Exclusive of amount transferred to "Civil service retirement snd disability fund, " p. 2 92
112 EEQEIPTS AND DISBUESEMENTSr 1925
Disbursements& balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in ffatfcs]
Appropriations available in 1925
Appropriations from the general fund year Balances July 1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances J1me 30, 1925
Pierre, S. Dak
Pipestone, Minn
Rapid City, S. Dak
1924 1928
1924 1928 1922
1924 1928 1922
INDIAN APPAIRs — continued
Support of Indian Schools — Con. Indian schools — Con.
Phoenix, Ariz 1924 1923
$3, 650. 98 6, 797. 92
3, 677. 95 3, 979. 98
499. 14 1, 116. 34
1, 485. 79 3, 383. 13
$1) ol&lr. 98 286. 00
941. 87 859. 80
708. 48 82. 71 $. 81
9& lj. 88. 59 8, l&8
8. 88
tt1, 888. 98
582. 07
898. 08
$6, 511. 92
4, 339. 78
1& 033. 63 4. 31
3, 391. 56 2. 38
$5, 195. 96
2, 736. 08
1, 205. 62
3, 969. 38
Riverside, Calif
Salem, Oreg
Santa Fe, ¹ Mex
Shoshone Reservation, W yo
Theodore Roosevelt, Fort Apache, Ariz
Tomah, Wis
1924 1923
1924 1923
1924 1923
1924
1923-24 1924 1923
3, 548. 90 4& 882. 12
1, 410. 69 7. 49
303. 26 76. 08
501. 90
294. 44 323. 84 506. 88
1, 880. 88 45. 75
596. 25 1G. 88
1, 188. 89
888. 79 157. 75
9& lp91&. 1&0
1, 884. 77
581. 02
1/&7. 88
1& 158. 89
888. 79
4, 836. 37
22. 72
76. 03
506. 88 157. 78
4, 879. 42
814. 44
450. 58
1, 660. 29
963. 23 481. 59
Truxton Canyon, Ariz
Wahpeton, N. Dsk Indian school buildings,
etc. — Albuquerque, N. Mex. ,
repairs and improve- ments
1924 1923
1924
1924 1928
15, 104, 04 2, 851. 62
503. 30
21. 00
818. 00
818. 00 lf. 4. 05
2, 851. 62
21. 00
15, 922, 04
547. 35
Bismarck, N. Dak, , re- pairs snd improve- ments 1924
1928
Bismarck, N. Dak. , din- ing room and kitchen No year.
Bismarck, N. Dak. , em- ployeesl quarters do
200. 00 8. 67
8, 494. 15 3, 560. 48
16. 01&
55. 89'
3, 560. 48
18, 01&
K 67
16. 04
255. 89
4, 983. 67
Carson City, Nev. , re- pairs snd improve- ments
Carson City, Nev. , heating plant
Carson City, Nev, , re- building dairy snd horse barns
Cherokee, N. C. , re- pairs and improve- ments
1924 1923
1924
1924-25
1924 1923
125. 00 505. 41
300. 00
75. 00 482. 70
$7, 500. 00
18. 78
65. 58
6, 500. 00
998. 7/
18. 78
65. 58
6, 500. 00
988. 77
505. 41
482. 70
106. 22
. 234 42
1, 000. 00
1, 003. 77
RECEIPTS AED DISBURSEMENTSr 1925
Disbursements, balances, efc. — Continued
[Repayments to appropriations ln excess of disbursements are printed in italics]
Appropriations available in 1925
A propriations from the general fund P Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
INDIAN AyyAIRS — continued
Support of Indian Schools— Continued.
Indian school buildings, etc. — Continued.
Cherokee Orphan Training School, Five Civilized Tribes, Oklahoma, repairs and improvements 1924
1923 $300. 00
3, 336. 85 3868. 80
$868. 80 $3, 335. 85
$1, 153. 60
Cherokee Orphan Train- ing School, Five Civi- lized Tribes, Okla- homa, dining hall and equipment
Chilocco, Okla. , repairs and improvements
No year.
1924 1923
3, 988. 95
200. 00 98. 40
379. 53 379. 53
98. 40
3, 609. 42
204. 61
Chilocco, Okla. , rebuild- ing and reequipping horse barn
Flandreau, S. Dak. , re- pairs and improve- ments
1924-25
1924 1923
12, 000. 00
550. 00 126. 48
11, 960. 00
7, 86
11, 960. 00
7. 86 126. 48
40. 00
542. 14
Fort Bidwell, Calif. , re- pairs and improve- ments 1924
1923
Fort Mojave, Ariz. , repairs and improve- ments 1924
1923
200. 00 28. 04
100. 00 200. 03
189. 89
40. 25 70. 88
189. 89
80. 68
28. 04
270. 86
329. 29
69. 76
Fort Mojave, Ariz. , ir- rigation equipment
Fort Mojave, Ariz. , water supply
1924
1923
50. 00
4, 505. 05 4, 500. 00 4, 500. 00 5. 05
50. 15
Hayward, Wis. , repairs and improvements
Lawrence, Kans. , re- pairs and improve- ments
1924 1923
1924 1923
Lawrence, Kans. , drain- age No year.
1924
Lawrence, Kans. , heat- ing and power plant 1922-23
Lawrence, Kans. , heat- ing, power plant, etc 1924
Fort Totten, N. Dak. , repairs and improve- ments 1924
1923
Fort Totten, N. Dak. , gymnasium No year.
Genoa, Nebr. , repairs and improvements 1924
1923
251. 00 60. 67
1, 953. 39
187. 30 2, 722. 43
200. 00 314. 53
500. 00 1, 266. 37
250. 00 100. 00
1, 264. 18
800. 00
1, 953. 39
87. 28
50. 50
88. 66 13. 79
11. 88
6. 81'
1, 953. 39
87. 28'
50. 50
18. 78
11. 88
60. 67
2 722 431
314. 53
1, 252. 58
250. 00'
1 264. 18 1
256. 90
100. 02
149. 50
632. 55
111. 83
806. 21
114 RECEIPTS AND DISBVRSEMENTSI 1925
Disbttrsemcnts, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in ffsffcsi
Appropriations from the general fund year Balanoes July 1, 1924 Appropriations
Appropriations available in 1925
Disburseinents by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 50, 1925
INDIAN AFFAIRS — continued
Support of InChan Schools— Continued.
Indian school builriings, etc. — Continued.
Mount Pleasant, Mich. , repairs and improve- ments
Phoenix, Ariz. , build- 1 'ngs
Phoenix. , Ariz. , repairs and improvements
Pierre, S. Dsk. , repairs snd improvements
Pierre, S. Dak. , proceeds of school farm
Pipestone, Minn. , re- pairs and improve- ments
Pipestone, Minn. , do- mestic science cot- tage
Rapid City, S. Dsk. , re- pairs snd improve- ments
1924 1928
No year.
1924 1923
1924 1928 ~
No year.
1924 1923
No year.
1924 1923
$500. 00 632. 81 . .
1, 077. 98 233. 15
531. 48 100. 55
542. 75
287. 30 29. 14
5, 000. 00
200. 00 524. 61
814. 81
888. 60
530. 93'
82. 19 1. 80
806. 88
tt14. 81
886. 60
580. 93
30. 99
$682. 81
50. 54
233. 15
100. 55
30. 34
5, 000. 00
524. 61
$514. 81
1, 377. 58
. 55
542. 75
255. 11
1, 106. 28
Salem, Oreg. , repairs snd improvements
Salem, Oreg. , boys' dor- mitory
Sante Fe, N. Mex. , re- pairs snd improve- ments
1924
1923
1924 1923
Santa Fe, N. Slex, as- sembly hall snd gym- nasium No year.
Santa Fe, N. Xlex. , land 1928
Sante Fe, N. Mex. , water supply 1924
Shoshone Reservation, Wyo. , repairs and im- proveinents 1924
1923
Sioux Reservation, X. Dsk. , snd S. Dal-. ,
Rapid City, S. Dak. , re- building and refur- nishing boys' dormi- tory 1923
Rapid City, S. Dak. , school building s, nd assembly hall
Certified claims. Riverside, Calif. , repairs
snd improvements 1924 1928
10, 575. 76
100. 00 50. 95
200. 00
. 99
250. 00 24. 42
25, 000. 00
193. 30
162. 71
50. 25 2. 14
10, 671. 96
$1. 20
49. 58
1. 20
5'8. 51
3, 000. 00
741. 88
41. 70
906. 88'
49. 53
1. 20
58. 51
3, 000. 00
741. 88
41. 70
10, 526. 23
50. 95
9 . 9
24. 42
193. 30
2. 14
152. 51
230. 45
807. 93
22, OOO. OO
904 54
gl. 95
10 g19. 28
RECEIPTS AND DISBUESEMENTSr 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations ln excess of disbursements are printed in italics)
Appropriations available in 1925
Appropriations from the general fund I'iscsl
Balances July 1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
INDIAN AFFAIRs — continued
Support of Indian Schools— Continued.
Indian school buildings, etc. — Continued. Theodore Roosevelt In-
dian School, Fort Apache, Ariz. , repairs and improvements 1923 — 24
Theodore Roosevelt In- dian School, Fort Apache, Ariz. , equip- ment 1923 — 24
Tomah, Wis. , repairs snd improvements 1924
1923
$893. 89
1, 379. 00
156. 45 61. 46
$18. 0$
43
66. 89
$18. Oc
43
$61. 46
$906. 93
1, 379, 43
222. 74
Tomsh, Wis. , rebuilding and refurnishing school building No year.
Truxton Canyon, Ariz. , repairs and improve- ments 1923 — 24
1923
Wshpeton, N. Dsk. , school building No year.
Wahpeton, N. Dak. , re- pairs snd improve- ments 1924
1922-23
7, 409. 57
800. 00 514. 13
2I 990. 14
200. 00 45. 95
2, 857. 29
2, 968. 47
1. 65 1. 88
2, 857. 29
868. 68
2, 968. 47
514. 13
21. 67
47. 27
4, 552. 28
1, 063. 68
198. 35
Wshpeton, N. Dak. , as- sembly hall No year.
Wshpeton, N. Dsk. , dairy herd 1924 — 25
Permanent and indefi- nite—
Special funds— Indian school im-
provements, sct Apr. 21, 1904 No year.
Csrlisle, Pa. , Brad- ford R. Wood be- quest do
11 584. 02
ts 993. 76
1, 000. 00
$3, 500. 00
's 1, 475. 52
1, 573. 19
3, 500. 00
716. 46
1, 573. 19
3, 500. 00
716. 46
10. 83
1, 752. 82
1, 000. 00
Total, Support of Indian schools 404, 533. 35~ 5, 901, 567. 28 5, 557, 445. 58 167, 170. 50 581, 484. 55
Miscellaneous expenses of Indian Seroice:
Administration of affairs of Five Civilized Tribes, Oklahoma
Certified
Advertising sale of Indian lands (reimbursable)
Allotments to nonremovsl Mille Lac Indians, Minn
Allotments to nonremovsl Mille Lsc Indians, Minn. (transfer to Gen- eral Land Office, act May 21, 1920)
1925 1924 1923
claims.
1925 1924 1923
1924
1924
2, 886. 18 1, 275. 97
803. 94 3, 777. 26
2, 709. 43
3' 186, 828. 50
2. 52
2, 000. 00
180, 932. 40 9, 11/8. 88
18. 71 2. 52
1, 036. 36 21. 43 l&8. b'0
999. 78
9/j. 88
171, 505. 41
1, 014. 29
999. 78
911. 88
1, 257. 26
3, 820. 76
5, 896. 10 12, 334. 40
963. 64 782. 51
3, 709. 15
94. 82 » Transferred from "Indian school improvements. " » Includes 2676. 62 transferred from "Indian school improvements. " u Exclusive of 23, 485. 50 transferred ss follows:
Stationery Department of the Interior, 1925 Civil Service retirement and disability fund, p. 292
61, 000. 00 2, 485. 50
116 BE~ LED DISBURSILMILXTSr 1925
Disbttrsemtertfs, balances, cfc. — Continued
[Beparments to appropriations in erocss of disbursements are printed in ifeficsl
appropriations available in 1925
Fiscal appropriations from tba general fund Balances July
1, Izo4
Disbursemeuts bp years
Total disburse- ments ia 1%5
amount cerned I Bahnces June to sarplus faad zft Iffss
INDIAN EFFZIRs~ontlnued
j4'iscellaneoas es pensee of Indian Service — Con.
Asylum for insane Indians, Canton, S. Dak
1925 1924 1923
1925 1924 1923
Bridges across Rio Grande within Cochiti and San Juan Pueblo Indian Grants, N. M ex. (re- imbursable 1925
Bridge across Santa Clara River, Shivwitz Reser- vation, Utah (reim- bursable) Certified claims.
Canals and lstersls, ceded portion of Wind River Reservation, Wyo. (re- imbursable)
$2, 638. 4 5 430. 95
8, 338. 57 2, 381. 5=
82, 200. 00 2, 536. r2 2, 536. 72
637. 97 637. 97 637. 9(
36, 50K 00 35, 330. 60 1) 787. 88
r $48, 13S. 50 $36& 899. 46, 7/0. 88
6. $8 $36, 152. SO
$11, 239t 04 3, 378. 70
85, 437. 41
79, 663. 28
1, 169. 40 10, 125. 91
Coolidge Dam across can- -on of Gila River near
n Carlos, Ariz. (re- imbursable) 1925 — 26
Counsel for Pueblo In- dians of New Mexico 1925
19'24 1923
Court costs, etc. , in suits of Indian sllottees, Five Civilized Tribes No year
Determining heirs of de- ceased Indian allottees 1925
1924 1923
Certified claims.
75 381. 04
500. OC
12, 717. 81 17& 729. 5
450, 000. 00
3, 500. 00
r 87, 748. 50
9. 00
74, 000. 00
3& 357. 20 188. 08
78, 162. 0( 8, 808. +
. M 9. 00
33
74)
3,
543. 22
ooo. oo!
381. 04 1 5. 17,
17, 730. 56
376& 00(L 00
142. 80 257. 82
9, 586. 43 15, 621. 25
Diversion dam, Gila River Reservation, Ariz. (re- imbursable) No rear.
1924-25 1923
Diversion dsm, Gila River above Florence, Ariz. (rehnburssble) Xo year.
Diversion dsm snd distri- bution snd drainage system, Yskima Reser- vation, Wash. (reim- bursable) do
1925 1924 1923
Certified claims.
5, 379. 41 200, 000. OC
176. 3(
7, 469. 47
9, 894. 59 16, 463. 80
6, 070. 00
20. 37 11, 600. 00
7. 30
8, 8(o. 66 191, 214. 57
3. 75
1& 00+ $1
20. 37 . 9, 768. 50 1, 080. 88
. 78 7. 30
75& 266. 64'
1SS, 342. 66
1, 00/ $1
172. 62
16, 464. 52
8, 255. 07 14, 855. 43
8, 473 88
1 831. 50 10 975. 42
Drainage assessments, Psiute allotted lands, Newlsnds project, Ner. (reimbursable)
Drainage, Islets Pueblo Indian lands, Rio Grande Valley, N. Mex. (reimbursable)
Exclusive of amoant transferred
2, 100. 00 1925
1925 ,
' 25, 000. 00 to "Civil service retirement and dhabrlity fund, " p mfZ.
2, 100. 00
23, 976. 06
8, 714. 62
2, 100. 00
23, 976. 06,
EECEIPTS AND DISBUBSEMENTSJ 1925
Disbur eemente, balances, etc. — Continued
fRepayments to appropriations in excess of disbursements are printed in ffeffcr]
Appropriations available in 1925
Appropriations from the general fund Fiscal Balances July
I, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 50, 1925
INDIAN AI&I&AIB~ontinued
Miscellaneous expenses of Indian Service — Con.
Drainage, Pueblo Indian lands, Rio Grande Val- ley, N. M ex.
(reimb-
ursablee) 1924 1923
Education of Choctaws in Mississippi 1925
1924 1923
Certified claims.
Education Sioux Nation, South Dakota No year.
1925 1924 1923 1920
Enrollment, allotment, etc. , Fort Belknap Res- ervation, Mont. (reim- bursable) No year.
Enrollment snd allotment, Lsc du Flambeau Band of Chippewas, Wis do
Equalizing allotments, Chickasaw Freedmen, Five Civilized Tribes do
Ganado Irrigation project, Navajo Reservation, Ariz. (reimbursable) do
Improvement, mainte- nance, and operation, irrigation systems, Crow Reservation, Mont. (re- imbursable) 1925
1923-24
$1. 06 4, 000. 00
765. 27 240. 71
2, 124. 96
10, 121. 88 11, 451. 25
13, 004. 45
5, 000. 00
1, 626. 74
5, 645. 39
I $22, 028. 00
700. 00 45. 64
I 306, 658. 50
155, 340. 00
4'8$. 78
21, 301. 52 1& 558. $1
700. 00 45. 64
39, 67 247, 020. 36
8', 70' 1, 0 49. 88 1. 81
868. 78
1, 750. 20
79. 02
18. 67
84 , 022. 02 3& 008. 41
|f8@ 78
20, 488. 75
243, 404. 20
868. 78
1, 750. 20
79, 02
18. 67
$4, 000. 00~
240. 71
ll, 401. 37 l. 31
10, 000. 00
12. 67
$35. 84
726. 48 2, 323. 68
2, 085. 29 59, 638. 14 13, 826. 28
3, 873. 18
3, 249. 80
1, 547. 72
71, 317. 98 2, 636. 98
Improvement, mainte- nance, and operation, Fort Hall irrigation system, Idaho
Improvement, mainte- nance and operation, Fort Hall irrigation system, Idaho (reim- bursable)
Improvement, mainte- nance, and operation, Hogback irrigation pro- ject, Navajo Reserva- tion, N. M ex. (reim- bursable)
Improvement, mainte- nance, and operation, i r r i g s t i o n system, Moaps River Reserva- tion, Nev. (reimbursa- ble
1924 1923
1925
1925 1924 1923
1923
2, 902. 18 1, 063. 30
300. 00 1, 300. 57
29. 76
52, 380. 00
8, 680. 00
1, 770. 62 150. 50
48, 699. 60
8, 350. 00 1, 057. 6/p
87, 030. 43
1, 620. 12
48, 699. 60
7, 292. 36'
1, 213. 80
1, 300. 57
29. . 7 6
1, 131. 56
3, 680. 40
330. 00 1, 357. 64
' Exclusive of amount transferred to "Civil service retirement and disability fund, " p. 292&
118 RECEIPTS AND I1ISBVRSEMENTSp 1925
Disbtfrsemenfs, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements sre printed in ffalfcr]
Appropriations available in 1925
Appropriations from the general fund year Balances July 1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried fo surplus fund
Balances June 30, 1925
INDIAN AFFAIRS — continued
j&Iiscellaneotfs expenses of Indian Service — Con.
Improvements, mainte- nance, and operation, irrigation system, Pyramid Lake Reserva- tion, Nev. (reimbursa- b le) 1925
1924 1923
$196. 57 380. 38
$4, 200. 00 $3, 517. 75 98. 98
7. 00 $3, 416. 77
$387. 38
$682. 26 29fl 65
Industry among Indians (reimbursable) No year.
Industry among Indians 1925 1924 1923
Certified claims.
10, 308. 03
4, 894. 55 19, 611. 29
150, 000. 00
1. 18
89, 888. 98 144, 952. 88
1& 01+ 'M
118. 52 1. 18
89& 888. 98 38, 641. 51
19, 492. 77
1, 053. 44 5, 047. 12 5, 909. 27
Industry among Choctaws in Mississippi 1925
1924 1923
Insect infestations, Indian Service 1925
1922 — Dec. 31, 1922
500. 00 246. 87
7 2, 647. 87
8, 000. 00
400. 00
3, 327. 61 17. 70
396. 22
144, 057. 86
246. 87 3, 345. 31
396. 22
4, 672. 39 482. 30
400. 00 2, 251. 66
IITigation, Colorado River Reservation, Ariz. (re- imbursable) 1925
1924 1923
Irrigation, Indian lands, Yuma reclamation pro- ject, California and Arizona (reimbursable) 1925
lf «igation, Indian reserva- tions (reimbursable) No year.
1925 1924 1923
Irrigation project, Gila River Reservation, Ariz. (reimbursable) No year.
1925 1924 1923
Irrigation project, Gila River above Florence, Ariz. (reimbursable) No year.
Irrigation project, Salt River Reservation, Ariz 1925
1924
Irrigation project, San Juan Pueblo, N, Mex 1925
1924
Irrigation systems, Black- feet Reservation, Mont. (reimbursable) No year.
1925 1923-24
1923
24, 968. 30 23, 070. 67
46, 372. 23
30, 801. 41 28, 353. 37
1, 745. 55
8, 212. 00 80. 17
2, 702. 78
3, 046. 59
13, 700. 00
419. 96
2, 494. 88I ' 70. 7)
20, 000. 00
60, 000. 00
219, 850. 00
252, 160. 00
' 3, 488. 00
15, 000. 00
24, 020. 00
' Exclusive of amount transferred to "Civil service retirement snd disability fund, " p. 292.
5, 117. 42 1, 8o8. 98
. 15
60, 000. 00
2, 028. 78 192, 336. 11 18, 618. 98
128. 62
21. 01 236, 364. 68
5, 919. 51
3, 400. 13 2, 414. 44
2, 000. 00 886'. 88
8, 088. 81 23, 679. 63
537. 86
3, 263. 34
60, 000. 00
180, 874. 5t&
242, 305. 20
5, 814. 57
1, 713. 12
22, 179. 18
23, 070. 82
28, 224, 75
80. 17
2, 458. 27
570. 47
14, 882. 58 26, 822. 23
44, 343. 46 27, 513. 89 44, 420. 34
1, 724. 54 15, 796. 32 2, 292. 49
2, 702, 78
87. 87 632. 16
13, 000. 00 13, 986. 88
340, 37 1, 957. 02
RECEIPTS AND DISBURSEMENTS, 1925
Disbursements, balances, etc. — Continued
l Repayments to appropriations in excess of disbursements sre printed in italics]
119
Appropriations available in 1925
tppropristfons from the general fund Fiscal Balances July
1, 1924 Ap propristions
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
INDIAN AFFAIRS — continued
Miscellaneous expenses of Indian Service — Con.
Irrigation systems Flat- head Reservation, Mont. (reimbursable) No year.
1925 1923-24 1922-23
Irrigation systems, Fort, P e c k Reservation, Mont. (reimbursable) No year.
Irrigation system, Fort Hall Reservation and ceded lands, Idaho 1925
1924 1922-23
Irrigation systems, Kla- m a t h Reservation, Oreg. (reimbursable) No year.
Irrigation system, Laguna, Pueblo, N. Mex. (reim- bursable) 1925
1924 1923
$1, 860. 70
3, 092. 68 1, 178. 63
28& 928. 31
7& 777. 58 134, 956. 65
2& 742. 37
300. 00 236. 89
$157, 760. 00
212, 080. 00
6, 000. 00
$1& 302. 92 156& 680. 99
2, 525. 13 6. 96
164, 799. 45 1, 806. 61
. 46
5& 697. 62 108. 88
$160, 502. 08
188. 96
163, 493. 40
5, 595. 40
$1, 185. 59
29, 062. 27
2& 742. 37
236. 89
$557. 78 1, 079. 01
567. 55
47, 280. 55 9, 084. 09
134, 956. 19
302. 38 402. 22
Irrigation system, Pima Indian lands, Arizona (reimbursable) No year.
1925 1924 1923
Irrigation systems, Uintah Reservation, Utah (re- imbursable) No year.
1925
1, 501. 79
200. 00 976. 49
8, 000. 00 888. 00
7, 454. 85 888. 11&
10. 00 6, 544. 71
966. 49
1, 833. 79 545. 15 788. 14
Irrigation system, Wind River diminished reser- vation, Wyo. (reimbur- sable) No year.
1925 1924
1923-24 1923
Judgments, Court of Claims, Indians No year
Judgments, Court, of Claims, Choctaw and Chickasaw Nations do
Judgments, Court of Claims, New York Indians do
Judgments Court of Claims, 6maha Indians do
Judgments, Court of Claims, Ottawa and Chippewa Indians of Michigan do
Judgment in favor of Pot- tawatomies of Michigan and Indiana do
Judgments, Court of Claims, Siss eton and Wahpeton Bands of Sioux Indians do
73270 — 26 — 9
378. 09
4, 067. 35
8, 003. 20 1, 159. 35 1, 578. 88
86. 08
634. 53
44. 90
2, 197. 37
435. 79
472. 20
50, 000. 00
166, 560. 00
4, 736. 53
73. 41 45& 134, 37
164, 708. 90 447. 46 849. 45
4, 736. 53
19. 44
45, 207. 78
304. 68
4, 031. 51
19. 44
1, 578. 88 166, 005. 81
4, 736. 53
4, 865. 63
35. 84 1, 851. 10 7, 555. 74
309. 90
86. 08
634. 53
44. 90
2, 177. 93
435. 79
472. 20
120 RECEIPTS AND DISBURSE3hKENTSI 1925
Disbursernenfs, balances, efc. — Continued
[Repayments to appropriation in excess of disbursements are printed in italics]
Appropriations available in 1999
Appropriations from the general fund Fiscal I Balances July
I, 1924 Appropriations
Disbursements Total disburse- ments in 1925
Amount csnied Bshners Jmn Sst Iggs
I%DIAN AFFAIIts~ontinued
1925 1924 1928
$6, 678. 60,
4, 000. 00'
Lands and water rights for Nsvsjoes, Arizona snd New Mexico
Maintenance snd opera- tion charges, allotted lands, Oksnogan County, Wash. (reim- bursable)
Maintenance and opera- tion, Ahtanum irriga- tion system, Yskima Reservation, Wash. (reimbursable)
Xo year. 8, 274. 78
1923 7, 887. 03
1925 ,
'
1924 i 143. 77
1923, 229. 60
Miscellaneous expenses of Indian Sen~Con.
Judgments in favor of Old Settlers or Western Cherokee Indians Xo year.
Lands and improvements for Choctaws in Missis- siPPI 84, 000. 00
1, 800. 00
8, 280. 00
2, 720. 00 5, 800. 00
8, 020. 00
95. 09 95. 08
2, 780. 25 590. 00
86, 67?. 60 $6, 677. 60
$7, 887. 03
229.
4, 000t 00 1, 280. 00
3, Ii9. 82
499. 75 663. 77
Maintenance snd opera- tion, irrigation systems, Fort Belknap Reserva- tion, Mont. (reimburs- able
Maintenance and opera- tion, irrigation systems, Fort Peck Reservation, Mont. (reimbursable)
Maintenance and opera- tion, irrigation system, Colorado River Reserva- tion Ariz. (reimburs- able)
Maintenance aud opera- tion Gsnado irrigation project, Navajo Reser- vation, Ariz. (reimburs- able)
1925 1924 521. 97 1928 i 554. 36
I
1925 1923 — 24
1923 16, 058. 37
4, 134. 99
1925 1924 1923
2, 157. 56 1, 728. 82
I
1925 '
1924 ' 200. 00 1928 215. 67
32, 150. 00
15, 000. 00
36, 840. 00
3, 800. 00
31, 619. 95 $1. 110
11, 510. 10 8, 188. 09
34, 971. 44 1, 109. 13
10
8, 600. 00 57
2, 260. 25
31, 578. 55
9, 321. 08
86, 080. 47
554. 36
4, 184. 99)
1, 728. 92
215. 67
530. 05 563. 37
3, 489. 90 18, 247. 39
1, 868. 56 1, 048. 43
20a 00 2(Xk 57
Maintenance snd opera- tion, irrigation svstem, Pima Indian lands, Ari- zona (reimbursable) 1~ 0 veaI'
1925 1924 1923
102. 50
997. 22 1, 230. 19
18, 200. 00 9, 567. 64 89+ 58
3, 599. 43
8, 673. 08
102. 50
1, 230. 19
8, 632. 36 1, 891. 78
RECEIPTS AND DISBURSEMENTSr 1925
Disbursements, balances, etc. — Continued
(Repayments to appropriations in excess of disbursements are printed in itaHcsl
121
Appropriations available in 1923
Appropriations from the general (und Fiscal year Balances July
1, 1924 A p pro pri at i one
Disbursements by years
Total disburse- ments in 1923
Amount carried to surplus fund
Balances June 30, 1923
INDIAN AFFAIRs~ontinued
jfiscellaneous er pensee of Indian Service — Con.
Maintenance and opera- tion, Toppenish-Simcoe irrigation system, Yaki- ma Reservation, Wash. (reimbursable)
Maintenance and opera- tion, water works, Papa- go Indian villages, Ari- zona
Maintenance and opera- tion, pumping plants, San Xavier Reservation, Ariz. (reimbursable)
1925 1924 1923
'1925 1924 1928
1925 1924 1923
$575. 54 2, 186. 70
1, 373. 12 6, 083. 03
483. 31 247. 59
$5& 240. 00
' 22, 805. 00
10, 240. 00
$3, 945. 50 1, 971. 79
22& 273. 93 9& 7188. 18
~. 85
10, 104 23 151. 26
. 10
$1, 973. 71
19, 836. 62
$2, 186. 70
6, 082. 18
247. 69
$1& 294. 50 2, 547. 33
31. 07 3, 811. 28
135. 77 332. 05
900. 42
11, OOO. 00~
2, 969. 42
244. 28
1, 023. 50
2, 793. 61
8, 587. 31)
1, 265. 20
170& 000. 00i
3, 653. 20, '
27& 527. 93
503 56
50 89
85' 50,
97'
45
7, 803 477
1, 439
ice retirement and disability fund, " p. 292.
Mod oc Point irrigation systems, Klamath Res- ervation, Oreg. (reim- bursable) No year.
Operation and mainte- nance of reservoirs, Yakima Reservation, Wash 1925
Payment to- Absentee Shawnees, for
lands No year. Cheyennes and Arapa-
hoes in Oklahoma do Chippewas of Lake Su-
perior and the Missis- si pi pp
Chippewas of Minne- sota, for damages do
Indians of Colville Res- ervation, Wash. , for lands do
Indians of Fort Berthold Reservation, N. Dak. , for land do
Indians at Fort Belknap Reservation, Mont. , for lands do
Indians of K 1 a m a t h Agency, Oreg do
Indians of K 1 a m a t h Agency, Oreg. , for lands conveyed to the California &k Oregon Land Co do
Indians of Round Valley Reservation, Calif. , for lands do
Kickapoos in Kansas do Loyal Creeks and freed-
meii do Nez Perces of Idaho do Pottawatomie Indians
of Michigan do Sac and Fox of the Mis-
sisipppi in Iowa do ' Exclusive of amount transferred to "Civil serv
11, 000. Ool
103. 00
197. 53
181. 20
1, 599. 88
5, 300. 00
989. 90
10, 255. 39
11, 000. 00
103. 00
197. 58
181. 20
1, 599. 88
5, 300. 00
989. 90
900. 42
74, 589. 70
2, 866. 42
244. 28
825. 97
2, 612. 41
10, 187. 19
1& 265. 20
90& 110. 30
8, 653. 20
28, 517. 83
503. 50 56. 89
7, 303. 35 477. 50
1, 439. 97
5. 45
122 RECEIPTS AND DISBURSEIKENTSr 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements sre printed in italics]
Appropriations available in 1925
Appropriations from the general fund year Balances July 1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
INDIAN AFFAIRs — continued
Miscellaneous expenses of Indian Service — C on.
Payment to — Continued. Santee Sioux, Flan-
dreau, S. Dak. (re- imbursable) No year.
Scouts and soldiers of Sisseton, Wahpeton, Medawakanton, and Wapakoota Sioux do
Sioux of Rosebud Res- ervation, for lands do
Stockbridge and Munsee Indians, Wisconsin do
Sundry Sioux Indians, for depredations, treaty Apr. 29, 1868 do
Tillamooks and other Indians of Oregon do
Uintah and White River Utes, for lands do
Western Miamis do Yak[ma Nation do
Probate attorneys, Five Civilized Tribes, Okla- homa 1925
1924 1923
Purchase of allotments for Wisconsin Band of Pot- tawatomies, Wisconsin and Michigan (reim- bursable) No year.
Purchase of implements, etc. , for Indians of Fort Belknap Reservation, Mont. (reimbursable) do
Purchase of implements, etc. , for Indians of Tongue River Reserva- tion, Mont. (reimbur- sable) do
Purchase of lands for landless Indians in Cali- fornia do
1925 1924 1923
Purchase of land for Nava- joes, New Mexico (re- imbursable) No year.
Purchase of seed, agricul- tural implements, etc. , for Indians of Black- feet Reservation, Mont 1923 — 24
Relief and settlement of Apache Indians held as prisoners of war at Fort Sill, Okla Xo year.
Relief of Choctaws in iv[ississippi 1924
1923
$566. 68'
2, 103. 91
271. 75
48, 823. 61
72. 00
3, 787. 69
488. 82 474. 28 976. 50
652. 93 3, 448. 83
4, 347. 23
2, 698. 72
8, 000. 00 100. 00
554. 85
146. 36
30& 118, 82
472. 11
7 $47, 247. 50
8, 000. 00
12. 83
$33. 25
433. 38
428. 97
43, 815. 58 1, 050. 58
87. 81
6& 550. 00
554. 85
8, 148. 81
28, 812. 59
34. 69 12. 83
$33. 25
433. 38
428. 97
42, 765. 02
87. 81
6, 550. 00
554. 85
8, 1/8. 81
28, 812. 59
$566. 68
3, 448. 83
27. 21
233. 84
100. 00
$2, 103. 91
238. 50
48, %0. 23
72. 00
3, 358. 72
488. 82 474. 28 976. 50
3& 431. 92 1I 703. 49
4, 347. 23
2, 698. 72 8, 000. 00 1, 450. 00
2, 294. 67
1, 306. 23
437. 42
85, 000. 00 ssbility fund, " p. 292.
Relief of dispossessed In- dian allottees, Nisqua[[y Reservation, IYash 1924 — 25
' Esclusive of amount transferred to "Civil service retirement snd di
78, 750. 00'
47. 52
78, 750. 00 6 250. 00
RECEIPTS AND DISBURSEMENTS, 1925
Disbursements, balances, efc. — Continued
[Repayments to appropriations in excess of disbursetnents are printed in italics]
123
Appropriations available in 1925
Appropriations from the general fund year Balances July 1, 1924 Appropriai. iona
D tsbursemcnts by years
Total dtsburse ments in 1925
Amount earned to surplus fund
Balances Junc 30, 1925
INDIAN AFFAIRs — continued I
Miscellaneous ezpenses of InChan Service — Con.
Relief of— C. LeRoy Brock No year. James E. Jenkins do Frances Kelly do Forrest J. Kramer do H. E. Kucs and V. J.
Koupal do James J. McAllister do Nelly McCsnna do Fred W. Stickney and
H. A. Reynolds do Ellen B. Walker do
Reimbursement to Walter Runke do
Rebuilding and reequip- ing dairy barn, Fort all Reservation, Idaho 1924 — 25
Relieving distress and pre- vention, etc. , of diseases among Indians 1925
1924 1923 1922 1920 1919
Certified claims.
$1, 000. 00
. 20
6, 038. 54 84, 607. 88
$600. 00 80. 55
104. 90
2, 960. 00 1, 000. 00
760. 68
197. 50 1, 560. 00
10, 000. 00
I 593, 244. 08
71. 00
$6oo. on 80. 5oi
1, 000. Ooi 104. 90'
21 960. 00 1, 000. 00
760. 68
10, 000. 00
561, 757. 77 8, 981. 81
94. O5 87. 88 o9. 50 89. 17 71. 00
$600 30
1, 000 l04
00~
00
2, 960 1, 000
760
00 00 iiS,
10, 000. 00
552, 875. 12, '
$34, 513. 83' 87. 82, 59. 50 29. 17i
$197. 50 1, 560. 00
. 20
81, 486. 31 14, 959. 75
Reclamation and main- tenance charges, Paiute allotted lands, New- lands project, Nev. (re- imbursable)
Repairs to irrigation sys- tems and flood protec- tion of irrigable lands, Pueblos in New Mexico
Roads and bridges, Mes- calero Reservation, N. Mex. (reimbursable)
1925
1925
1925 1924 1923
1, 197. 20 101. 13
6, 000. 00
10, 000. 00
12& 000. 00
6, 000. 00
S, 992. 47;
11& 862. 78, 85. 87
6, 000. 00,
8, 992. 47,
11, 836. 91 101. 13
1, 007. 53
687. 22 17 228. 07
Roads and bridges, Sho- shone R e s e r v a t i o n, Wyo. (reimbursable) 1925
1924 1923
206. 75 . 81
10, 000. 00 9, 500. 00 ' 50. '74
9, 449. 26, ' 1 8
500. 00 257. 49
Road from Hoops to Weitchpec, Hoops Val- ley Reservation, Calif. (reimbursable) 1925
1924 1923
100. 00 634. 84
8 000 00 7 500 00 500. 00 100. 00
634. 34i
Road, Quinisult Reserva- tion, Wash, (reimburs- a b le)
Satus irrigation project, Yskima Reservation, Wash. (reimbursable)
1924
1925 1924
100, 00
6, 411. 98 58, 180, 00 55, 3SS. 04
941. 15
7, 500. 00
97. 88
56, 329. 19
197. 88
2, 791. 96 5, 470. 83
49, 765. 12 ice retirement aud disability fund, " p. 292.
Spillway and drainage ditch, Lake Andes, S. Dak No year.
' Exclusive of amount transferred to "Civil sorv
1, 152. 36I 1, 152. 8rii 48, 612. 76
124 RECEIPTS AiVD DISBURSEMENTSx 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in italics)
Appropriations available in 1925
Appropriations from the general fund year Balances July 1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balancas June 30, 1925
INDIAN AFFAIR8 — continued
Suppressing liquor traff among Indians 1925
1924 1923 1921
Certified claims.
Miscellaneous expenses of Indian Seruice — Con.
Suppressing contagious diseases among live- stock of Indians No year.
1925 1924 1923 $612. 66
9, 792. 35 641. 01
$10, 000. 00,
28, 060. 00
48
$88 9, 500
185
21, 669 2, 598
68 10 I
78f
50
11 15 80f
48
$9, 275. 33
24& 189. 94
$38. 73
613. 16
709. 81' 10. 00
$500. 00 185. 44
6, 390. 89 7, 194. 20
Water srfpply for stock snd increasing grazing range on unallotted In- dian lands (reimbu rs- sble) 1925
1924, 1923
l
1922 !
1921 claims. Certified
Vi ster supply, tlescalero Reservation, N. Alex. (reimbursable)
Water supply, Navajo and Hopi Indians, Ariz. (re- imbursable)
1923
1925 1924 1923
Surveys, etc. , irrigation rojects, Fort Belknap eservstion, Mont. (re-
imbursable) No year. Surveying snd allotting
Indian reservations (re- imbursable) do
1925-26 1925
1923 — 24 1922-23
50, 000. 00,
I, 483, 20'
5, 942. 64 8, 681. 92
500. Go 344. & 4
46. 97
I, 000. 00 2, 461. 83
20& 000. 00 56, 840. GGI
10, 000. Gni
2, Gnl. 80'
45, 900. 00
9. 20
54, 315 816
36
401 , '3 I,
4, 800. 00, 858. lo
68. 00& 100. 00
2, 001. 80
44, 487. 81 7t, 188. 80
53, 526. 42
6, 280. 35
40 304 51
8, 645. 36
344. 74 68. 00
100. 00
46. 97
2, 461. 83
50, 000. 00
I, 492. 40 20, 000. 00
2, 524. 60 6, 758. 98
5, 200. 00 853. 45
I, 412. 19 5, 183. 30
Water supply, Pueblo In- dians, New Mexico 1925
1924 1923
346. 63 313. 25
5, 300. Onf 4, 797. 50' 81il
313. 25
502. 50 347. 47
rvice 1922 1921
Certified claims.
Payment to Crow In- dians for lands, act June 4, 1920 Xo rear.
Special funds- tliainterrance irrigation
system, Ahtan um 1&r»j& l 1, Wash. dO
%1ainte!l. '!lice ll'1'!carl»l] ir . -tern . i'»lx ille lies- ervati»rl, Wash do
Permanent snd indefi- nite—
Civilization of the Sioux Xo year Increase of compensa, -
tion, Iudian Se
11. 52
122. nn
183, 314. 02
42. 33
440, 807. 40
183, 314. 02
. 68 8. 07
42. 33
308, 803. 70'
4, 796. 66
183, 314. 02
38. 58
308, 803. 70
. 68 3. 07;
132, OO3. 70
11, 52
122. 00
RECEIPTS AND DISBURSEMENTS& 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in ff&&lies]
125
Appropriations available in 1925
Appropriations from the general fund year Balances July 1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
INDIAN AFFAIRs — continued
Miscellaneous expenses of Indian Service — Con.
Special funds — Continued. Maintenance irrigation
system, Crow Reser- vation, Mont . . No year.
Maintenance irrigation system, Fort Hall Reservation, Idaho do
Maintenance irrigation system, Malki Point project, Calif do
Maintenance irrigation system, Modoc Point project, Oreg do
Maintenance irrigation systems, Uintah Res- ervation, Utah. do
Maintenance, Wapato irrigation project, Wash do
Maintenance irrigation systems, Wind River diminished Reserva- tion, Wyo do
Funds contributed, di- version dam, canals, and laterals, ceded portion of Wind River Reservation, Wyo do
$1, 504. 29
3. 50
56. 00
34. 87
5, 335. 87
474. 46
1& 012. 35
47. 34
$78. 7&. 1
8. 73
tF78. 7&. 1
$1& 504. 29
3. 50
56. 00
34. 87
5, 409. 28
465. 73
1, 012. 35
47. 34
Total, Miscellane- ous Expenses of Indian Service
Total, Indian AfFairs
I, 381, 596. 07
27, 630, 104. 41
$4, 666, 041. 58, '
46, 354, 435. 09I
3, 827, 063. 18 $382, 326. 29 1, 838, 248. 18
38, 755, 456. 82' 969, 117. 50 34, 259, 965. 18
Total, Department of the Interior, in- cluding Pensions and Indian affairs 81, 028, 456. 17 321, 517, 234. 56' 306, 886, 277. 54 7, 154& 951. 50 88, 504& 461. 69
DEPARTMENT OF JUSTICE
Salaries, etc. : Salaries, Department of
Justice
Increase of compensation, Department of Justice
Books, Department of Justice
Printing and binding, De- partment of Justice and Courts
Printing and binding, De- partment of Justice
Rent of buildings, Depart- ment of Justice
1925-26 1925 1924 1923
1924 1923
1925
1925 1924
1923
1925
29, 493. 38 39, 860. 04
IF, 103. 24 32, 617. 87
12. 00
' Exclusive of amount transferred to "Civil service retirement and di
1, 000. 00 ' 575, 540. 00
7, 700. 00
243, 000. 00 25, 000. 00
963. 39
75, 000. 00 sability fund, " p. 292,
858. 33 562, 503. 06
5, 657. 35
18, 97&. 8. 88 108. 88
7, 700. 00
220, 473. 93 12, 623. 18
963. 39
75, 000. 00]
569, 018. 74
19, OM. 88
7, 700. 00
233, 097. 11
963. 39
75, 000. 00
39, 860. 04
32, 721. 70
141. 67 13, 036. 94 23, 836. 03
37, 051. 79
22, 526. 07 12, 388. 82
126 RECEIPTS AND DISBURSEMENTS» 1925
Disbursements, balances, etc. — Continued
lRepayments to appropriations in excess of disburs ments are printed in ifcffcs]
Appropriations from the general fund year
Appropriations available in 1925
Balances July I Appropriations 1, 1924
Dal&ursements by years
Total disburse- ments in 1923
Amount carried to surplus fund
Balances June 39, 1925
Salaries etc. — Continued. Traveling and miscellane-
ous expenses, Depart- ment of Justice
National security and de- fense, Department of Justice, "
Defending suits in claims against the U n i t e d States
Certified
1925 I
1924 1923
i
1919
1925 1924 1923 1922
claims.
$0. 53 4. 35
12, 047. 38 28. 85
296. 58
$7, 500. 00
79, 500. 00
150. 00
$?, 482. 00 10. 67
188. 68
48, 393. 17 4, 965. 76
175. 00 296. 58 150. 00
$7, 28'~; 90
$203. 85
$18. 00 11. 10
192. 88
(ss)
31, 106. 83 7, 081. 62
Detection and prosecution of crimes 1925
1924-25 1924 1923 1921 1920
1918 and prior. Certified claims.
10, 413. 94 154, 675. 24
2, 766. 30' 2
r 2, 390& 994. OO~ 2& 334,
5, 18,
906. 55 1. 7»1
128. 56 899. 81 160. 90 85. 91 6~. 80
766. 30
53, 630. 51
168, 075. 05, 160. 90' 35. 91 64. 30
56, 087. 45 1. 41
5, '-'«2 38
Enforcement of antitrust laws 1925
1924 1923
Enforcement of acts to regulate commerce 1925
1924 1923
Fees of witnesses, Board of United States General Appraisers 1924
1923
Investigation and prosecu- tion of war frauds 1925
1924-25 1924
1922-23
Opinions of the Attorneys General No year.
Protecting interests of United States in cus- toms matters 1925
1924 1923
Protecting interests of United States in lands and n stere, District of Columbia No year.
Salaries and expenses Pu- eblo Lands Board 1925
Judgments, Court of Claims, Department of Justice No rear.
10, 956. 59 29, 468. 29
160. 00 67. 17
693. 69 634. 37
150, 000. 00
246. 95
1, 500. 00
1, 343. 16 7, 253. 77
1, 261. SS
188. 76
' 203, 380. Ool
' 10, 460. 00'
499, 835. Ooi
'96, 68O. OO
19, 500. 00
196, 851. 07 10, 952. 60 8, »»68. 60
10, 460. 00 488. 96
290. SO
499, 835. 00 105, 031. 57
87. 86 869. 78
90, 010. 00 492. 50
1, 197. 7»8
880. 00
5, 000. 00
2, 329, 139. OS'
205, 340. 57'
10, 036 04
603, 969. 57
89, 305. 07
880. 00
5, 000. 00
31, 931. 89
634. 37'
1, 116. 70
8, 451. 20
6, 528. 93 3. 99
583. 96
402. 89
44, 968. 43 27. 25
l, 500. 00
6, 670, 00 850. 66
2 141 88
14, 500. 00
188. 76 r Ezcfueire of amount transferred to "Civil-service retire&neat and disability fund, " p. 292. " see p. 63 for "x otienaf security and defense" statement.
RECEIPTS AND DISBVRSEMENTS& 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in ffeiics]
127
Appropriations available in 1925
appropriations from the general fund Fiscal Balances July
I, . 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
Contingent ex penses: Contingent expenses, De-
partment of Justice Books for offices of solici-
tora
192. 5
1924 1923
$100. 00
$58, 287. 00 $49, 93. 5. 18'
100. 00 1r. 90
$49, 935. 18
$17. 90
$8, 351. 82
Furniture and repairs 1924 1923
Miscellaneous items 1924 1923
Stationery 1924 1923
Transportation 1924 1923
Permanent and indefinite— Return of unclaimed
moneys deposited by clerks of courts No year.
Increase of compensa- tion, Department of Justice 1922
1921 1919 1918
Certified claims.
Less repayments to "National security and def ense" re- turned to principal account
Total, Department of Justice
100. 00 18. 20
24. 97' 40. 16I
100. 00
100. 00 266. 46
502, 077. 82,
6. 11
502, 072. 71
6, 721. 02 43. 68
25, 223. 12
7. 33
4, 329, 250. 84
92. 80 g&5. 01&
6, 716. 64 81. 70
98. 56 rr&. 88
18. 11&
25, 223. 12I
. 76
. 66 1. 81 . 80
7. 33
82. 10
47. 76
6, 634. 94
23. 68
18. 1$
25, 223. 12
3. 70
4, 251, 774. 13
63. 24
74. 88
266, 46
. 76
. 66 1. 91 . 30
283, 749. 19~
7. 20-
29. 35 165. 54
1. 44
112. 14
295, 800. 23
JUDICIAL
United States Supreme Court: Salaries, Supreme Court
Salaries and expenses, re- porter of Supreme Court
1925 1924 1923
1925 1924 1923 1922
12, 716. 38 20, 891. 54
1. 20 1, 733. 29
190, 220. 00
11, 500. 00
171, 686. 91
11, 500. 00 kor
r1„71,
171, 686. 91
11, 415. 69
20, 891. 54I
75. 94 733. 29
18, 533. 09 12, 716. 38
9. 57
Printing and binding, Su- . , preme Court
Supreme Court reports
1925 1924 1923
1923 . 1922
11, 296. 75 1, 380. 10
50, 000. 00', 4, 000. 00'
24, 631 10, 357 8, 708
o85 01&5
941 57 8ri
00' 00
32& 280. 64 4, 088. 97
585. 00 945. 00
25, 368. 06 4, 939. 18
Bust and protrait of Chief Justice Edward Doug- lass White
Circuit Court of Appeals: Salaries, circuit judges
1923-24
1924 1923
2, 000. 00
9, 624. 33 5, 037. 53
1, 500. 00
8, 857. 6q&I
1, 580. 00
1, 600. 00
8, 85r. 6!'
500. 00
12 481 97 6 037
128 RECEIPTS AND DISBURSEtfE'XTS, 1925
Disbursements, balances, etc. — Continued
iRepsyments to appropriations in excess of disbursements are printed in ifotfrsl
Fiscal Appropriations from the general fund year
Appropriations available in 1923
t ppropriat i one 1, 1924
Disbmsements by years
I
Total dL~burse-, Amount carried ments in 19& I to surplus fund
Balances fuse 30, 1923
3nnfczar continued
District Courts: Salaries, district judges 1924 . $34, 441. 65
1923 31, 833. 32' 8o, 6/1. 66
$8, 6/1. 66
837, ee 31 $31, 833. 32
Retired Judges: Salaries of circuit, district,
snd retired judges Salaries, retired judges
Xational Park Commission- ers:
Salaries, national park commissioners
1925 1924
1925 1923
Salaries, district court, Territorv of Hawaii 1923
Salary of reporter, d;strict court, Territory of Ha- waii 1925
Salaries and expen:ea of clerks, l niied States district courts 1922
Certified claims.
Expenses of additional United States district courts 1923-25
1923-24
126. 67I
930. 02'
es 64 917 19 (")
4, 187. 77I
4. 16i
81, 440. 00!
3. 20
1, 380, 500. 00l
11, 160. OOI
1, 200. 00 1, 20fl
38. 00 3. . 20
41. 20
1, 320, 894. 30 1I 791. 81
l. 320, 894. 30 1, 791. 81
11, 160. 00
ee 18, 000. 00. fb', 000. 00
126. 67I
892. 02
24tl 00
64, 917. 19
59, 605. 70 5, 979. 58
Court of Customs Appea(sr United States Court of
Customs Appeals
Court of Claims: Salaries
1925 1924 1923
1925 1924 1923
165. 87I 9, 327. 13'
147. 70' 63. 97~
82, 500. 00 3, 000. 00'
80, 832. OOI
I
11, 160. 00
82, 446. 00 2, 810. 92; |
85, 256. 92I 79, 796. 32
9, 327. 13
63. 97
54. 00 354. 95
1, 035. 68 147. 70
Salaries and cape«=cs of commissioners, Court of Claims
Auditors
Contingent expenses
Reporting decision; Repairs to building, Court
of Claims Printing and lading,
Court of Claims
Payment of judgments Territorial Courts:
Salaries, judges, marshals, etc. , Territorv of Alaska
Salaries, justices snd ; «d gee. Territory of 1 lan. a I I
1925-26 192o 1924 1923
1925 1924
192o
1924-2o
1925 1924 1923
Xo vear
1925
1925 1923
995. 24 1, 500. 24
12, 489. 10
950. 01
69, 000. 00 15, 240. 00;
6, 600. OOI
1 000. 00
2, 225. 00
te 43, 000. 00 &st)
81, 200. 00,
79, 796. 32
6, 600. 00 8$. 50
999. 98I.
2, 008. 80
43, 000. 00'
13, 739. 52
6, 514. 50 999. 98'
2, 008. 80
840. 69 42, 759. 31'
80, 486. llll 80, 486. 11
64, 125. 00
8 463 07 8 463 07 13, 739. 52
1, 500. 24
240. 69
950. 01
60, 536. 93 1, 500. 48
995. 24
. 02
216. 20
12, 489. 10
713. 89
5, 375. 00
" Transferred from 1931-24 account. & Bahnce of 349, 917. 19 and $13. 000 repayments transferred to 1923-25 account.
64, 125. 00, ' s Includes 33, 000 transferred from N24 account. » See note 30.
RECEIPTS AND DISBURSEMENTS, 1925-
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in italicsl
129
Appropriations available in 1925
A propriations from the fa:nersl fund P Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
JvnforAz continued
United States Courts: Salaries, fees, and expenses
of marshals, United States courts 1925
1924 1923 1922 1921
1920 and prior. Certified claims.
$5, 834. 64 32, 192. 91 11, 178. 04
34. 53
$3, 338, 160. 00 81, 654. 39
910. 04 20. 21
o28. 27
$3, 336, 537. 42 82, 556. 27 6»f, 9611. 98
2, 329. 18 944. 57
irif. 51 528. 27
$3, 357, 886. 27
$97& 157. 84 8, 848. 86
64. 72
$1, 622. 55 4, 932. 76
Salaries and expenses of district a t t o r n e y s, United States courts
Certified
Pay of regular assistant attorneys, United States couI'ts
Pay of special assistant attorneys, United States courts
Certified
1925 1924 1923 1922 1921
claims.
1925 1924 1923
1925 1924
i 1923 claims.
28& 281. 58 14, 038. 11
1, 799. 21
18, 093. 64 51 987. 98
23, 259. 04
' 1, 310, 770. 00)
31. 00
38. 80'
729& 440. 00,
r 975, 582. Ooi 120, 000. 001
71. 21
1, 242, 850. 26 5, 817. 96 4, 409. 10
38. 64 8/j. 8? 38. 80
709, 085. 31 8, 080. 18
816. 95
896, 301. 32 120, 000. 00
12, 677. 62 71. 21
1, 253, 120. 39
706, 839. 23
1, 029, 050. 15
1, 791. 57 34. 37
6, 203. 93
10, 581. 42
67, 919. 74 22, 463. 62
9, 629. 01
20, 354. 69 20, 123. 77
79, 280. 68
Pay of bailiffs, etc, United States courts 1925
1924 1923 1922
1920 and prior. Certified claims.
Salaries and expenses of clerks, United States courts 1925
1924 1923
Fees of commissioners, United States courts 1925
1924 1923 1922 1921
1920 and prior. Certified claims.
656. 89 7, 176. 55 2, 164. 94
19, 278. 74 18, 059. 11
259) 81?. 54 57, 573. 43
580. 20
749. 10
395, 184. 00 19& 437. 48
5. 00
1, 748& 270. 00
500, 000. 00
6, 591. 13
4, 094. 72
375, 988. 84 18, 469. 06
381. 00 14. 00 81. 00
5. 00 394 836. 901
1, 655, 080. 38 ir, 168. 64
615. 88 1 650 302 36
292, 605. 02 228, 580. 18
14, 247. 47 7, 169. 83
81. 96 163. 60
3& 491. 17
6, 795. 55 2, 150. 94
21. 00
18) 674. 49
43, 325. 96
21. 95',
603. 55'
19, 195. 16 1, 625. 31
93, 189. 62 23, 441. 38
207, 394. 98 31, 237. 36
1. 50
585. 50
Fees of jurors, United States courts 1925
1924 1923 1922
Certified claims.
1, 700, 000. 00 1 770 97 60 221 471
40, 409, 72i 306. 39
132. 60
1, 577, 081. 70 {ll, 992. 44
8, 881. 88 8'. 50
132. 60
546, 235. 32
1, 636, 860. 92,
42, 731. 04 330. 89
122, 918. 30
Fees of witnesses, United States courts 1925
1924 1923 1922 1921
Certified claims.
1, 663. 33 21, 120. 34
1, 493, 000. 00~ 34, 602. 43'
163. 38i
' Exclusive of amount transferred to "Civil service retirement and disability fund, " p. 292.
1, 440, 265. 31 36, 265. 76
8, 81&. 8. 18 69. 88 l. 50
163. 38 1, 474, 275. 44:
23 468. 47 69. 38 l. 50
52, 734. 69
130 RECEIPTS AND DISBURSEMENTSr 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriatioas ia. excess of disbursements are printed in ifolicrl
Appropriations available in 1925
Appropriations from the gener;! fund Fiscal year Balances July
1, 1924 Appropriations
D isbursemeats by years
Total disburse- ments in 1925
Amount carried to surplus fuad
Balances June 30, 1925
JUDICIAL — contir, ued
United Btates Courts — Co»td. Miscellaneous expenses,
United States courts 1925 1924 1923 1922 1921 1920
Certified claims.
Rent of court rooms, United States courts 1925
1924 1923
Supplies for United States courts 1925
1924 1923
Certified claims.
Books for judicial otficers 1925-26 1925 1924
1923-24 1923
1921 and prior. Certified claims.
Federal court reports and digests 1923
Penal Institutions: United States peniten-
tiary, Atlanta, Ga No year. 1925 1924 1923
United States peniten- tiary, Atlanta, Ga. , working capital 1924 — 25
1923-24
$38, 014. 78 9, 303. 11
90. 13
2, 075. 57 . 9, 330. 67
3. 50 109. 13
" 4, 200. 00
9. 75
531. 05
1, 458. 18 26, 659. 26
" 211, 992. 47 (37)
$854, 212. 00
11, 580. 06 150. 00
310. 00 1, 995. 99
80, 000. 00
" 82, 000. 00 (33)
10. 77
100, 000. 00 38, 860. 00
1, 000. 00
18. 00 20. 60
7 772, 525. 50 30, 975. 12
8, 204. 25
5, 000. 00
$762, 250. 95 22, 089. 67 20, 124. 28
24. 96 60. 18
384. 03 1, 995. 99
69, 996, 85 1, 61617. 00
81, 052. 92 10. $0
8, 878. 87 10. 77
38, 800. 00 5, 200. 00 1&, 800. 00
881. 76 21. 75 20. 60
78@ 00
696, 703. n6 23, 931. 58
3, 256. 25
118, 871. 20 1, 576. 68
$806, 809. 70
68, 352. 85
78, 680. 42
39, 590. 60'
7816. 00
723, 890. 89'
$125. 04 60. 18 16. 10
9, 330. 67
2, 482. 00
251. 75 6. 00
724. 00
531. 05
26, 607. 26
$91, 961. 05 15, 925. 11
758, 89
10, 003. 15 3, 719. 57
947. 08 13. 90
100, 000. 00 60. 00
(36)
75, 822, 44 8, 501. 72
103, 121. 27
United States
penitent-
iaryy, Leavenworth, Kans 1925
1924 1923
33, 861. 86 91, 811. 74
180, 146. 35
195, 000. 00
250, 000. 00
(") 's 50, 000. 00
ce retirement sad dis
United States peniten- tiary, Leavenworth, Kans. , site No year.
United States peniten- tiary, Leaven worth, Kans. , physician' s- resi- dence do
l nited States peniten- tiary, Leav e n w or t h, Iians. , fsctorv l»ti!d- inge and equipment 1924 — 25
1 nited States peniten- tiary, Lesvenwort h, Kans. , tvorking capital 1924 — 25
1 nited States peniten- tiary, Leav e n w o r t h, Kans. , repairs to bridge across ihlissouri River Xo year.
1924-25
Erc!us&ve of amount trans!erred to "Civil servi p. 29' .
» Includes 69, 000 transferred from»&"4 account. 66 See note 32. 6& Transferred from 1923-24 sccouat. » Balance transferred to 1924 acoouat
112, 294. 55
7 720, 020. 00 693, 784. 64 16& 886. 01&
68. 87 676, 894. 73
91, 875. 61
26, 235. 36 50, 687. 90
1, 320. 00, 47, 000. 00 47, 000. 00 84, tt»3 35
160. 80 40. 00 40. 50
55, 901. 20 55, 901. 20 139, 098. 8o
250, 000 00
49, 115. 00 5 000. 00 5, 000. 00
94, 115. OO
ability fuad, " 36 Transferred from 1923-24 account exclusive of 3500, transferred to "c«if retirement and disability fund "
p » Balance aad repayments transferred to 1924-26 account. » Balance transferred to 1924-25 account. ~ 6 See note 39.
RECEIPTS AJjfD DISBUESEMEiVTS~ 1925
1Nsbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements sre printed in ffsffcr]
131
Appropriations available in 1925
Appropriations from tbe general fund Fiscal Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, '. '.
United States peniten- tiary, rMc Neil Island, Wash. , wharf
United States peniten- tiary, McNeil Island, Wash. , scow
, United States peniten- tiary, McNeil Island, Wash. , water facilities
Federal Industrial Insti- tution for Women
National Training School for Boys, Washington,
&fC 41 D. C.
No year
1924
1925 — 26
1925 1924 1923
JffnfcxAL — continued
Penal Institutions — Contd. United States peniten-
tiary, Alc Neil Island, Wash No year.
1925 1924 1923
'S8, 888. 81
1, 687. 221 21& 593. S9'
19. SO
4o, 000. 00
8, 298. 18 18, 449. 46
$600. 00, ' 188, 560. 00, , '
2, 000. 00;
909, 100. 001
89, 710. 00
82& 17S,
1,
4 0$' gr. Oo
10,
. 99
000. 00
60, 000. 00
10, 000. 00
60, 000. 00
84, 075. 38 447. 70
1. 80 84, 524. 38
688. 09; 530. 45' 912. 1$i 678. 491
8180, 684. 58 820, 91o. 40
18, 448. 16
86, il»i 72 10& 029. oo 4. 899. 67
23 85
- 92
35, 000. 00
849, 100. 00
o, 634. 62 (, 845. 43
Support of United States prisoners 1925
1924 108, 897. 26 2, 169, 380. 00
89, 343. 72, I, 987, 507. 89
196, 298. 09 2, 133, 805 981
231, 872. 11 1, 942. 89
Support of prisoners, United States courts 1923
1922 1921
1920 snd prior. Certified claims.
21, 185. 81 168. 25 967. 26 108. o8
66, 206. 59 6, 275. 62 6, 400 501 8, 056. 00
40. 50
65, 6, 7 8,
707. 06 886. 2&
867. 76 119. 53 40. 50
21, 685. 34 102. 60
40. 00
Inspection of prisons snd prisoners 1925
1924 1928
. 01 80. 07
r 15, 780. 00 14, 710. 46 1, 819. 88
889. 18
87, o71. 12
869. 28
1, 06g. o4 1, 812. 69
Irfi scellarteous: Payment of costs taxed
against the United States
Payment to H. H. Thorn- ton snd B. D. Roch- blaive
Relief of- Jere Austill John Bsumen W. H. King Robert J. Kirk Mechanics and Metals
National Bank George A. Petrie
Less repayments trans- ferred to sundry ac- counts
No year.
do
do do do do
do do
49. 6o
35. 52
2, OS9, 132. 81
20, 776. 65
772. 3o 1, 000. 00
421. 88
746. 96, '
53. 80I
772. 35 1, 000. 00
421. 88 382. 50
o8. 30
12, 608. 62
&(2. 8o 1, 000. OOI~
421. 33: 882. 50&
o8. 30
49. 65
&46. 96
Total, Judicial 2, 068, 3o6. 16~ 20, 928, 592. 49i 19, 14o, 383. 77! o12, 915. 36 3, 338 6gg o2
Total, Department of Justice, including Judicial 2 o70' 428 871 25 2o7 848 33 23, 897, 107. 90 796, 664. 55 8, 634, 4gg»
I
' Bzeiusive of amount transferred to "Civil service retirement and disability fund, " p. 292. o Additional disbursements were made for this object under District of Columbia, " p. 245.
132 RECEIPTS HAND DISBURSEMENTSr 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in italics)
appropriations from the general fund fiscal I
Appropriations available in 1925
Bahmces yuly I ~pproprhrtfons 1, 1924
Disbursements by years
Total disburse- ments in 1925
Amount carried Balances yune to surplus fund 59t 1925
Contingent expenses, De- partment of Labor 1925
1924 1923
I
DEPARTMEXT OF I XBOR
Once oj the Secretary: ! Salaries 1925 — 26 ,
'
1925 '
1924 1928 1922
$289 06! 2, 348. 67
12, 758. 29 I, 166. 96
!
$1, 000. 00 ' 180, 052. 50
u 50, 000. 00
$1, 000. 00' 180, 000. 00,
807. 67' 8. 78
4o, 432. 26 10, 248. 06
85~r 88
5180, 182. 58.
54, 725. 39
$3, 156. 34 9. 75
8, 121. 8
4, 567. 74 2, 505 23
Increase of compensation, Department of Labor 1924
1923 ! 13. 715. 99 19, 654. 55
1, 084. 6, 188.
5, 105. 56 25, 844. 4
12, 63L 65
Printing and binding, De- partment of Labor
Rent, Department of La- bor
National security snd de- fense, Department of Labor ie Certified
Salaries and expenses Commissioners of Con- ciliation
Total, Office of Hec- retary
1925 1924 1923
1925 I
claims.
1925 1924 1923 1921 1920
79, 920. 58 725. 49
9, 767. 24 9, 198. 32
155, 540. 15
215, 000. 00'
60
' 202, 550. 00
146, 000. 69, 876.
724.
189, 903 6, 477 $, 089
68 8o0
00[ 90~ 23
21 1. 1 6, 60 3
00 24, 000. 00 I
60
29, '
8, 8, 0 0! OOI
192, 225. 88
662, 630. 02.
1. 2
13& 288. 1 63.
250.
50, 487. 3
69, 000t 00 10, 043. 68
12, 64tx 08 3, 289. 95
115, 025. 89
Bureau of Labor Statisticsr Salaries
Librarv
bf iscellsneous expenses
1925 1924 1923
1925 i
1923 !
1925 '
1924: 1923 '
3, 771. 83 1, 189. 72
12. 05
' 453. 8o 906. 18
' 209, ?55. 00
300 00,
' 72, 225. 00'
209, 724. 76.
8, 868. 71'
64, 998. 53 306. 23, 9+1. 66'
206, ?61. 05
300. 00
64, 361. 10
4, 153. 43
12. 05
1, 849.
3tl 24 3, 771. 83
?, 23i. 47 147. 62
Total, Bureau of La- bor Statistics
Bureau of Imrnigrafionr Salaries. Bureau of Im-
migration 1925 1924 1923
6, 333. 63
15. 00 210. 93
I
282, 280. 00
'89, 694. 00 89, 600. 00
880 /0
271, 422. 15! 6 015. 3
201. 63
11, 176. 16
Expenses of regulating im- migration 1925
1924-25 1924 1923 1922 1921
75, 000. 001 220, 62o. 92' 109, 610. 95
a4, 877. 411. 15
Exctusim of amount transferred to "Civil service retirement and disability fund, " p. 29
n Sce page 63 for "yrstionat security and defang" statement. o includes $1~ transferred from "Expenses of regulating immigration, 1925. "
88, 609. 30'
117, 725. 98 L 00
83, 882. 13
4 759 685. 17 74, 999. 001
136, 743. 79 4, 801. 18
186. 80 8, 898 85
113, 912. 14 196. 3 323. 2
ttgt 95 1925 ------ — — ---- I 95555 p-
o Exclusive of Stiff, 455. 85 transfened as fotlovrs: Contingent expenses, Department of Labor, Civil service retirement and disabiTity fund,
RECEIPTS AIifD DISBURSEMENTS, 1925
Dtsbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements sre printed in ifelicsl
Appropriations available in 1925
Appropriations from the general fund Fiscal Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30& 1925
Bureau of Immigration — Con. Expenses of regulating
immigration — Contd. 1920 1919 and prior.
Certified claims,
Immigrant stations 1925 1924
Immigrant station, Ellis Island, N. Y No year.
1924 1923
Certified claims.
$35, 000, 00
39& 837. 03 801, 000. 00
48. 65
$1, 388. 41
100, 000. 00
. 48
lf10. 00 58. 175
1, 833. 41
86, 811. 42 25, 970. 80
888. 98 298, 144. 44
880. 09 . 48
$4, 965, 877. 18
112, 782. 22
$10. 00 53. 45
40, 660. 26
308. 74
$13, 188. 58 9, 029. 20
2, 855. 56
Refund of head tax No year. Refund of fine to Rafael
Subira do Refund to-
Canadian Pacific SAam- ships, Ltd do
Chin Fong do Collector of Customs,
Los Angeles, Calif do Gulf Refining Co do Pacific Mail Steamship
C o------------- do Swedish-American Line do White Star Line do
Indefinite — Special f und- Return to deported
aliens of passage money collected from steamship companies. No year.
Total, Bureau of Immigration
64. 00
20. 00
85. 25
66. 00
30. 00
781, 563 73
200. 00
10. 00
1, 500. 00
400. 00
43, 566. 62
5, 114, 115. 66
200. 00
10. 00
1, 500. 00
400. 00
1, 655. 60
297& 061. 60
200. 00
10. 00
1, 500. 00
400. 00
1, 655. 60
5& 468, 095. 90 158& 665. 77
64. 00
20. 00
35. 25
66. 00
30. 00
41, 911. 02
268, 917. 72
Bureau of Naturalization: Salaries 1925
1924 1923
4, 585. 00 2, 013. 43
7 106, 197. 00 102, 000. 00 80. 56
1, 908. 05 100, 127. 51
3& 916. 48
4, 197. 00 4, 554. 44
Miscellaneous expenses 1925 — 26 1925 1924 1923 1922
18, 141. 88 6, 498. 98
20, 000. 00 ' 622, 245. 00 600& 191. 81 17, 988. 02
9& 178. 11 8. 00
611, 999. 72
12, 677. 09 2. 00
20, 000. 00 22& 053. 19
158. 86
Indefinite— Naturalization fees,
publishing citizen- ship textbooks
Total, Bureau of Naturalization
1925 1924
81, 289. 29
32, 060. 58 15, 980. 13
796, 482. 71
82, 060. 58 15, 980. 18
48, 040. 71
760, 167. 94 16, 595. 57 50, 958. 49
Children's Bureau: Salaries 1925
1924 1928
5, 551. 50 6, 801. 10
7 115, 078. 00 115, 000. 00
1, 1789. 19 118, 510. 81
8, 290. 29
78. 00 5, 551. 50
12, 975. 52 5, 596. 91
General expenses
Investigation of child welfare
1925 1924 1923
1925 1924 1923 1922
15, 082. 62 16, 594. 28
' 7, 398. 21 3, 481. 81
7 71, 994. 25
7 183, 458. 83
' Exclusive of amount transferred to "Gfvfl service retirement and disability fund, " p. 292.
59, 018. 73 9, 485. 71 1, 597. 80'
130, 013. 75 6, 039. 18
71. 89 . 19
66, 906. 64
135, 980. 85
18, 192. 08
3, 553. 20 . 19
3, 440. 08 1, 859. 08
RECEIPTS AND DISBURSEMENTS 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in ifalicrl
Appropriations available in 1925
Appropriations from the general fund year Balances July 1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
Children's Bureau — Contd. Administrative expenses,
welfare snd hygiene of maternity and infancy No year.
Prontotion of welfare and hygiene of maternity and infancy 1925
1924 1923 1922
i
$36, 635. 03
690, 556. 61 467, 247. 22
7 $49, 895. 27
968, 818. 47
$42, 399. 20
499, 095. 97 392, 528. 54
6& 1M. 88 1& 180. 88
$42, 399. 20
884, 310. 31
$473, 440. 60 1, 120. 82
$44, 131. 10
469, 722. 50 298, 028. 07
Total, Children' s Bureau 1, 249, 347. 88 1, 339, 234. 82 1, 243, 107. 81 504, 597. 18 840, 877. 71
Women's Bureau: Salaries and expenses 1925
1924 1923
Total, Women' s Bureau
EmpLoyment Service: Employment Service, De-
partment of Labor 1925 1924 1923 1922
War Emergency Employ- ment Service 1919
Certified claims.
Total, Employment Service
Labor, miscellaneous: Claims for damages, act
Dec. 28, 1922, Depart- ment of Labor No year.
Judgments, United States Courts, Department of L abor do
Judgments, Court of Claims, Department of Labor do
Permanent and indefi- nite—
Increase of compensa- tion, Department of Labor 1922
Certified claims.
Trust funds— Ross Goldman, cash bail
exacted No year. I
Unclaimed funds of Jei Bei Ota, deceased Japanese alien do
Total, Labor, mis- cellsneous
5, 070. 62 1. 12
5, 071. 74
9, 381. 23 7, 949. 77
17, 331. 00
500. 00
2. 27
502. 27
' 105, 459. 00
105, 459. 00
7 224, 000. 50'
26. 01
224, 026. 51
94. 42
10, 939. 67
1, 095. 54
187. 67
12, 317. 30
103, 988. 74 5, 009. 17
840. 89
218, 170. 47 5, 034. 04 1, 0176. 18
40. 00
881. 68 26. 01
94. 42
10, 939. 67
1, 095. 54
18. 88 187. 67
108, 757. 52
108, 757. 52
222, 118. 39
186. 61
221, 922. 78
94. 42
10, 939. 67
1& 095. 54
174. 34
12, 303. 97
~ 241. 51
241. 51
8, 995. 89 40. 00
221. 62
9, 257. 51
13. 33
13. 33
1, 470. 26 61. 45
1, 531, 71
5, 830. 03 4, 347. 19
10, 177. 22
500, 00
2 27
502. 27
Total, Department of Labor'
, 2, 246, 929. 69 8, 546, 519. 10 8, 748, 408. 09 745, 873. 53 1, 299, 167. 17
7 Exclusive of amount transferred to "Civil service retirement and disa bility fund, " p. 292.
RECEIPTS AND DISBURSEMENTS, 1925
Disbursements, balances, efc. — Continued
[Repayments to appropriations in excess of disbursements are printed in ifalicsl
135
Appropriations from the general fund Fiscal
Appropriations available in 1923
Appropriation 1& 1924
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1923
Additional employees, Navy Department
Increase of compensation, Navy Department
Increase of compensation, Naval Establishment
Salaries, General Board, Navy Department
Salaries, Naval Examin- ing and Retiring Boards
Salaries, Compensation Board, Navy Depart- m ent
Salaries, office of Solicitor, Navy Department
Contingent exp e uses, Navy Department
1923
1924 1923
1924 1923
1925
1925
1925
1923
1925 1924 1923
Contingent, Navy 1925 1924 1923 1919
1917-18
NAVY DEPARTMENT
OPce of fhe Secretary: Salaries, Office of Secre-
tary of the Navy 1925 — 26 1925 1924 1923
$578. 1& 750.
00 51
29, 119 08
12, 386. 00 19& 334. 89
26, 123. 20 22, 818. 79
542. 23
16, 858. 66 16, 246. 79
«4, 163. 79 "3, 021. 72
7 10, 099. 06 2, 378. 68
$1, 000. 00 7 145, 008. 50l,
7 9, 477. 00
' 9, 477. 00
7 32& 116. GO
78, 000. 00
7 39, 992. 96
975. 00 143, 900. 00'
881. 88
878. 88
17, 593. 16
9. 475. 00
9, 477. 00
28, 400. 00
67, 962. 56 9, 189. 35
25, 826. 88 1, 541. 79
17. 15 4& 163. 79 3& 021. 72
$144, 653. 17
17, 593. 16
9, 47 . 03
9, 477. 00
28, 400. 00
&7, 151. 91
34, 571. 33
$1, 750. 51
29, 119. 08
19, 334 89
22, 818. 79
542. 23
2, 378. 68
16, 229. 64
825. 00 1, 108. 50
799. 83
13, 059. 36
8, 530. 04
2. 00
3, 716. 50
IO, 037. 44 909. 71
14, 166. 08 15, 316. 87
Experimental and research laboratory No year.
1925 1924
Investigation of fuel oil, etc. , Navy Certified claims.
Library, Navy Depart- ment 1925
1924 1923
Pay, miscellaneous 1925 1924 1923 1922 1921 1920
1919 and prior. 1917-18
1917 Certffied claims.
2 8 56. 50
1, 730. 35
2, 000. 00
,
7 2, 538, 552. 45 7 441, 243. 95 90, 960. 40
592 777 45I 7 878 75
37, 603. 52 " 403. 65 44 404 86i '4 315. 3S'
2, 649. 87I
' 128& 172. 81' 7 124, 000. 00
31, 568. 86
1, 730. 35
1, 900. 00 ' 87. 78
415. 74' 554. 00 11&5. 7'. 778. 50 909. 62; 384. 80;
2, 082, 341&
1&8&
34,
948. 747 121. 63'
1. 7&9
2, 649. 87,
32, 900. 83 98, 456. 65 28, 424. 76
1, 802. 21
2, 414, 161. 37
159, 782. 24
1, 730. 35
56. 50
646, 801. 94 778. 59
2, 693. 90
1. 49
95, 271. 98 25, 543. 35
3, 144. 10
100. 00 98. 61
456, 136. 71 190, 650. 35
(44) (44) (47)
Printing and binding, Navy Department 1925
1924 1923
230, 000. 00 500, 000. 00 367, 440 531
194, 329. OS[ 171. 00 171. 00
132, 559. 47 3G, 670. 92
561, 598. 61 State marine schools, act
Mar. 4, 1911 1925 ' Exclusive of amount transferred to "Civil ser
p. 293. "Transferred from "Naval supply account fund. «Balance transferred to "Naval supply account f
75, 000. 00 75, 000. 00 7 5 000. 00 vice retirement and disability fund, "
19
und. " 73270 — 26 — 10
« Includes 3211. 11 transferred from "Naval supply account fund" and 3193, 73 from 17 — 18 account. "& Balance transferred to 1919 account.
136 BECEIPTS Z ( D DISBUBSEMEXTSr 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in itasca]
appropriations available in 1925
appropriations from the general fund year Bd ~s Jay tpfvopr~ons 1, 1924
Disbursements by years
Total disbmse- ments in 1925
amount carried ( Bafsuees Jum to surplus fund
Once of the Secretary — Con. Temporary government
for West Indian Islands Temporary concrete office
buildings, Xavy and Wsr Departments
Care of lepers, etc. r Island of Guam
1925
Xo year.
1925 1924 1923
r$9, 397. (4
8, 669. 9( 425. 66
82(0, 150. 00
80, 000. 00
$270, 150. 00
7, 944. 91,
26, 519. 01 3, 565. 49
$270, 150.
7, 944. 91 sl. 452. 88
$3, 480t 99 104. 48
425. 66
Fishery rights, Pearl Har- bor, Hawaii 1924 — 25
Monument, Charles Fort, Parris Island, S. C 1924 — 25
Indefinite— Increase of compensa-
tion, Xsval Establish- ment 1921
Less balances of 81, 872. 18 transferred to " Naval supplv account f und" snd $193. 75 on 1917-18 account transferred to 1919 account
1, 603, 859. 05'
1, 565. 93:
o, 000. Qoj
1O, OOO. 00'
3, 827. 75l
460. 69;:
88,
80, 084. 50
3, 827 75
460. 69
83,
1, 672. 25
9, 531 31
Total, Office of the Secretary 1, 602, 293. 12 4, 010, 5 9(. 30i 3, 846, 690. 01 744, 556 56i 1& 021, 643. 85
Once of Nafral Records and Library:
Salaries, Office of Naval Records snd Library 1925
1924 1923 379. 66
' 24, 219. 00 24, 200. Qol 80. 78'
379. 66,
1% 00 91 78
Collecting of the
ar Naval records of war with
Central Powers of Europe
Xo year. '
452. 49, '
1925, ' 20, 298. 00 1924 ,
'
( 20, 283. 41
88. 8$
24, 119. 22
452 49
9. 59 29. 37
Total, Office of Xsvsl Records snd Li- brary
1923, 13(. 95)
970. 82, 44, 512. 00
20, 254. 76
44, 378. 98
187. 95
517. 61 591. 23
Once of Judge 4drocate Gene- erat:
Salaries, Office of Judge Advocate Gen eral, l. nited States Xavy 1925
1924 1928
9. 50 178. 85
' 97, 119. 50 961 400. 00 118. 08
96, 287. 94 17L 85
719. 50 121. 56
Total, Office of Judge Ada ocate General 188. 85 97, 119. 50 96, 287. 94 1?L 85
Office oi Chef of Nasal Oper- nt(o((:(
Salaries. Office of Chief of Xaval Operations 1925
1924 225. 00 1923 66. 63
' 65, 169. 00: 65, 100. 00 1~ 81 6L 63
~sl. (rier. Board of In- spevtir r( and Survev, Xsvl Department
r Ercfusive of amount transferred
1925 . 21, 708. 50 ro "Civil service retireruent and dissbriity fund, " p. 293.
21, 700. 00
64, 955. 79
21, 700. 00
RECEIPTS AND DISBURSEMENTS, 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in italics]
137
Appropriations available in 1925
Appropriations from the general fund Fiscal Balances July
1, 1924
Disbursements by years
Appropriations
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 80, 1925
Offtce of Chief of Naval Opera- tions — Continued.
Salaries, Office of Director of Naval Communica- ions t'
Salaries, Office of Naval Intelligence
Total, Office of Chief of, Naval Opera- tions
1925 1924 1923
1925 1924 1923
$120. 00 5& 963. 19
50. 00 76. 43
6, 501. 25
'$129, 969. 00
' 41, 749. 50
258, 591. 00
$126, 500. 00 8917. 89
40, 000. 00 1/0. 68
$126& 205. 61
39& 859. 32
252, 720. 72
$5, 963. 19
76. 43
6, 106. 25
$3, 469. 00 414. 39
1, 749. 50 190. 68
6, 265. 28
Bureau of Navigation; Salaries, Bureau of Navi-
gation 1925 1924 1923
Administrative expenses, World War Adjusted Compensation Act, Navy Department 1925 — 26
1924-25
75. 00 2, 275. 69
7 414, 375. 00
43 190 835 53 49 259, 164. 47
414& 364. 50 888. 07
23, 508. 88 259, 164. 47
413, 696. 43 2, 275. 69
10. 50 743. 07
167, 326. 65 C
Contingent 1925 1924 1923
Certified claims.
9, 827. 74 4, 900. 55
18, 000. 00
1. 31
5, 439. 60 6, 875. 71 1, 14141&. 11
1. 31
282, 673. 35
6, 344. 66
12, 560. 40 2, 952. 03
Gunnery and engineering exercises 1925
1924 1923
Certified claims.
Instruments and supplies 1925 1924 1923 1920 1919
1917 — 18 Certified claims.
76, 242. 53 1, 360. 35
' 246, 959. 79 148, 627. 46
44 25. 00 se 149. 16 " 1, 502. 23
7 94, 800. 00
5. 00
7 637, 639. 15
1, 155. 81
42, 633. 63 67, 411. 55
1& 099. 171 5. 00
418& 804. 73 57& 137. 11 42, 959. 74
25. 00 20, 00
1, 501. 23 1, 155. 81
10, 872. 51
108, 950. 77
2, 459. 76
105, 667. 72
52, 166. 37 8, 830. 98
218, 834. 42 189, 822, 68
(44) (47)
Maintenance, naval oper- ating base, Hampton Roads, Va
Naval training station— California
1923
1925 1924 1923
Great Lakes 1925 1924 1923
7, 001. 48
3, 916. 52 4, 272. 08
7 17, 362. 50 7 79. 22
7 149, 573. 07
7 247, 248. 64
86. 50
145, 420. 53 3, 272. 74
90. 00
208, 786. 38 17, 015. 87
78. 89
248, 686. 77 6, 021. 20
521, 603. 62
86. 50
148, 603. 27
225, 730. 03
6& 914. 98
4, 152. 54 643. 78
4, 362. 08
38, 462. 26 346. 63
151. 44
Hampton Roads, Va 1925 1924
Rhode Island 1925 1924 1923
' 8, 509. 73
7 17, 738. 76 755. 77
7 258, 413. 23
7 248, 978. 37 240, 737. 53 17, 379. 80
254, 707. 97
ice retirement and disability fund. " fund. "
258, 117. 33 24-25 account. 4» Transferred from 19
4» See note 48. a Includes 8148. 18 t 17-18 account.
ransferred from "Naval 19
' Exclusive of amount transferred to "Civil serv p 293. " Transferred from "Naval supply account fund " Balance transferred to "Naval supply account " Balance transferred to 1919 account.
55. 77, I
9, 726. 46 2, 488. 53
8, 240. 84 358. 96
supPly account fund" and $1 from
138 RECEIPTS A. ND DISBURSEMENTS, 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in itslicel
Appropriations available in 1925
Appropriations from the general fund year Balances July 1, 1924 Appropriations
Disbursements bv years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
Bureau of Navigation — Con. Naval War College 1925
1924 1923
$10, 034. 64 I, 171. 50
' 3&98, 239. 50 $86, 924. 05 6, 678. 44
34. 13 $1, 137. 37
$11, 315. 46 3, 356. 20
Organizing the Naval Re- serve Force 1925
1924 1923 1922
1917 and prior. Certified claims.
Ocean and lake surveys 1925 1924 1923
Outfits on first enlistment 1920 1919 and prior.
1917-18 1917
Certified claims.
Recreation for enlisted men, Navy 1925
1924 1923 1921
Certified claims.
Schools or camps of in- struction for recruits and Naval Reserve Force 1919
1917-18
7 I& 388, 110. 87
2 678, 260. 40
15, 048. 76 31, 691. 71
"9 536. 98 "I, 044. 20 44 150. 00
6. 32
2 135. 284. 21 2 19, 962. 34
" 156. 97 " 760. 20
' 3, 895, 638. 99'
5, 445. 13
2 S4, 535. 00
49S, 825. 35
98. 20
3, 015, 204. 33 1, 128, 943. 72
3, 383. 80 68. 91 9. 36
5& 445. 13
59, 252. 67 13, 520. 13
186. 80 9, 210. 35
982. 55 150. 00
415, 875. 66 108, 360. 77
91. 87 814. 1&8
98. 20
603. 23
$93, 636. 62
4, 152& 917. 43
72, 772. 80
10, 216. 70'
524, 288. 94
674, 876. 60 68. 91
31, 691. 71
6. 32
19, 983. 61 24. 42
880, 434, 66 259, 167, 15
25, 282. 33 1, 528, 63
(") (45)
(42)
82, 949. 69 26, 923. 44
(46)
(42)
Transportation 1925 1924 1923 1922 1921 1920
1919 and prior. 1917 — 18
1917 and prior. Certified claims.
's I, 671, 529. 05 4' 275, 234. 95
" 4, 615. 98 44
8& 495. 00 "4. 53 " 30. 68 1, 643. 63
2 3, 599, 978. 65
6, 331. 78
2& 234, 850, 274,
4, 7
731. 92 125. 96 412. 49 o06. 6/4
$88. 514 535. 58 662. 15
4. 53 30. 68
331. 78
603. 23
822. 46 506. 64 433. 54
I, 366, 246. 73 821, 403. 09
(") (46)
1, 643. 63
Salaries, Hydrographic Office 1925
1924 1923
125. 00 3, 745. 16
2 292, 500. 00 292, 500. 00 81&6. 1&0
3, 376, 894. 91
3, 745. 16 470. 40
Contingent and miscel- laneous expenses, Hy- drographic Office
Salaries, Naval Observa- tory
1925 1924 1923
1925 1924 1923
' 21, 784. 92 ' ll, 704. 94
888. 18
2 121, 677. 00
' 77, 278. 50
102, 456. 58i 17, 823. 79
914. 74
77, 200. 00' 110. 68
292, 154. 60
121, 195. 11 10, 790. 20
888. 18
19, 220, 42
3, 961. 13
78. 60 1lo. 69
Contingent and miscel- laneous expenses, Naval Observatory 1925
1924 1923
22, 134. 83 ' 487. 20
' Exclusive of atnount transferred to "Civil serrdce retirement and disability fund p. 293.
«Transferred from "Naval supplv account fund. " 44 Balance transferred to "Naval supply account (undi«
Balance transferred to 1919 account.
77, 089. 31,
1 780. 96' 22. 70i 464. 5
23, 239. 23 » Includes 39, 475. 33 transferred from «Naval supply account fund«and 35t +
1917-18 account, " Transferred from 1917-18 account. servtce " E*clusive of 3228, 542. tt transferred to 1923 account and 32787 to ' Ct+ retirement and disability fund, " p. 293.
44 Includes 3228, 542. 11 transferred from 1924 account.
RECEIPTS AND DISBURSEMENTS, 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in italicsl
139
Appropriations available in 1925
Appropristioos froin the general fund Fiscal Balances July
1, 19Ã Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
Bureau of Nasigation — Con. Grounds and roads, Naval
Observatory 1925 1924 1928
$401. 20 281. 44
' $7& 288. 50 $7, 200. 00' 37S. 26
$7, 578. 26 $231. 44
$88. 50 22. 94
Purchase of land, Naval Observatory
Salaries Nautical Alma- nac Office
1924
1925 1924 1923 94. 27
4, 041. 00'
' 80, 186. 00 29, 600. 00 . 06
94. 2?
4, 041. 00
586. 00 . 05
Permanent and indefinite— Naval Home, Philadel-
phia, Pa 1925 1924 1928
18, 742. 29 (ei&)
" 176, 868. 25 161, 400. 58 8, 486. 91
29, 599. 9o'.
169, 887. 44
14, 962. 72 10, 255. 38
Special fund: Navy fines and forfeitures No year.
Less balances of $1, 652. 21 on 1919 and 1920 ac- counts transferred to "Naval supply account fund, " and $219, 62 on 1917-18 accounts trans- ferred to the 1919 ac- counts
er 484& 785 41
5, 298, 788. 68'
1, 871. 83
1, 419, 046, 77 544, 260. 82 544, 260. 32 1, 809, 571. 86
Total, Bureau of Nav- igation 5& 296, 916. 85 12, 878, 905. 20~ 11, 721, 876. 68 873, 997. 48 5, 580, 447. 99
Bureau of Engineering: Salaries, Bureau of En-
gineering 1925 1924 1928
Engineering 1925 — 26 1925
1924-25 1924 1923 1922 1921 1920 1919
1917 — 18 1917
Certified claims.
2, 827. 27 3, 532. 15
' 2, 058, 026. 86j ' 1, 580, 415. 11 eo 245' 124 97
44 187. 501 "' 36. 151
'4 1, 043. 18 44 207. 00
277, 001. 00
' 1, 098, 204. 82 »15, 243, 000. 00
19, 316. 48j
13, 1, 1,
"?4, S00. 00 1, 185. 69
374, 113. 27 923, 873. 18' 741, 339. 31 149, 627. 32i 77, 236. 91~
106, 868. 70~ 68. 69
8/14. 06 h', 081. 90, 1, 006 981
207. 00 19, 816. 43
278, 614. 81
17, 178& 868. 00
3, 532. 15
167, 888. 06 106, 863. 70
62. 69
2, 201. 00 4, 012. 96
724, 141. 55 1& 319, 626. 87
816& 687. 55 430, 787. 79
Engineering (transfer to Department of Com- merce, Bureau of Standards)—
Act Jan. 5, 1923 Act May 21, 1920
1924 1925 1923 «119. 14
eo 2 000. 00j 119. 14
4. 66
119. 14
4. 50 2, 000. 00
Engineering (transfer to Department of the Interior, Bureau of Mines)—
Act June 5, 1924 A. ct Jan. 24, 1923
1925 1924
«75, 000. 00 ' 7, 276. 431
65, 276. 40 65, 276. 40 3, 295. 64i 3, 295. 64
9, 728. 60 8, 980. 79
' Exclusive of amount transferred to "Civil service retirerner&t and disability fund, " "Transferred from "Naval supply account fund. " u Balance transferred to "Naval supply account fund. " c Balance transferred to 1919 account. "Transferred from 1917-18 account. "Transferred froin "iNsvy peiision fund, interest, ' excluding $1, ]86. 75 which ivax
transferred to "Civil service retirement and disability fund, p. 293. u Of the $8, 016. 79 balance $8, 010. 36 was returned to "Nai&y pension fund, intero. t, "
ssd $0. 43 transferred to "Civil service retirement and disability fund, " p. 293.
& Exclusive of sl, 500, 0DD trans/erred to "Naval Hospital Fund. " u Exclusive of $77, 000 transferred to same oblects under Departments of Commerce
and Interior and $130. 000 to "Civil service retirement and disability fund, " p, 293, 4& Exclusive of $10, 950. 66 transferred to "Civil service retirement snd disability fund, "
p, 293 and includes $16. 11 returned from same object under Bureau of Standards and $64 53 from Geological Survev
«Scc note 58. «Exclusive of $16. 11 returned to "Engineering, Bureau of Engineering 1921, "
140 RECEIPTS AND DISBURSEMEJW TS& 19
Disbursements, balances, etc. — Continued
(Repayments to appropriations in excess of dist. ursements are printed in ifalfcsl
Appropriations available in 1925
Fiscaj Appropriations from the general fund Balances July Appropriations 1. 1924
1: sbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
Bureau of Engineering — Con. Engineering (transfer to
Department of the Interior, Geological Survey)—
Act May 21, 1920 1924 1923
$89, 900. 00 " 1, 781. 59' $32, 461, 08
1, 781. 59 $7, 438. 92
Engineering experimental station, Annapolis, Md 1925
1924 1923
High-power radio stations No year. '
Machinery plant, naval station, Cavite, P. I do
1 21, '7,
30,
888. 89, 958. 41
262. 47
159. 94~(
72, 000. 00~ 161, 277. 02 18, 678. 85 7, 357. 77
$34, 242. 67
187, 808. 64 $600. 64
3, 262. 47
30, 159. 94
10, 722. 98 2, 709, 54
Less balances of $5, 599. 61 on 1919 and 1920 ac- counts transferred to "Naval supply account fund, " and $86. 15 on 1917 — 18 account trans- ferred to 1919 account
4, 008, 200. 67
5, 635. 76'
Total, Bureau of Engi- neering, 3, 997, 564. 91~ 16, 886, 572. 25 17, 737, 729. 46 312, 869. 65 2, 834, 038. 05
Bureau of Construction and Repair:
Salaries, Bureau of Con- struction and Repair 1925
1924 1928
Construction and repair 1925 1924 1928 1922 1921 1920 1919
1917 — 18 Certified claims.
' 805, 175. 00
1, 082. 53i
l'415, 227, 550. 00 ' r 1 148 158. 911
'4 179, 903. 87
44 60. 00 "42, 378. 38
4' 85. . 53 80. 71
303, 237. 54 1145. 91
14, 222, 188. 88 978, 959. 82
15, 194. 48 8, 71f&. 71
8. l(8 60. 00
29, 465. 99 85. 53 30. 71
808, 091. 68 1, 082. 58
164, 708. 94 2, 716. 71
8. 43
1, 937. 46 145. 91
1, 005, 366. 62 169, 199. 59
(46)
Construction and repair (transfers to Depart- ment of Commerce, Bureau of Stan- dards)—
Act May 28, 1924 Act May 21, 1920
Construction and repair (transfers, act May 21, 1920)—
To Department of Agri- culture
1925 '
1925 1928
1925, 1924
sr 290. 09
'4 10, 800. 00 '4 2, 940. 00
sr 2, 500. 00
9, 000. 00 2, 200. 00
290. 09
2, 487. 48 17. 85
15& 248, 209. 22
9, OOO. OOI
2, 490. 09
1, 300. 00 740. 00
62. 52 (44)
2& 420. 23 64, 010. 01
260, 466. 57 104, 390. 81
127, 439. 99 14, 115, 85
428, 866. 89
«Transferred from same object under Navy, exdusive of $200 transferred to «Civil
service retirement and disabilitv fund, " p. 293. «Civil «Transferred from same object under Navy, exclusive of $60 transferred to service retirement and disability fund, " p. 293.
4& Exclusive of $16. 91 returned to "Construction and Repair, ferred to "Civil service retirement and disability fund, " p. 293.
«See note 63. " Balance transferred to "Civil service retirement and disability fun%" P 2N "& Exclusive of $3, 568. 22 returned to same object under Navy.
To lVar Department . 1925 " 191, 450. 00 1924 274, 582. 42 1923, ' 104, 390. 31
1, (50, 881. 54 ' Exclusive of amount transferred to ' ' Civil service retirement and disability fund, ' '
p. "93. '& Transferred from "Naval supply account fund. " " Balance transferred to "Naval supplv account fund. " «Exclusive of $64. 53 returned to "Engineering, Bureau of Engineering1923" and $616. 58 transferred to "Civil service retirement and disability fund, " p. 293. 4& Exclusive of $20V, 450 transferred to same objects under Departments of Commerce, Agriculture, and Vt ar, and $170, 000 to "Civil service retirement and disability fund, "
p. 293. « Indudcs $3, 568. 22 returned from same object under Vyar, $16. 91 from Bureau of Standards and excludes $22. 84 transferred to "Civil serviCe retirement and disability fund, " p. 293.
RECEIPTS AND DISBITRSEMENTSJ 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of d!sbursements are printed in italics]
Appropriations from the general fund year
Appropriations available in 1925
Balances July ~ Appropriati s 1, 1924
'on
Disbursements by years
Total disburse ments in 1925
Amount carried I Balances June to surplus fund 30, 1925
8ureau of Construction and Repair — Continued
Less balances of $12, 912. 39 transferred to "Naval supply ac- count fund" and $17. 25 to Civil service retire- ment and disability fund, p. 2 3 93
Total, Bureau of Con- struction and Re- pair
$12, 929. 64
1, 737, 95l. 90 $15, 739, 945. 71, $15, 989, 078. 06, $168, 511. 61 $1, 320, 307. 94
8ureou of Ordnance: Salaries, Bureau of Ord-
nance 1925 1924 1923
Ammunition for ships of the Navy No year.
Ammunition for vessels 1919 1917-18
. 25 1, 452. 00
43, 727. 01 '2 55. 00
' 139, 130. 00 $137, 700. 00 199. 86
137, 570. 64
1, 444. 94~ 1, 444. 94'
55. 00 5o. 00
1, 452 00
1, 430. 00 129. 61
42, 282. 07 (45)
(")
Armor plant, Navy Batteries for merchant
auxiliaries Contingent
No veer
do 1924 1923
569, 367. 25
3, 476. 31 7, 684. 32 7, 535. 47
928. 73
928. 73
450, 000
3, 476 31, '
7, 535. 47
119, 367. 25
6, 755. 59
Experiments 1925 1924 1923 1920 1919
' 4l, 911. 33 '1 30, 579. 29 " 2, 587. 50
' 19", 109. 58I 16&6& 856. 10 34, 079. 86
2, 587. 50 969. 615
202, 553. 82
30, 579 29'
25, 253. 48 7, 831. 47
Experiments (transfer to Department of Com- merce, Bureau of Standards)—
Act January 5, 1923 1924 Act May 21, 1920 1923
Increasing facilities for proof and test of ord- nance material Navy No year. '
Naval Gun Factory, Washington& D. C 1919 '
Naval magazines» Navy mine depot No year. New batteries for ships of
the Navy 1919 1917-18
49. 15 (72)
30. 53
" 14, 713. 05
" 147. 02
14, 713. 05
1/7. 09'
81!. 87
14, 713. 05&
(45)
(45) (47)
49. 15
Ordnance and ordnance stores 1925
1924 752, 768, 136. 20 1923 " 392, 152. 37 1922
~ 1921, 1920 i
4' 2 002. 00
'5 9& 567& 782
1919 and prior. « l. 84 1917-18, " 21& 339. 19
1917 '
Certified claims. '
' Exclusive of amount transferred to "Civil service retirement and disability P. 293.
o Transferred (rom "Naval supply account fund. " u Balance transferred to "Naval supply account fund. " rr Balance transferred to 1919 account. " Transferred from 1917-18 socount. "Includes $12. 37 returned from same object under Bureau of Standards. "See note 71. u Accounts stated under Bureau of Yards snd Docks.
43, 803
fund, "
53I 7, 647, 2, 300,
132,
979. 16 939. 09 943. 48 950. 15' 195. 00 253. 78 781. 08 339. 19,
1, 7. 07~ 803. 41'
1, 919, 803. 37 467, 197. 11
259, 208. 89 250. 15 195. 00
(45) (45)
1,
21, 47. 07'
41 43 l0& 142, 984. 81
" Includes $14, 696. 49 transferred from "&Naval supply account fund. " rr Exclusive of $81, 217. 47 transferred to san&e objects under Departments of Commerce,
Interior aud War, snd $148, 000 to "Civil service retirement end disability fund, " p. 293. &5 Includes $7, 013. 20 returned from same object under XVar Department and excludes
$26, 134. 75 to "Civil Service retirement and disability fund, " p. 293, rr Exclusive of $7, 672. 88 transferred to "Civil Service retirement and disability fund, "
p. 293, and includes $210. 69 returned from same object under War and $6 under Commerce.
RECEIPTS AND DISBURSEMENTS, 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of dis!, ursements sre printed in italics!
Appropriations available in 1925
Appropriations from the general fund Fiscc! Balances July
1, 1924 Appropriations
i & isbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 80, 1925
Bureau of Ordnance — Con. Ordnance and ordnance
stores (transfer to Department of Com- merce, Bureau of Standards)—
Act January 5, 1923 Act May 21, 1920
1924 1925 1924 1923
$505. 00
7 596. 00 " 21. 20
s $ii, 9S5. On $472. 96'
10, 000. 00 272. 70
21. 20
$472. 96'
10, 293. 90
$32. 04 1, 985. 00
323. 30
Ordnance and ordnance stores (transfer to Department of the Interior, Bureau of Mines)—
Act June 5, 1924 Act May 21, 1920
Ordnance and ordnance stores (transfers, act May 21, 1920)—
To War Department
1925 1924
1925 1924 1923
Projectile plant, Navy No year. Reserve ordnance supplies 1919
1917-18
' 139. 95
« 163, 593. 52 5' 9 595. 68
69, 691. 09 " 85. 40
'e 2, 360 ool
sc 66, 857. 47t
2, 265. 48t 58. 75
22, 665. 28t 83, 507. 42
9, 595. 68
51, 068. 80 85. 140
2, 265. 48 58. 7o'
»5, 76S. 38~
94, 52 198. 70
44, 192. 19 80, 086. 10
69, 691. 09
Torpedoes and appliances No year. 1919
1917-19
Permanent and indefi- nite — Special fund—
Ordnance material, pro- ceeds of sales (Navy) (transfer to War De- partment, act May 21, 1920) No year.
Less balances of $57, 965. 12 transferred to "Naval supply account fund, " and $316. 67 on 1917 — 18 accounts transferred to the 1919 account
Total, Bureau of Ord- nance
55 29. 25
17, 504. 81
4, 168, 708. 98
58& 281. 79
4, 110, 427. 19
1 846, 000. 00 154& 254. 81
10, 870, 027. 99
5'1, 1. t&8. 80
154, 225. 56
10, 731, 728. 43!
691, 745. 19 (45)
(47)
17, 504. 81
$752 774. 71 3, 495, 952. . 04
Bureau of Supplies and Ac- counts:
Salaries, Bureau of Sup- plies and Accounts 1925
1924 1923 2,
635. 87 783. 70
' 819, 060. 00~ 812, 520. 311 886. 88
812, 134. 02' 2, 7S3. 70
6, 539. 69 1, 022. 16
649, S69. 35 650, 240. 38 5, 825. 69
7148. 8 1, 1114. 11 1, 243. 09
17, 130. 63, 439. 04' 141. 54
12, 023. 99
Freight 7 1, 300, 109. 73 ss 2, 347, 223. 23
1924 1923 1922 1921 1920
1919 and prior. 1917-18
1917 and prior. Certified claims.
2, 341, 397. 54' 748. 28
1, »411 992. 841 loj. 431
44 1 "17,
(45)
(") (47) 469. 84
141. 541 686. 06 12, 023. 99 686. 06
685, 172. 97i &4 See note 75. 4& Excludes $7, P!3. 2P returned to Navy and $84. 60 transferred to "Civil SerVice
ment snd disability fund, " p. 293. o Exclusive of $210. 69 returhed ro same object under Navy. ts Includes $353, 63 returned irotn earns Object under Wsr snd excludes $0 22 trs~f
to "Civil service retirement and rlisahility fund, " p. 2M. 4' Includes $17, 130. 63 transferred from "Naval supply sct4&unt tuud, " and $80
1917-18 account.
: Err!n'ive of amount transferred to "Civil service retirement and disability fund, " p . 1'mt'. a rr& ! from "N tv &! &up &!5 at- &&tat fund. "
!3, &1 u. r, »t&5 r: I to "s', & t! . t!pp!1 account fund. "
& Tr, u»' rr&! iro. t: ~ . ". o! «! t», l, r Navy exclusive of $15 to "Civil Service
Er&!u. - &c»t, ! it&. 't '. t& =. : «&, » t under Navy.
RECEIPTS AND DISBURSEMENTS. %925 143
Disbursements, balances, efc. — Continued
[Repayments to appropriations in excess of disbursements are printed in italics]
Appropriations available in 1925
Appropriations from tbe general fund Fiscaf Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse ments in 1925
Amount ca& rad, Balances June to surplus fund l 30, 1925
1923 1925 1924 1923 1921 1920
1919 and prior. 1917-18
Certified claims
Maintenance 1925 1924 1923 1922 1921 1920
1919 and prior. Certified claims.
Bureau of Supplies and Ac- counts — Continued.
Freight (transfer to War Department act May 21, 1920)
Fuel and transportation s' $2, 040, 08
' 2, 904, 499. 01 7 4, 211, 803. 19
4' 683. 95 «983. 31
44 4. 50 48. 00
7$14, 492, 000. 00
479. 69
7 515, 536, 14 ' 136, 963. 66
4' 352. 45 44 46. 25
97. 80
,
7 9, 660, 000. 00
$2, 13, 610,
546,
040. 08 927. 41 450. 47 519 861
1A. 00 683. 95 983. 31
4. 501 479. 69'
8, 387, 139. 39i 480, 499. 58
16, 118. 10 18. 1fi o8. 81
352. 45 46. 25 97. 80
$2 P40 08
14, 154, 996. 07'
,
$4 322. 45 , 216, 14. 00
48. Opl
153, 076. 76 18. 471 58. 21
$881, 072. 59 2, 358, 048. 54
1, 272, 860. 61 35, 036. 56
Pay of the Navy 1925 1924 1923 1922 1921 1920
1919 and prior. 1917-18
1917 and prior. Certified claims.
Provisions, Navy 1925 1924-25 1923-24 1922-23 1921-22 1920-21 1919-20
1917 — 19 and prior. 1917 — 18
Certified claims.
ill? 000 000 00 12, 939, 331. 34
8, 265, 065. 77
«31, 399. 72 "34, 241. 76
44 395. 66 «143. 03 1, 040. 47 19, 257. 81
'erll 500 OPO OP " 3, 147, 759. 30 7 279, 895. 69
235& 279. 40
7 9, 583. 000. 00
«6, 399. 78, e'
1& 975. 08' «6. 60 34. 98' 1, 867. 40
108, 115, 5, 477,
707, 58,
816, 175, 81, 1 v',
19&
19, 211, 2, 556,
187,
3&
1&
1&
1,
928. 76t 741. 18 315. 16 798. 68 808, 79 lt88. 68 468. 00 801. 10
29. 01 087. 55'
654. 22 752. 58 421. 79 378. 94 81f1. o5 985. 66 635. 78 190. Jf1f
688. 88 867. 40
8, 851, 945. 69'
113, 780, 001. 51
7, 557, 700. 61 52, 798. 63
216, 208. 79
8, 884, 071. 24 7, 461, 590. 16
(") (45) (47)
114. 02 1, 210. 73
1, 871, 345. 78 591, 006. 72
92, 473. 90 234, 900. 46
241. . 55 985. 66
(") (45)
(47)
34. 98,
Reserve material, Navy No year. t
Permanent ind indefinite— Naval su 1 account
736, 699. 30
15
6, 1 35,
'34, 484. 81
332. 83
63, 619, 193. 57
fund do ' 14, 691, 192. pp )
Naval supply account fund (transfer to War Department, act May 21, 1920) do i 812. 20
Naval working fund do 801. 23' Special funds —,
Clothing and small- stores fund do
Ships' Stores profits, Nav)r do
Trust funds— Pay of the Navy, de-
posit fund do 216, 579. 42 N a v y allotments, sx
(transfer to Veter- ans' Bureau, act Oct. 6, 1917) do 10, 158. 2?
8, 192, 201. 63
577, 498. 09
77, 812. 16
18& 88/ 90 21, 957, 670. 18
18, 884. 90 754, 924. 20
5, 81&0, JIB. 85 5, 8gf0& $4&5. 85~ 19& 931, 637. 50
o, 018, 991&. 18 5, 018, 99'. 18 6, 812. 20
5, 054, 795. 36
8, 225, 472. 91 8, 225, 472. 91
517, 992. 05 517, 992. 05
114, 409. 66 114, 409. 66
1, 213. 53
59, 838. 87
1?9, 981. 92
8, 986'. 50 8, 986. o0 1 t, 084. 77
' Exclusive of a'mount transferred to "Civil service retirement and disability fund, " p. 294.
t' Transferred from "Naval supply account fund. " u Balance transferred to "Naval supply account fund. " " Balance transferred to 1919 account. '& Exclusive of $353. 63 returned to satne object under Navy-. "lncludes $19, 645 transferred from "Naval supply account fund" and $59tl. 76 frotn
191 7-18 account. e Transferred from 1924-25 account.
t'e
19
- Exclusive of fll, 5CO, OCO trsusferred to 1925 account and $449. 73 to "Civil service tirement and disability fund. " » includes $345. 60 transferred from "Naval supply account fund" and $1, 629 48 from 17-18 account. » See footr. ote 90 on next page. n Transferred frozen "Naval supply account fuud" exclusive of $64, 198. 77 to "Civil rvice retirement and disability fund, " p. 294. » Represents allotments of Navy pay under the vvar riel-, insurance act.
RECEIPTS AND DISBVRSE1KENTSe 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in e'taiice]
Appropriations available in 1925
Appropriations from the general fund veer Balances July I, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925i
Amount earned to surplus fund
Balances June 30, 1925
Bureau of Supplies and Accounts — Continued.
Less balances of $329, —
252. 18 transferred to "Naval supply acr ount fund, " and $16, 2, l7. 04 on 1917 — 18 accounts transferred to 1919 ac- counts
Total, Rureau of Sup- plies and Accounts
$345, 509. 22
63, 273, 684. 35 $160, 435, 298. 57 158 820 24 . 26 14 779, 302. 28i$50 109 436 38
» Under the provisions of the act of Mar. I, 1921 (41 Stat. 1169), the "Naval supply account fund" wan debited with $22, 822, 178. 11 transferred to sundry appropriations, and credited with $427, 109. 07 transferred froin sundry appropriations enuxierated below during the fiscal year 1925, by transfer appropriation warrants. The total debits, including $213, 595. 50 transferred to "Civil service retirement and disability fund, " p. 294 alnounted to $23, 035, 773. 61 and were tran5ferred to the following appropriations:
Burcsil of Engineering: Engineering 1920
1917 1917-18 .
Total, Bureau of Engineer- ing
Bureau of Conetructton snd kepoirr Construction and Repair 1920
1919 1917-18
Total, Bureau of Construc- tion and Repair
NAVP DEPARTMENT
Office of the Secretorye Contingent, Navy . 1919
1917-18 Pay, misceHaneous . 1920
1919 1919 snd prior.
1917-18
Total, Oflice of the Secre- tary
Bureau of Navigation: Instruments and supplies 1920
1919 1917-18
Organising the Naval Reserve Force 1917 and prior
Outfits on first enlistment 1919 1919 and prior
1917-18. 191?
Schools or camps of instruc- tion for recruits and Naval Reserve Force 1917-18
Transportation 1920 1919
1919 and prior 1917-18
191? and prior
Total, Bureau of Naviga- tion
$4, 163. 79 3, 021. 72
403. 65 20. 00
191. 11 315. 38
8, 115. 65
25. 00 148. 16
I, 502. 23
9. 36 505. 35
8, 969. 98 I, 044. 20
150. 00
760. 20 4, 615, 98 I, 432. 24 7, 062. 76
4. 53 30. 68
26, 260. 67
137. 50 207. 00
1, 043. 13
I, 387. 63
60. 00 42, 378. 38
35. 53
42, 473. 91
$352. 45 46. 25
31, 399. 72 1, 957. 23
i
17, 687. 77 395. 66
2. 02 135. 92
5. 09 6, 399. 78 I
296. 35 Ea 25 a 60
100, 000. 00
180, 140. 70
808. 12
Bureau of Yards and Docks: Maintenance of yards snd
docks. 1919 . 25. 80
Novel Academy; Maintenance snd repairs. 1920
Bureau, of Aeronouticer Aviation, Navy 1920
1917-18
Total, Bureau of Aeronautics
Afortne Corpse Contingent . 1919 and prior
1913 and prior Maintenance, Quartermaster 's
Department 1920 1919 and prior
1917-18 1917 and prior
Psy. 1920 1919
1919 and prior 1917-18
465. 87
311. 70 241. 0?, 55'2. 77 i
46. 90 9
796. 25
389. 65 I, 599. 67
12. 12 33. 24
I, 565. 12 4, 347. 98 8, 993. 69 3, 535. 35
Nhvv DEPARTbtEN~ontfnued
Bureau of SuppHes and Accoun s- Continued.
Maintenance 1920 1919 and prior
Psy of the Navy. 1920 1919
1919 and prior 1917-18
1917 1917 aud prior
1916 Provisions, Navy. . . 1919-20
1917-19 1917-1919 and prior
1917-18 Naval working fund . . No year
Total, Bureau of Supplies and Accounts
Bureau of Afedtcine and Surgery: Care of hospital patients 1919 and prior
Nhvv DEPARTNENT — continued
Bureau. of Navigation: Instruments and supplies 1919 Out tits on first enlistment 1920
1919 and prior. 1919
Schools or camps of instruc- tion for recrmts and Naval
T Reserve Force . 1919 ransportation . . . 1920
iaia 'I'otal, Bureau of Navigation
$129. 16 126. 20 10?. 93 218. 70
156. 97 N. 40
832. 85
I, 652. 21
bureau, of Enoinee ringe Engineering
Total, Bureau of Engineer- ing
1920. 1919
481. 56 5, 118. 05
5, 599. 61
Bureau, of Ordnance: Ammunition for vessels Experiments Naval Oun Factory, Wash-
ington, D. C New batteries for ships of the
Navy Ordnance and ordnance stores
1919 1919. . 1919.
1919 1920 1919 1919 1919
Reserve ordnance supplies Torpedoes and appliances
Total, Bureau of Ordnance
Bureau of Supplies aiui Accounts: Freight 1920
1919 Pay of the Navy 1920
1919 1919 and prior
Provisions, Navy 1919-20 igI?-Ia
Total, Bureau of Supplies and Accounts
55. 00 969. 64
84. 87
147. 02 748. 22
4, 782. 92 51, 148. 20
29. 25
57, 965. 12
758. 75 30. 80
206, 823. 35 115, 210. '2l
499. 55 2, 764. 00 8, 185. 52
329, 252. 18
Bureau of Afedecrne and Surgerye Medical Department. Iglg 4, 118. 27
Burenu of Construction and Repair: Construction and Repair 1919 12, 912. 39
Bureau of Ordnance: Experiments . . 1920 Navy mine depot No year Ordnance and ordnance stores 1920
1919 and prior 1917-18
Total, Bureau of Ordnance
Bureau of Supplies ond Aceon nfl. Freight 1920
1919 1919 and prior
1917-18 1917 and prior
Fuel and transportation . 1920 1919
1919 and prior . 1917-18.
2, 587. 50 14, 696. 49
2, 002. 00 I. 84
21, 339, 19
40. 627. 02
The credits, amounting to $427, - 109, 07 were transferred from the following appropriations:
I, 992. 84 3, 324. 37
13, 806. 26 469. 84 141. 54 683. 95 151. 61 teil. 70 ~
'4'. 50
Ofgce of the Secretary Pay, miscellaneous
Total, Office of the Secretary
1920 1919
Total, Marine Corps
Increase of the Navy: Increase of the Navy . No year
Total debits transferred to naval accounts
21, 319. 97
22, 500, 000. 00
22, 822, 178. 11
18. 85 I, 353. 33
I, 372. 18
Bureau of Yards and Docket Maintenance of yards and
docks Bureau of Aeronautics:
Aviation, Navy
Iglg 1, 011. 23
5. 00 335, 75
1920-- 180. 58 1819" 2, 595711
5, 578 75
Pay
Total, Marine Corps Total credits transferreil
froru naval accounts 42?, 109. 07
1920 4, 296. 68 19 18. — 5 851 I I
T 1. I, B I A 11 18, 197. 79
ftfarine Corps. ' Maintenance, Quartermaster's
Department
RECEIPTS AND DISBUIfSEMENTS, 1925
Disbursements, balances, etc. — Continued
(Repayments to appropriations in excess of disbursements are printed in ital!eel
145
Appropriations available in 1925
Appropriations from the general fund (sc veer Balances July
I, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
Care of the dead, Bureau of Medicine and Sur- gery
Care of hospital pati 1925
ents 1924 1923
1919 and prior.
Bureau of Medicine and Surgery; Salaries, Bureau of Medi-
cjne and Surgery 1925 1924 1923
Bringing home remains of officers, etc. , Navy De- partment 1924
1923 1921-22
$858. 84
' 6, 574. 31 19, 820. 15
37, 077. 52 3, 504. 79 " 808. 12
r $70, 804. 50
1 39, 998. 66
$70, 800. 00 81(8. 86
6, 345. 83 11. 74 far. 18
81, 255. 69 11, 094. 31
77. 08 808. 12
$70, 556. 14
6, 333. 44,
31, 255. 69'
$858. 84
19, 808. 41 24. 18
3, 427. 71
$4. 50 243. 86
228. 48
8, 742. 97 25, 983. 21
Contingent 1925 1924 1923
Certified claims.
1 145, 068. 50 r 45, 449. 17
' 394, 777. 07
40. 00
273, 953. 68 104, 259. 98
511. 57 40. 00
11, 979. 51
45, 960. 74
120, 823. 39 40, 808. 52
Medical Department 1925 1924 1923 1922 1921 1919
Certified claims.
360, 643. 79 178, 900. 46
' 1, 809, 856. 46
31 169. 95
1, 608, 458. 26 237, 034. 08
895. 06 18. 88
b98. 88 Jo 118. 87 8, 169. 95
377, 742. 09
1, 843, 532. 30
179, 295. 52 18. 28
098. 38
201, 398. 20 123, 609. 71
(46)
Hospital facilities and services, Navy Depart- ment No year.
Medical and hospital serv- ices, Navy Depart- ment 1923
Naval hospitals ss
Permanent and indefinite— Special funds—
Naval hospital fund No year. Naval hospital fund
(transfer to War Department, act May 21, 1920) do
Less balance of $4, 118. 27 transferred to " Naval supply account fund, " and $68, 863. 85 returned to medical and hospital services, Veterans' Bu- reau, 1923
ss 618. 40
68, 865. 82
'" 3, 586, 726. 75
11, 345. 21
4, 466, 261. 83
72, 982. 12~
298. 47
l. 97
816, 342. 57 645, 825. 09
298. 47
l. 97
645, 825. 09
319. 93
(s4)
8, 757, 244. 23
11, 345. 21
Total, Bureau of
!
Medicine and Sur- gery 4, 393, 279. 71 3, 134, 989. 21 2, 987, 524. 70 249~ 992 01 4r 290' 752 21
' Exclusive of amount transferred to "Civil scrvico retirement and disability fund, " p, 294.
«Transferred from "Naval supply account fund. " u Balance transferred to "Naval supply account fund. " " Exclusive of $9, 250 returned to same object under Veterans' Bureau and $0. !!0 to
"('ivil service retirement and disability fund, " p. 294.
u Balance returned to "Medical and hospital services, Veterm s' Bureau, !923. " u Accounts stated under Bureau of Yards and Docks. rs Includes $1, 500, 000 transferred from "Navv fines and forefeiturcs" and excludes
$5, 296. 36 io "(:ivii service-retirement and disability fund, " p, 294
146 RECEIPTS AND DISBVRSEMENTSr 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in italics]
Appropriations available in 1926
Appropriations from tho general fund year Balances July 1, 1924 Appropriations
Disbursements by years
Total disbume- ments in 1925
Amount carried to surplus fund
Balances June 30, 1926
Bureau of Yards and Docks: Salaries, Bureau of & ards
and Docks 1925 1924 1928
i
Contingent 1925 1924 1923
Maintenance, Bureatt of Yards snd Docks 1925
1924 1928 1922 1919
Certified claims.
$0. 35 192. 59
' 42, 151. 12 11, 485. 54
' 458, 146. 54 "589. 16
4'25. 80
' $231, 576. 00
" 174, 200; 00'
r 6, 142, 500. 00'
846. 94
$231, 054. 03 68. 81
103, 862. 22 35, 208. 20 11, 094. 76
5, 503, 442. 90 486, 261. 16
200. 21 18. 74
088. 7&8I
846. 94'
$230, 990. 72
150, 160. 18
5 939 752 04
$192. 59
390, 78
338. 95 13. 74
$521. 97 63. 66
70, 387, 78 6, 947. 92
639, 057. 10 16, 885. 38
Maintenance, Bureau of Yards and Docks (transfers, act May 21, 1920)—
To Department of Com- merce, Coast and Geodetic Surved
To War Department 1924 1924 5, 000. 00 1923 117. 08
Bridge, navy yard, Ports- mouth, N. H No year.
Depots for coal do Handling appliances at
navy yards do Improvements at ordnance
stations do Marine barracks-
Qusntico& Vs do San Diego, Calif do
Marine recruiting station, Port Royal, S. C do
Naval sir station site, Cape Msy, N. J do
Naval ammunition de- pots—
Fort Lafayette, N. Y do Iona Island, N. Y do Lake Denmark, N. J do Mare Island, Calif do Pearl Harbor, Hawaii do Puget Sound, Wash do
Naval coal depot, Vlel- ville Station, R. I do
Naval fuel depot, San Diego, Calif do
N s v a 1 operating base, Hampton Roads, Va do
Naval proving ground, In- dianhead, Md do
Naval training camps do Hospitals and m, dies(
supply depots do Naval hospital—
Fort Lyon, Colo do Newport, R. I do Norfolk, Vs do Puget Sound Ws. h do Snu Dieg», Calif do
' Exclusive of amount transferred to "Civil ser &cc p. 294. " Transferred from "&Vocal supply account fund.
&& B&dance transferred to "X &cal supply account
1, 11&6. 1&6i
3, 474. 57 117. 08
1. 1J&6. 7&6
8, 591. 65
1, 146. 46 1& 525. 43
44, 107. 75 10, 654. 05
r 42, 886. 26 r 448, 407. 12
72, 871. 10
r 612, 901. 68
781. J&&
911. 86
760. 02
1&
24 1, 781. 1&9
24, 911. 36 412, 841. 71
2, 760. 02 2 111. 08
802& 136. 76
42, 180. 42 91& 516. 86
17, 602. 00
329, 263. 83
10, 764. 92' 10, 764. 92 300, 000. 00
258. 00 258. 00, 732. 66 481, 732. 66!
318. 30 1, 313. 30
' 42, 488. 42 r 578, 249. 52
r 18, 915. 30
481,
329, 263. 33
960. 00 ' 9, 859. 20 r
8& 715. 05 ' 5, 587. 95 r 151, 217. 83
' 5, 018. 08
960. 00 8, 869. Il 2& 844. 33
31, 62 96, 701. 26
4, 998. 86
990. 09 5, 870 02 5, 506. 33
49, 936. 08
8, 869. 11 2, 844. 33
81. 62 96, 701. 26
4, 993. 86 4, 580. 51
19. 22
15, 000. 00
60, 000. 00
99, 871. 98
2& 522. 77 179, 904. 59
876, 982. 89
15, 000. 00
' 781. 69
' 104, 784. 36
'43, 341. 81 ' 179, 428. 19
' 2, 776, 634. 38
27. 66 754. 03
5, 390. 67
2, 595. 00 481. 7&0
99, 611. 99
60, 000. 00 754. 03
5, 390. 67 21. 71
38, 224. 04 2, 595. 00 48L 1&0
99, 611. 99 1, 800, 040. 80
4, 782. 38 4, 782. 86 (ee)
450. 00 (ee)
489, 800. 16I
450. 00
384, 841. 21 884, 841. 21 104, 958 9'&
vice retirement and d
fund. "
isabilitv fund, " &' Excludes 3661. 39 transferred to "Civil service retirement snd dtf&ability ftmd'
p. 294. » Balance transferred to "Civil service retirement snd disability f und, "
p 294.
RECEIPTS AÃD DISBI. RSEMENTS, 1925
Disbttrsements, - balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in italics]
147
Appropriations available in 1925
Appropriations from the general fund Fiscal Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
Bureau of Yards and Docks— Continued.
Naval magazine— Dover, N. J No year. l
Kushua, Hawaii do Fort Mifllin, Pa do New York Harbor do Puget Sound, Wash do
Navy yard— Boston, Mass do Charleston, S. C do Mare Island, Calif do New York, N. Y do Norfolk, Vs . do Philadelphia, Ps do Portsmouth, N. H do Puget Sound, Wash do Washington, D. C do
Naval station- Csvite, P. I do Gusntsnsmo, Cuba do Guam do Key West, Fla do New Orleans, Ls do Pearl Harbor, Hawaii do San Diego, Calif do St. Thomas, Virgin Is-
lands do Tutuila, Samoa do
Naval training station— Great Lakes, buildings do Rhode Island, buildings do San Diego, Calif do
Ordnance storage do Power plants and dist, ri-
buting systems, navy yards and stations do
Quarters for marine guards at naval magazines do
Submarine and destroyer base, Columbia Rivei do
Submarine base- New London, Conn do Pearl Harbor, Hawaii do
Supply depot, Marine Corps, San Francisco, C alif do
Temporary storage facili- ties, Navy do
Naval torpedo station, Keyport, Wash do
Less balance of $1, 011. 23 transferred to " Naval supplv account fund"
f $9, 751. 77 2, 543. 89
298, 986. 00 7 10, 466. 70
' 442. 19
f 72, 836. 88 7 41& 894. 72
f 426, 802. 81' f 148, 309. 89
7 75, 172. 62 f 8, 555. 15
78. 86 f 141& 283. 98 f 121& 058. 68
$220, 30,
785, 71, 50, 50,
f 89, 350,
50,
000. 00' 000. 00, 500. 00( 000. 00' 000. 00 000. 00 797. 72 000. 00 000. 00
29, 490. 58 ' 45& 487. 52 f 84, 486. 89 r 14, 004. 20
(ss) 7 618, 411. 00
r 55, 592. 86 f 22, 753. 06
7 122, 880. 80 (s)
141& 14&
33&
000. 00 000. 00 000, 00
198, 000. 00 ' 154, 950. 85
8, 500. 00 f 86, 994. 86
115, 000. 00
40, 000. 00 2& 121. 05
f 15, 342. 19
f 1, 765. 25
8, 857, 326. 10
500& 000. 00
85, 000. 00
1, 011. 23
5, 486. 67
1 4, 888. 13
f 87, 012. 34
4, 642. 27 f 108, 666. 83 50, 000. 00
$4, 800. 44 644. 52
9& 369. 75 228. 45
106, 744. 07' 54, 154. 13i
656, 688. 36 106, 893. 80 85, 640. 16 30, 201. 64 15& 432. 29
216, 714. 64 56, 582. 60
117& 156. 06 32, 286. 18 39, 177. 72 -3, 052. 34
509, 048. 71 8, 681. 68
2, 625. 00 29, 385. 27
25, 787. 87 18, 527. 77 35, 694. 52
2, 121. 05
10, 657. 86
8, 809. 00 104, 031. 45
835, 220. 47
8/8. 85
33, 688. 98
$4, 800. 44 644. 52
9& 869. 75 228. 45
106, 744. 54, 154.
656, 638. 106, 893. 85, 640. 80, 201. 15, 432.
216, 714. 56& 582.
117, 156 32, 286 89& 177
8, 052
07 13 36 80 16, 64 29 64I 60(
06 18 72 84
10, 657. 86
8, 809. 00 104, 081. 45
835, 220. 47'
8~. 65
33, 688. 98
509, 048. 71 3, 681. 68
2, 625. 00 29, 885. 27
25, 787. 37, 18, 527. 77 35& 694. 52
2& 121. 05
$213. 74
7, 303. 29 249. 24'
6, 046. 81
8. 15 17, 564. 86
3. 15 2, 878. 23
86. 70,
461. 87
486. 67
4, 883. 13
7, 251. 27&
15 685 84I
$5, 451. 33 1, 899. 37
298, 936. 00 1, 096. 95
186, 092. 81 10& 437. 80
554& 915. 21 112, 416. 09
39& 532. 46 22, 806. 70 24& 444. 29
274, 511. 19 96, 906. 67
58, 834. 47 27, 201. 34 28, 305. 52
8, 078. 63
307, 325. 59 151, 819. 17
875. 00 57, 609. 59
144, 894. 12 4, 225. 29
126, 686. 28
26, 354. 48
54, 635. 88
164, 779. 53
53, 076. 27
Total, Bureau of Yards snd Docks 8, 856, 314. 87 9, 678, 987. 42 10& 092& 108. 21 2, 625, 828. 94 5, 817, 370. 14
ability fund, "p. 294. » Balance transferred to "Civil service retirement and disabilityfund, " p, 294. ' Exclusive of amount transferred to "Civil service retirement and dis
148 liECEIPTS AND DISBURSEMENTS& 1925
Disburgemeftts, balavtces, efc. — Continued
[Repayments to appropriations in excess of disbmsements are printed in ffsficsj
Appropriations from the general fund year
Appropriations available in 1925
Balance ul 1924 Appropriations
I
Disbursements by years
Total disbmse- ments in 1925
Amount carried Amount to surplus fund
Bala»sea June 30, 1925
Awiasjon, Navy 1925 1924 1923 1922 1921 1920 1919
1917 — 18 Certified claims.
Bureau of Aeronauficsf Salaries, Bureau of Aero-
nautics 1925 1924 1923
~ 265, 000. -' 6, 583, 850.
s 840, 010. ' 37. 5 21.
&' 311. &2 20
«24L
0, 942. 75 00 '14, 48 00 60, 08', , 91I 70 09' 0?!
301, 958. 54
7 $174, 385. 50 $4. 92
2, 90L 28.
$173, 900 8, 118.
6, 845, 219. 4, 877, 552.
520, 824. 1, 990. 8, 607. 8, 98'. 5& 881.
220. 301, 958.
00 86',
48 73 72 50 99 9 09 98 54
$170, 786
12, 530, 362. 66
$2,
319, 185. 88 2, 027. 58 3, 629. 20
7, 900, 723. 27 1 706, 297. 27
$485. 50 3, ll&. 2&
90L 28
Aviation, Navy (transfers to Department of Commerce, Bureau of standards)—
xct Jsn. 5, 1923 act Msy 28, 1924 Act Msy 21, 1920
1924 1925 1925 1924 1923 1921
7 13 D
376. 46, '
600. 49 793. 55'
4 83, 255. 00! s 2, 750. 00
8, 071 793
is 91
30 55
201. 48 30, 036. 32
201. 48 30, 036. 32
174. 9& 3, 21K 6& 2, 750. 00 5, 529. 19
Aviation, Navy (transfers to Department of the Interior, Bureau of Mines)—
Act June 5, 1924 Act Jsn. 24, 1923 Act Msy 21, 1920
Aviation, Navy (transfers, sct May 21, 1920)—
To Advisory Committee for Aeronautics
1925 1924 1925 1924 1923
1924 1923
7 12, 094. 62'
1, 919. 47~ " 23, 478. 43!
3, 000. ooi
' 52, 500. 00
s 22, 500. 00,
49, 570, 10, 224.
942. 1& 322.
23, 478.
3, 000. ie8
67 24 78 04 43
8, 842. 94
49, 570. 67 10, 224. 24
25, 743. 25
2, 929. 33 1, 87(l 38
21& 557. 22 597. 43
To Department of Ag- riculture 1925
1924 1922
s 28 250 00 27, 800. 00 is 68. lP
19. 08
2 , 996. 74!
45(1 00 5. 99
(s)
To War Department 1925 1924 1923
"95, 992. 63 's 6, 939. 01
s 479, 057. 25~ 169, 483. 23 87, 450. 78
6, 939. 01
27, 719. 49
263, 873. 02'
309, 574. 02 8, 541. 85
i Exclusive of $619, 057. 25 transferred to same objects under Departments of Commerce, Navy, Agriculture, and % ar, and $50, 000 to "Civil service retirement and disability fund, " p. 294.
i Exclusive of $109, 335 transferred to "Acqu sition of sites, Aviation, Navy, " $57, 926. 34 to " Civil service retirement and disability fund, " p. 294, and includes $49 66 returned from same object under %'ar.
i Exclusive of $265, 060 transferred to 1925 account, $41. 42 to "Civil service retirement and disability fund, " p. 294, and includes $247. 50 returned fmm same object under War, $101. 62 under Bureau of Standards, $1, 597. 27 under Bureau of Mines, $3. 26 under Advis- ory Committee for Aeronautics.
& Returned from accounts as follows: Upkeep, helium plant Petrolia. Tex. , 1922 Eelium exploration and research, 1922 Aviation, Navy (transfer to Agriculture), 1922
i Returned from same object under Bureau of Standards. ~ Transferred from same object under Navy Department, exclusive of $745 transferred
to "Civil service retirement a»d disability fund, " p. 294. ' Exclusive of amount tran&ferred to "Civil service retirement and disability fund, " p. 294.
i See note 1. & Exclusive of $101. 62 returned to same object under Navy. «Repayments retmned to same object under Navy. » Exclusive of $1, 597. 27 returned to same object under Navy and $641 60 tranafeired 4'
"Civil service retirement and disability fund, " p. 294. » Balance and $62. 44 repayments transferred to "Civil service retirement and &0
bBity fund, " p. 294. 'i $11. 66 of this balance transferred to "Civil service retirement and dfsabmty fun&t
p. 294, and $0. 42 returned to same object under Navy. " Excju'sive of $49. 66 returned to same object under Navy. ii Exclusive of $247. 50 returned to same object under Navy. «Transferred from "Naval supply account fund. " && Balance transferred to "Naval supply account fund. " " Balance transferred to 1919 account. && Transferred from 1917-16 account.
Transferred from 1923 account.
RECEIPTS AND DISBURSEMENTS& 1925
Disbursements, balances, eic. — Continued
[Repayments to appropriations in excess of disbursements are printed in ffofics]
149
Appropriations available in 1925
Appropriations from the general fund Fiscal
Balances July 1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
Bureau of Aeronautics — Con. Acquisition of sites, Avia-
tion, Navy No year.
Less balances of $10, 147. 79 transferred to "Naval supply account fund, " $20. 09 on 1917 — 18 ac- count transferred to 1919 account, $25. 59 re- payments on "Aviation, Navy (transferred), " re- turned to same object under Navy and $74. 10 transferred to ' 'Ci vil service retirement and disability fund, " p. 294
Total, Bureau of Aero- nautics
" $109, 335. 00
7, 959, 928. 31',
10, 267. 57
7, 949, 660. 74 $15, 575, 599. 04'
$58, 335. 00 $58, 335. 00
13 743. 94 178 692 45 $327
$51, 000. 00
10, 018, 823. 39
1926 1924 1923
Maintenance snd repairs 1925 1924 1923 1922 1920
Naval Academy: Buildings and grounds No year. Current and miscellaneous
expenses
' 62, 066. 10
18, 192. 57 8, 691. 35
7 145, 119. 78 '24, 063. 37
"465. 87
7 90, 516. 88
' 1, 001, 406. 97
23, 177. 20
73, 220. 43 7, 554. 74
22. 75
935, 803. 24 132, 434. 64
9, 347. 00 886. J&o
465. 87
80, 797. 92, 8, 668. 60
14, 716. 37 386. 45
1 077 664 30
23, 177. 20, 20, 722. 75 18, 166. 15
17, 296. 45 10, 637. 8&3
115, 603. 73 12, 685. 14
ay P 1925 1924 1923
' 108, 470. 56 '. 84, 793. 61
' 836, 897. 77 776, 923. 18 65, 598. 15
84, 793. 61 842, 521. 33~
59, 974. 59 42, 872. 41
Total, Naval Academy
Marine Corps: Contingent 1919 and prior.
1913 and prior.
451, 863. 21
44 46. 90 44 796. 25
1, 978, 821. 62
46. 90 796. 25
2, 024, 160. 75 129, 287. 78 277, 236. 30
1925
1925
1924 1923 1922 1921 1920
1919 and prior. 1917-18
1917 and prior. Certified claims.
General expenses& Marine Corps
General expenses, Marine Corps (transfer to lVar Department, act May 21, 1920)
Maintenance, Quarter- master's Department, '5 239, 222. 51
55 833 416 53
44 389. 65 " 1, 613. 67 "12. 12 "33. 24
»8& 870& 880. 06
»25, 919. 94
1, 639. 29
17, 598. 10 17, 598. 10
180, 818. 87 080. 66 899. 76 671, . 1, 8 3S4. 65 277. 92
1. 88 33. 24
639. 29 181, 989. 90l
6, 461, 843. 42 6, 461, 843. 42
837, 557. 19 299. 76 o74 43
2, 409, 036. 64
8, 321. 84
359, 540. 78
(45) (45) (47)
Maintenance, Quarter- master's Department (transfer to War De- partment, sct May 21, 192 0 )------------ 1924
1923 "15, 652. 68
'5 2, 693. 75 11, 422. 48
2, 693. 75- 14, 116. 23
4, 230. 20
p. 294. ' Exclusive of amount transferred to "Civil service retirement and disability fund, " » Transferred from "Aviation, Navy, 1924. " 4& Exclusive of $25, 919. 94 transferred to same object under War snd $15, 000 to "Civil
service retirement snd disability fund, " p. 294. » See note 17. » Exclusive of $1 1, 414. 93 transferred to "Civil service retirement snd disability fund, " p. 294, aud includes $2, 505. 03 returned from War. '4 Exclusive of f293. 63 transferred to "Civil service retirement snd disability fund, " p. 294, snd includes $1, 111. 13 returned from Wsr.
44 Includes $1, 599. 67 transferred from "Naval supply account 1917-13 account.
» Exclusive of $2, 505. 03 returned to Navy. » Exclusive of $1, 111. 13 returned to Navy. «Transferred from "Naval supply sccound fund. " 44 Balance transferred to «Naval supply account fund. " " Balance transferred to 1919 account.
fund" and $14 from
150 RECEIPTS AND DISBURSEMENTS2 1926
Disbtsrsements, balances, ete. — Continued
[Repayments to appropriations in excess of disbursements are printed in italics]
Appropriations available in 1925
Appropriations from the general fund year Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
Marine Cor ps — Continued. Marine Barracks " Pay 1925
1924 1923 1922 1921 1920
1919 and prior. 1917-18
Certified claims.
Pay of civil employees, Marine Corps 1925
Reserve supplies No year. Permanent and indefi-
nite— Trust funds-
Pay of Marine Corps, deposit fund do
Marine Corps allot- ments" (transfer to Veterans' Bu- reau, act Oct. 6, 1917) do
Less balance of $3, 078. 09 transferred to "Naval supply account f und" and $2, 494. 79 on 1917— 18 accounts transferred to 1919 account
Total, Marine Corps
$2, 319, 173. 18 1, 223, 74b. 09
44 1, 565. 12 25 15' 822 46 "3, 535. 35
1 361 306. 63
$16, 482, 639.
3, 650.
7 167, 429
00
12
47
5241 268. 12
857. 14
6, 544& 211. 39
5, 572. 88
6, 538, 638. 51
$14, 626, 423. 12 I, 357, 717. 94,
46, 092. 18 811. 09 808. 81
1, 384. 54 13, 265. 70
1, 054. 56 3, 650. 12
$16, 047, 968. 86
167, 427. 68 167, 427. 68
403, 813. 00 599, 142. 18 599, 142. 18
25, 955, 970. 88 23, 186, 779. 39
$1, 177, 653. 91l 811. 09 808. 21
$1 856, 215. 88 961, 455. 24
(") (45)
(47)
1. 79 1, 361, 306. 63
328, 938. 94
1& 077. 47
2 017, 704. 59 7, 290, 125. 41
Increase of the Navy: Increase of the Navy No year. Increase of the Navy
(transfer to War De- partment, act May 21, 1920) do
Increase of the Navy, ammunition do
Increase of the Navy, armor and armament do
Increase of the Navy, armor and armatnent (transfer to War De-
"38, 332, 146. 09
1, 885& 337. 29
72, 421. 48
74, 245. 04
725 285 504. 10 33, 300, 401. 85 33, 300, 401. 85
5, 785. 96 5, 785. 96
194, 867. 52 194, 867. 52
30, 317, 248, 34
1, 690, 469, 77
72, 421. 48
68, 469. 08
partment, act Mar. 4, 1915)
Increase of the Navy, con- struction and machin- e
Increase of the Navy, tor- pedo boats
Increase of the Nttvy, tor- pedo-boat destroyers
Improving and equipping navv vards for construc- tion of ships
Naval emergency fund Na va1 emergency fund
(transfer to War De- partment, act Mar. 4, 1915 )-
do
do
do
do
do do
do
80. 20
408, 671. 45
9, 281. 64
845, 646. 92
75 574, 16 7 473, 637. 07
152, 053. 23
15. 00 15. 00
13. 55 13. 55
30, 511. 65 30, 511. 65
137, 248. 05 137, 248. 05 5, 574. 16
g5. 20
408, 657. 90
g, 281. 64
846, 646. 92
336, SS9. 02
121, 641. 68 ' Exclusive of amount transferred to "Civil service retirement and disability fund, "
p. 294. 2' Accounts stated under Bureau of Yards snd Docks. » Includes $13, 34l. 07 transferred from "Naval supply account fund" snd $2, 480. 79
from lsl -t&, 1000&tnt. 15 Beati&cot. ::Ituttiii tits of aiarine corps psy under the tvsr risk insurance act. &7 Ioi lit lrs 5'%, 500, 000 transferred from "&inaval supply account fund" and excludes
$7, 71'. &, 0', '&s trt&nsferred tu "Increase of the &Navy (transfer to war Department). "
" Includes $1, 759, 025. 28 transferred from same object under Navy during ffsctd y~ 1925.
«Transferred from "Naval supply account fund. " 44 Balance transferred to "Naval supply account fund. " 47 Balance transferred to 1919 account.
RECEIPTS AND DISBURSEMENTS, 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in i(otter]
151
Appropriations available in 1925
Appropriations from tbe general fund Fiscal year Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse- ~
Amount carried Balances June ments in 1925 to surplus fund 30, 1925
Increase of the Navy — Con. Alterations to naval ves-
sels Scrapping of naval vessels
No year. 1924-25 1923-24
1923
ta $557, 042. 'o 3, 122, 610.
5.
4 $999, 7OS. IS 92, 2, 500, 000. 00 22
$147, 306. 42 1, 242, 615. 83 3, 122, 610. 22
5. 88
$147, 306. 42
4, 365, 231. 93
$S52, 491. 76 1& 814& 42(. 09
Total, Increase of the XS4 Y 45, 938, 753 59, 28, 785, 302. 28 38, 181, 351. 93'.
, $5, 574. 16 36, 537, 129. (8
Navy miscellaneous- Clsims reported by Court
of Claims under Bow- man and Tucker Acts, etc No year.
Claims f or damages by collision with naval ves- sels do
Claims for damages, act Dec. 28, 1922, Navy Department do
Indemnity for lost prop- erty, Naval Service, act of Mar. 2, 1895 Certifie claims.
Judgment, owners, etc. , barkentine Mabel I. Meyers, under sct of Aug. 21, 1916 iVo year.
Judgments, bounty for de- struction of enemies' vessels do
Judgments, Court of
22 649
21' 64, 482. 20 64, 482. 20j 405 64, 482. 20
38, 202. 57j 38, 202. 07 712. 92 42& 415. 69
249. 00
1, 058 88'
6 '
89 976, 689. 34
66. 87'
276, 554. 40
66. 87, '
276, 554. 45'
426, 662. 52
59, 368
105, 653
200, 369
3' 8, 016
32, 413
Claims, Navy do Judgments, United States
courts, Navy do Navy pension fund,
interest do Prize money, Battle of
Manila Bsy do Payment of certain claims
arising under the Navy Department do
Payment for certain serv- ices arising under the
426, 662. 52' 252, 705. 27 97
36 (4-')
34j
2, 372. 59
Navy Department do Payment to Government
of Canada do Refund of stolen deposits
of enlisted men, Navy and Marine Corps do
Refund to Panama Rail- road Co do
Reimbursement to enlisted men, iVsvy, for clothing snd bedding destroyed do
Reimbursement to- Certsin persons for loss
of private funds while atients at United tates naval hospital,
naval operating base,
4& 470. 76' 4, 470. 76 4, 470. 76
648. 62
4, 890. 67 4, 890. 67 4, 890. 67
147. 51
0 0
425. 00 113. 00
388. 41, 388. 41, 36. 59
4 Appropriation of 3444, 005. 33 4vas transferred as fono&rs: Naval Home, Philadelphia, Pa. , 1925 Navy pensions, 1925 (Interior pensions)
Hampton Roads, Vs do 105. Netherlands Govern-
ment do Gus Potter do
p. 295. ' Exclusive of amount transferred to "Civil service retirement and disability fund, " " Transferred from 1923-24 account. " See note 29. 4' Balance of 312, 732. 26 transferred to "Navy pensions, 1925, " and this balance of 3tt01636 tres returned from "Naval Home, Philadelphia, Pa. , 1923. "
73270 — 26 — 11
649. 22
400. 21
4, 926. 04
249. 00
1, 058. 88
59, 301. 80
805, 788. (8
26, 412. 72
8, 016. 36
32, 413. 34
2, 372. 59
21. 15
147. 01
105. 00
113. 00
3122, 5500 00 266, 455. 33
152 RECEIPTS Ah D DISBURSEMEh TS 1925
Disbursement. s, balartce, efc. — Continued
[Repayments to appropriatiocs in excess of disburseamnts are printed in ifoffcs]
appropriations
appropriations available in 1926
appropriations from the general fund Balances July
I, 1924
Disbursements bv years
i
Total disburse- ments in 1926
amount named to sarplus fund
j
I
Bafaatm Jugs
do Chester J. B. Platt San Diego Consolidated
Gas dt Electric Co George T. Tobin 8t Son Estate of Capt. D. H.
Tribou Permanent aud indefinite—
Bounty for destruction of enemies' vessels
Certified
do
do do
C[0
(io claims.
Trust funds— Navy pension fund,
principal No year. Prize money to captors do Prize money to captors,
Spanish War do Payment of Japanese
award do
Nauff miscellaneous — Con. Relief of-
Perry E. Borchers No year. Estate of Robert AI.
Bryson do Grace Buxton do DeEimpke Construc-
tion Co do Flora M. Herrick do Rear Admiral Joseph L.
Jayne do William H. Lee do Estate of Filer IlcCloud do William D. Mullen Co do Alice E. O' NeiL do Owners of American
schooner Walter B.
$346. 45
828. 29
85. (o
269. 64
24S. 9S,
52, 280. OS o
14, 805, 266. 59 429, 301. 55'
26, 723. 89
28, 492. 18
812, 299. 41 1, 500. 00,
5, 655. 69, '
432. 00;
3, 598. SO
2, 000. 00;
2, 500. OOI
170. 3(
2, 632. oi
2, 667. 00:,
6, 746. (2i
$12, 299. 41 1, 500. 00
o, 655. 69 432. 00
3, 598. 80, ' 828. 29~
2, 000 00', 85. 75, '
2, 500. 00i
170. 37
2, 632. 57 248. 98
2, 667. 00[
21. 49(
14. 83(
$12, 299. 41 1, 500. 00
5, 655. 69 432. 00
3, 598. 80 828. 29
'2, 000. 00 85 75
2, 500. 00
170. 37
2, 632. g7 248. 98
2, 667. 00
21. 49
$346. 45
269. 64
52, 280. 08 . 56
14, 812, 013. 31 429, 280. 06
26, 709. 06
28, 492. 18
Total, Navy miscella- neous 15, 756, 574. 20 1, 385, 856. 49 850, 373. 63 $685. 21 16, 291, 37L 94
General Account of Adua((ces
618. 22,
223. 2S,
Total, general account of advances » 267, 394. 94
General account of ad- vances st (new) No year. » 22, 892,
General account of ad- vances» do 22, 62o,
16, 422, 590. 52i I
201, 660. 58
t' 39, 315, 208. 74
5, 702, 276. 31
16, 624, 251. 10 16, 721, 286 39[ 3433)612, 932. 43
16& 422, 509. 52
201, 660. 58 16, 721, 286. 39
Total, Navy Depart- ment ss
POST OFFICE DEPART- MENT
[appropriatioas made for the Post Oifice Department beginning with the fiscai year 19%, are payable from postal revenues escept postal defi- ciencies, and not from the genera! fund of the Treasury as heretofore]
(Payable from the Treasury'
169, 644, 188. (2 307, 71(, 096. 46 ;326, 365, 466. 65i 39, 716, 417. 97 ill 279 400 56
Salaries, etc. : Salaries, Post Office De-
partment Certified claims. Salaries, Bureau of Ac-
counts. Post Office De- partment 1922,
Total, Post Office De-
24. 18
24. 1S
24. 18'
8+ 18
18
84. 18 24. 18
24. 18 » "Gcm & il account of advances" (new) was opened oa July 1, 1922, and charged with a'~'. 6!?-'. ". s?', the «mount of cash ia the bands of the disbursing oflicers of the Niavy as ( 1 i bai 1 i e. winch amount was a part of the old debit balance in "General account of
))dvandva. " The debit b«lance, 322, 692, 618. 22, at the beginning of the fiscal year 1923 in lu i(s gr«, ( n. & transferred to "Civil service retirement and disability fund, " p. 296. The debit balance, 939, 31 . Jjs. 4, «t the close of the veer represents the unadjusted dis- bursements in the new account and offer the total balances, Navy Department.
'( Debit balance. » "General account of advances" fold) was charged ~th ~ ~ mencement of the fiscal year 1922 and credited with gss, sfgh299 Jfs) ths among ~ to " General account of advances" (new), as stated above. » includes warrants for allotments of Navy and Marine Gorps psy pa d y 9 States Veterans' Bareau under the wsr risk insmance sct.
RECEIPTS AND DISBURSEMENTS, 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in ifaficsl
153
Appropriations available in 1925
Appropriations from the general fund Fiscal Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
For Postal Service payable from the Treasury;
Expenses, Treasury sav- ings certificates, Post Office Department
Expenses, Treasury sav- ings securities, Post Of- fice Department
Increase of compensation, Post Office Department, Treasury savings certifi- cates
1925 1924 $250. 00
1924 I
1923 '
20. 00 686. 65
1923, (»)
3' $68, 500. 00 $58, 405. 80 8& 866. 0ji
186. 00
$55, 589. 75
$686. 65
$10, 094. 20 3, 116. 05
206. 00
Judgments, Court of Claims, Post Office De- partment No year. l
Payment of overtime claims of letter carriers . No year.
Relief of— J. W. Cook do Mrs. E. L. Guess do Daniel F. Healy do Jim Hennessee do Emma LaMee do Albert S. Matlock do D. H. MacAdam do Mail contractors in certain
Southern States, 1860 and 1862 , do
Edward N. McCarty do James B. Porter do Augusta Reiter do J. E. Saucier do Heirs of Massalon
Whitten do Reimbursement to-
William H. Flagg and E. B. Flagg do
Mary Torok and Elmer Torok do
Perry J. Lots do Permanent and indefinite—
Deficiency in the postal revenues 1925 — 26
1925, 1924 1928 1922 1921
Certified claims.
1, 280. 42
4, 580. 17
5, 514. 89
41, 900. 63
152. 78
187. 50
2, 500. 00
460. 00 482. 24
3, 500. 00 100. 00 344. 60
85. 00 5, 000. 00
18, 906. 91 5, 514. 89
8, 500. 00 100. 00 344. 60
55. 00, 5, 000. 00
18, 906. 91
3. 46 1, 200. 00
152. 78 3, 288. 75
150. 00
1, 200. 00
3, 288. 75 150. 00
2, 500. 00
460. 00 432. 24
(39) 7 23, 000, 000. 00 28, 000, 000. 00
(33) (33) (33) (39)
216, 788. 58, 216, 788. 58
186. 00
8, 500. 00 100. 00 344. 60
85. 00 5, 000. 00
18, 906. 91 5, 514. 39
3. 46 1, 200. 00
152. 73 8, 288. 75
150. 00
2, 500. 00
460. 00 482. 24
23, 216, 788. 58
20. 00
1& 230. 42
4, 530. 17
41, 897. 17
187. 50
Total, Postal Serv- ice payable from Treasury 57, 814. 78 23, 317, 828 84I 28, 318, 725. 41~ 706. 65 61, 211. 51
Total, Post Office Department, ex- clusive of Postal Service, payable from postal reve- nue s 57, 814. 78 23, 817, 853. 2' 0 ' 23, 318, 725. 41I 730 83I 61 211 51
' Exclusive of amount transferred to "Civil-service retirement and disabilit fund, " " Transferred from "Expenses of loans, sct Sept. 24, 1917, as amended and extended" Treasury) exclusive of $1, 500 transferred to "Civil service retirement snd disability fund, " p. 295.
33 Balance of $1, 999 returned to "Public debt service, 1923, " p. 169. » Appropriation transferred to "Civil service retirement and disability fund, " p. 295,
154 RECEIPTS AND DISBURSEMENTS2 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements sre printed in italics]
Appropriations availsi&le in 1925
Appropriations from the general fund year Balances July 1) 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
DEPARTMENT OF STATE
Salaries, etc. : Salaries, Department of
State 1925 — 26 1925 1924 1923 1922
Additional employees, De- partment of State 1924
1923
Increase of compensation, Department of State 1924
1923
Books and maps, Depart- ment of State 1924
1923
Contingent expenses, De- partment of State 1925
1924 1923
Immigration of aliens, De- partment of State 1924 — 25
Passport bureaus, Depart- ment of State 1925
1924 1923
Printing and binding, De- partment of State 1925
1924 1923
Stationery, furniture, etc. , Department of State 1924
1923
$9, 145. 89 26, 806. 31
500. oo 2, 373. 47
6, 485. 33 14, 168. 43
513. 81 68. 24
1, 769. 81 1, 818. 33
5, 458. 27 6, 860. 15
97, 785. 50 21, 588. 46
1, 546. 80 771. 86
$1, 000 Ool
1& 044 097 50I
40, 000. 00
4' 498, 150. 00
51, 868. 70
154, 785. 00
$966. 6?i 1, 034, 910. 86
887. 76
9. rb
200. 29
181. OI)
255. 05 107. 57
39) 972. 76 926. 11 18. 70
179, 698. 68
49, 409. 28 8& 885. 95
85. 25
79& 655. 54 67, 954. 13
8, 534. 56
1, 227. 91
$1, 035, 030. 02
200. 29
181. OI)
147. 48
40, 880. 17
179, 698. 68
47, 168. 58
156& 144. 23
1, 227. 91
$26, 806. 31 9. 75
2, 373. 47
14, 168. 43
175. 81
1, 837. 03
'6, 774. 90
13, 053. 90
771. 86
$33. 33 9, 186. 64 9, 983. 65
299. 71
6, 606. 37
258. 76
27. 24 843. 70
318& 451. 32
2& 459. 42 7, 784. 22
75& 129. 46 29& 831. 37
318. 89
Total, Department of State proper 197& 660. 66 1, 789, 901. 20 1, 460, 376. 32 66, 271, 46 461, 214. 66
Iroreign Intercourse: 1Vational security and de-
fense, Department of State " Certified claims.
Salaries of ambassadors and ministers 1925
1924 1923 1922 1918
1121 439. 49 97, 283. 33
611, 500. 001, 479, 951. 46 49, 391. 38
1, 899. 8$ Ie. 00
60. 00
257. 60, 257. 60 257. 60
98, 683. 17 4. 00
60. 00
131, 548 54
63, 048. 11
Salaries, charges d' affaires ad interim 1925
1924 1923 1922
17, 291. 91 16, 342. 34
40, 000. 00 10, 416. 94 4, 106. 30
888. 87 8. rr
527, 8?9. 00
16, 565. 611 2. 77
29, 583 06 13, 185. 6l
Salaries, Foreign Service officers 1925
I "2, 688, 437. 33 1& 642 484. 33
14, 297. 20
1, 642, 484. 33 1, 045, 953 00
statement. eign Service Officers, 1925, " and 3700 p. 295.
1'6&!11-161 of amount transferred to "Civil service retirement and disability fund, ' 0
"'' Sc& !1 63 for "National Security and Defense" ~ 6 & nlo. 1 of SR150 transferred to "Salaries, For
to "C&v&! . ' 7 vice retirement and disability fund, "
" Exclusive of 3142, 175 transferred to "Foreign Service retirement snd disability fund" and includes 32, 330, 612. 33 transferred from accounts as follows:
Salaries of secretaries, Diplomatic Service, 1925--------------------. -— Salaries, interpreters to embassies and legations, 1925 Salaries, Consular Service, 1925 Salaries, consular assistants, 1925- Immigration of aliens, Department of State, 1924-25- - -. - — ---------. —"
33sf, sist 05
22, 5fSI 60
I, Mo, sgft 25
19, 44 69 1', title
RECEIPTS AND DISBURSEMENTS, 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in itaficsl
155
Appropriations avrilable in 1925
Appropriations from the general fund Fiscal Balances July
1, 1924
Disbursements by years
Appropriations
Total disburse- inents in 1925
Amount carried to surplus fund
Balances June 30, 1925
Foreign Intercourse — Contd. Salaries of secretaries, Dip-
lomatic Service
Certified
1925 1924 1923
claims.
$60, 155. 58 29, 165. 65
"$27, 872. 92
907. 94
$27, 872. 28, 824.
1, 411. 907.
92 $31, 330. 95
$27, 754. 34
Salaries, interpreters to embassies and legations 1925
1924 1923
Clerks at embassies and legations 1925
1924 1923 1922 1921
1916 and prior.
22, 426. 67 13& 654. 98,
34, 610. 57i 13, 123. 08'
350, 000. 00
294. 18',
'39, 750. 00 5, 275 62
331, 818. 33, 330.
145. 150, 16.
262.
41 44
01 80 67
$59, 016. 80,
5, 337. 85
365, 389. 18
13, 654. 98
12, 978. 07 150. 80 16. 6( 32. 04
4, 474. 59 22, 364. 23
18, 181. 13 1, 279. 94
Contingent expenses, for- eign missions 1925 — 26
1925 1924 1923 1922 1921
1920 and prior. Certified claims.
113, 307. 32 99, 899. 01
45, 800. 00 741, 000. 00
18. 69'
10, 586. 688, 311. 100, 849.
7, 818. 889, 85.
17, 808. 18.
00 15 53' 9/
/
/ . . -//i 11 59
774, 428. 03
107 712 95 289. 74 25. 4o
17, 208. 11
35, 214. 00 52, 688. 85 12& 457. 79
Quarters for student inter- preters at embassies
Rent of grounds, embassy at Tokyo, Japan
Steam launch for embassy at Constantinople
Salaries, Consular Service
Certified
1925 1924 1923
1925 1924 1923
1923 1925 1924 1923 1922 1921 1920
claims.
609. 00 622. 04
250. 00 48. 05
68. 38
1) 094& 127. 15 165, 141. 57
1, 800. 00
250. 00
"24, 963. 75 1
421. 44
1, 000. 00 75. 748
200. 00 168. 00
24, 963. 76 , 0191 771. 78
4, 270. 06 688. 90' 818. 88 809. 66 421. 44
924. 52
368. 00ii
1, 048, 371. 08'
622. 04
48. 05
68. 38
74, 160, 871. 52,
632. 90 213. 38 209. 66
800. 00 684. 48
50. 00 82. 00
355. 37
Salaries, consular assist- ants 1925
1924 1923
6, 390. 19 14, 686. 07
(45)
4, 917. 77 145. 00
5, 062. 77'
1, 472. 42 14, 541. 07'
Salaries and expenses of interpreters and guards to consulates 1924
1923 1922 1921
Allowance for clerks at, con- sulates 1925
1924 1923 1922 1921 1919
claims. Certified
42, 814. 19 21, 627. 27
883, 419. 95i 131, 280. 74
o50 000
"Exclusive o( 3329, 203. 33 transferred to "Salaries, Foreign Service officers, 1925. " " Exclusive of 32", 500 transferred to "salaries, Foreign service officers, 1925. "
37, 153. 53i 500. 00
10. 98 8.
36, 639. 78
22, 127. 27 10. 98 2. 77
132, 816. 04 102. 10 76. 03
5. 54 06
00 733, 436. 38 827, 356. 46
1, 585. 80 108. 10 76. 08,
o. 0. 4
381. 06 1, 559, 454. 92
«Exclusive of 51. 950 J3" 21 transferred to "Salaries, Foreign Service ii Appropriation oi 519, -124 transferred to "Salaries, Foreign Service
5, 660. 66
816, 563. 62 56, 063. 50
officers, 1925. " of!icers, 1925. "
RECEIPTS A. ND DISBURSEMENTSr 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in italic&i
Appropriations available in 1929
Appropriations from the general fund Fiscal year Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1929
Amount carried to surplus fund
Balances June 39, 1925
Foreign Intercourse — Contd. C o n t i n g e n t expenses,
United States consulates 1925 1924
l 1923 l
1922 1921 1920 1919
1918-19 Certified claims.
$554, 198. 21' 227, 310. 55
2, 800. 00
$980, 000. 00
215. 72
$509, 993. 02 500, 481. 65
6) 816. M 180. 65 87. 88
957. 99 5'5. M
215. 72
$229, 627. 47 180. 65 37. 33
257. 92 55. 26
2, 800. 00
$470, 006. g8 53, 716. 56
Expenses of consular in- spectors
Entry of aliens into the United States
Rewriting consular regu- lations No
Salaries, diplomatic and consular officers, while receiving instructions and in transit
Allowance to widows or heirs of diplomatic offi- cers who die abroad
1925 1924 1923
1924 1923
vear.
1925 1924 1923
1925 1924 1923
13, 922. 23 8, 885. 55
210, 827. 57 115, 677. 76
1, 500. 00
42, 260. 40 25, 697. 50
1, 888. 89 401. 39
22, 000. 00
40, 000. 00
2, 000. 00
12, 039. 47 3, 403. 05 '
87. 86
195, 462. 82 40. 00
14, 425. 99 7, 691. 92
527. 34
1, 089. 86
225. 00
$1, 007, 842. 31
15, 405. 16
195, 502. 82
22, 645. 25
8, 922. 91
115, 637. 76
25, 170. 16
176. 39
9, 960. 53 10, 519. 18
14& 864. 75
1, 500. 00
25, 574. 01 34, 568. 48
910. 14 1, 888. 89
Post allowances to diplo- matic and consular of- ficers 1925
1924 1923 1922 1920
Certified claims.
Transportation of diplo- instic and consular offi-
Emergencies arising in the Diplomatic and Consul- ar Service 1925
1924 1923 1922
Certified claims.
245, 687. 65 145, 807. 38
69, 182. 88 28 098. 19
400. 000. 00
16. 80
1251 000. 00
431. 70'
180, 344. 07 8& 834. 06 8, 701. 08
8/5. 00 16. 80
47, 635. 48 59, 645. 78
918. 99 107. 85
9, 189. '70 431. 70
1, 314. 86
179, 798. 85
104, 556. 42, ,
154, 508. 46 245. 00
29, 017. 18 107. 85
2, 129. 70
219, 655. 93 237, 303. 59
77, 364. 52 9, 536. 60
cers 1925 1924 1923 1922 1921
1920 and prior. Certified claims.
108, 128 77 74, 004. 06
325. 000. 00
420. 03
110. 01 624. 64
237& 419. 72 71, 784. 71
1, 814. 94 688. 99
48. 58~ 1, 898. 69'
624. 64;
72, 189. 12 1, 059. 02
43. 58 1, 508. 70
87, 580. 28 36, 394. 06
Trsnsportiug remains of diplomatic officers, con- suls, and consular
ass-
istantss 1925 1924 1923
3, 421. 84 537. 61
5) 000. 00 3, 550. 16 1, 448. 08
101. 00
309, 512. 75
436. 61
1, 449, 84 1, g73. 76
Acquisition of embassy, legation, or consular premises No year 173, 021. 63 117, 116. 96
5, 099. 24
117, 116. 96 55 g04. 67
RECEIPTS AND DISBURSEMENTSJ 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in italicsj
157
Appropnai, &one evadable m 1925
Appropriations from thc general fund Fiscal Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount can &ed to surplus fund
Balances June 30, 192. 5
Poreign Intercourse — Con td. Acquisition of legation
premises, San Jose, Costa Rica No yes, r.
Acquisition of embassy premises, Mexico City do
Acquisition of embassy premises, Paris, France do
Acquisition of embassy premises, Tokyo, Japan do
Diplomatic snd consular establishments, Tokyo, Japan 1925-26
Addition to legation build- ing, Peking, China No year.
Acquisition of consular premises, etc. , Shanghai, China do
Purchase of land for con- sular purposes, Mukden, China 1924
Improvement, legation premises, Tangier, Mo- rocco 1923
Legation building, San Salvador, Salvador No year.
Repairs snd improve- ments, embassy prem- ises, London, England 1922 — 26
1922 — 25 1922-23
Annual expenses of Cape Spartel Light, coast of Morocco 1925
1924 1923
$39. 07
49, 757. 18
90, 000. 00
100, 000. 00
2, 000. 00
102. 24
3, 000. 00'
1& 321. 46
136. 34.
00 00
44 147& 192. 00 (47) (4s)
$280, 000. 00
386. Ooti
$49, 750. 00'
33, 000. 00
1, 579. 26
1& 719. 70
1/4& 8148. 85
250. 00 12. 28
$49, 750. 00, '
33, 000. 00
1, 579. 26
1, 719. 70
262. 28 34. 00
114& 81&8. 85 $14, 348. 25
$39. 07
7. 18
57, 000. 00
100, 000. 00
280, 000. 00
420. 74
102. 24
1, 280. 30
1& 321. 46
147, 192. 00
186. 00 123. 72
Arbitration between the United States and Nor- way No year.
Arbitration between the United States and Peru do
Arbitration of outstanding pecuniary claims be- tween the United States snd Great Britain 1925
1924 1923
3, 827
3, 727
6, 997. 18, 678.
97
06
80' 87
66, 750. 00
81. 78
148& 1814, 90
39, 548. 42 3, 245. 04
81. 78
148& 181&. 90
42, 793. 46 18& 678. 87
3& 859. 75
46, 911. 96
27, 201. 58 3, 752. 26
Boundary line, Alaska and Canada and United States snd Canada 1925
1924 1923
Bringing home criminals 1925 1924 1923
Expenses of prisons for American convicts 1925
1924 1923
Claims of American citi- zens for loss in Samoa in 1899 No year.
Commission, Centennial Celebration, . Independ- ence of Peril do
2, 381. 21' 53 51I
1, 990. 00, 657. 70(
3, 627. 91i 4, 270. 73'
170. 00
7, 636. 62
38 515 00
2, 000. 00
15, 000. 00
36, 6&33. 19 5, 590. 88
918. 148
923. 79 1, 659. 66
11, 942. 25 1, 189. 88
g798. 97
30, 130. 13
2, 583. 45'
10, 316. 05
965. 94
657. 70
4, 767. 70
1, 881. 81 7, 971. 84
1, 076. 21 330, 34
3, 057. 75 4, 757. 14
170. 00
7, 636. 62 ' Exclusive of amount trausferred to "Civil service retirement and disability fund, " p. 295. "Transferred from 1922-25 account,
» See note 45. «Balance transferred to 1922-25 account.
158 RECEIPTS AND DISBURSEMEN1Sr 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursemenrs are printed in itahcel
Appropriations available in 1925
Appropriations from the general fund year Balances July 1, 1924 Appropriations
Disbursements by years
Total disburse- rnents in 1925
Amount carried to surplus fund
Balances June 30, 1925
Foreign Intercourse — Contd. Commission of jurists to
consider amendment of laws of war
Commission on equitable use of waters of the Rio Grande
Conference on oil pollu- tion of navigable waters
Conference on oil pollu- tion of navigable waters (transfer to Department of Commerce, Bureau of Standards, act Mar. 4, 1925)
General and Special Claims Commissions, United States and Mexico
1922-23
1925
1 925-26
do
1925-26 1925
$234. 49
$20, 000. 00
(49)
'o 8, 000. 00
100, 000. 00 171, 930. 00
$5, 000. 00
159, 907. 89
$5, 000. 00
159, 907. 89
$284. 49
$20; 000. 00
3, 000. 00
100, 000. 00 12, 022. 11
Mixed Claims Commis- sion, United States and Germany 1925
1924 1923
St. John River Commis- sion No year
United States Section, Inter-American High Commission 1925
1924 1923
World War Foreign Debt Commission «1922 — 23
I'oreign hospital at Cape Town 1925
1924
Relief and protection of American seamen 1925
1924 1923
Certified claims.
87, 810. 91 84, 244. 64
249. 99
331. 23 275. 15
18, 957. 42
50. 00
137, 196. 33 30, 580. 41
182, 140. 00j
21, 680. 00
50. 00
200, 000. 00
11 207. 03
155, 882. 16 5, 996. 98 2, 675. 42,
18, 641. 07' 301. 71
50. 00 50. 00,
51, 333. 01 54, 062. 08
3, 145. 97 1, 207. 03
164, 554. 56
18) 942. 78
100. 00
109, 748. 09
275. 15
18, 957. 42
27, 434. 44
26, 257, 84 81, 813. 93
249. 99
3, 038. 93 29. 52
148, 666. 99 83, 134. 25
R e s c u i n g shipwrecked American seamen
Relief and transportation of destitute American citizens in Mexico No year.
Relief and transportation of American citizens in Mexico do
Relief of American citizens and prisoners of war in Germany, etc 1919
Relief of American citizens and their relatives, Smyrna victims No year.
Representation of interests of foreign Governments growing out of hostili- ties in Europe, etc 1916 — 17
1915-16 ~
1925 1924 1923
9, 986. 16
3, 946. 80
143, 127. 74
357. 94 731. 87
I
8, 000. 00
67& 198. 9'.
71. 80
16. $7I 816, 767. 87
528. 00 1. 20
71. 8O
816, 78. j. 8/;j
529. 20
87, 198. 9'
9, 986. 16
3, 946, 80
57, 198. 94
143, 199. 24
16. 47 316 767. 87
2, 472, 00 356. 74
731. 87~ j------------- ~ ' Appropriation of 38, 000 transferred to same object under Department of Commerce. re See note 49.
» Add! tional transactions for this object under Treasury Department, P f59.
RECEIPTS AND DISBURSEMENTS, 1925
Disbttrsements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in italics]
159
Appropriations available in 1925
Appropriations from the general fund Fiscal Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse- Amount carried ments in 1925 to surplus fund
Balanoes June 50, 1925
Foreign Irttercourse — Contd. Salaries snd expenses,
United States Court for China 1925
1924 1928
Certified claims.
Inquiry into extraterri- toriality in Chins 1922 — 25
1922-23 Revision of Chinese cus-
toms tariff 1924 — 25 1924
$4, 766. 43! 3, 640. 53i
's 21, 000. 00 (sr)
ss 38, 026. 48, (ss)
ss $29, 400. 00
22. 22,
$28, 171. 92 52. 22
3, 640. 53' 22. 22'
$31, 886. 89
81, 228. 08 4, 714. 21
21, 000. 00
3S, 026. 4S
Third Psn American Sci- entific Congress, Lima,
eru P 1924-25 1924
ss 20, 000. 00, (ss)
10, 000. 00 10, 000. 00
Fifth International Con- ference of American States st Santiago, C
' bile
Seventh Pan American Sanitary Conference, Habana, Cuba
Fifteenth International Congress against Alco- h olism
Seventeenth International Congress against Alco- holism
Twenty-third Conference of Interpsrlismentsry Union, Washington, D. C 1925 — Dec.
Inter-American Commit- tee on Electrical Com- munications
International Bureau at Brussels for Repression of African Slave Trade
Bureau of Interpsrliamen- tary Union for Promo- tion of Internstionq, l Ar- bitration
1923
1925 ',
No year
1924
31, 1925
1924-25
1923
1925-26 1924-25
International Bureau of Permanent Court of Ar- bitration 1925
1924 1923
27 141 1?Ii
1, 123. 74I
1, 068. 60I
19, 980. Ooi
125. ooj
4, 000. 00
306. 18I 13. 91
2, 600. 00
50, 000. 00
6, ooo. Ool
2, 000. OOI
1, 169. 04,
1, 038. 24i
642. 70
1& 267 43i
11, ?20. 16
4, 000. 00!
1 890. 60'~
1& 169 04
1& 038 24,
642. 70
1, 267. 43
11, ?20. 16
4, 000. 00
10, 000. OOI'
$25, 972. 13
125. 00'
13. 91
1, 561. 76
1& 123. 74
425. 90
48, 732. 57
8, 259. 84
6, 000. 00
109. 40 306. 18
International Bureau for Protection of Industrial Property 1925
1924 1, 700. 00 1, 700 00'
949. 42
1, 890. 60'
949. 42
1, 700. 00 750. 58
International Bureau for Publication of Customs Tarifi's 1925
1924 1923
International Bureau of Weights and Measures 1925
1924 1923
2& , 187. 00 1, 462. 33
3, 000. 00 1, OG5. 88
2, 187. 00
3, 000. 00 1, 947. 04',
3, 000. Go, I, 058. 9o
3, 894. 08
1, 462. 33
2, 058. 79'
2, 187. 00 2, 187. 00
1, 052. 96
'" includes 9500 indefinite appropriation. u Transferred from 1922-23 account. u See note 5:3. u Transferred from 1924 account. s See note 55.
160 RECEIPTS AND DISBURSEMENTSC 1925
Di sbttrsements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in Ctalfcs]
Appropriations available in 1925
Balances June 30, 1925
Appropriations from the general fund year Balances July 1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Foreign Intercourse — Contd. International Commission
on Annual Tables of Constants, etc
International Commission on Public and Private International Law
International Conference on International Com- munication
International Conference on Maritime Law
International Conferences, Traffic in Habit-Form- ing Narcotic Drugs
International Exposition at Rio de Janeiro, Brazil
International Fisheries Commission
International Hydro- graphic Bureau
1925
1923-25 1928
No year.
1922 — 23
1925
1923-25 1928-24 1922-23
1925
1925 1924 1923
sr $15, 000. 00' (ss)
8, 603. 98
3, 980- 20
ss 50, 000. 00' se 92, 648. 09
384. 22 111. 90
$500. 00
85, 000. 00
11, 250. 00
3, 860. 00
$500. 00
23, 479. 94
16, 390. 59 6, 866. 66
463. 19
8, 845. 00
$500. 00
28, 479. 94
9, 535. 23
463. 19
3, 845. 00
$3, 980. 20
111. 90
$15, 000. 00
8, 603. 98
11, 520. 06
50, 000. 00 76, 252. 50 (si)
10, 786. 81
15. 00 334. 22
mission 1925 1924 1923
Certified claims.
International Radiotele- graphic Convention 1925 — 26
1924 — 25 1923-24
1923 1922-23
International Institute of Agriculture at Rome, Italy 1925 — 26
1924-25 1923
1922 — 23 19"22
Certified claims.
International Latitude Observatory, I'kiah, Calif No year.
1924 1923
International Office of Public Health 1925
1924 1923
International Prison Com-
38, 602. 12 4, 833. 82 4, 500. 00
416. 67
226. 01 800. 00
19. 88
2, 734. 50 2, 249. 70
1, 400. 00 131. 56
5, 750. 00' 3, 500. 00, "
2, 250. 00 2, 489. 76
54, 337. 00
416. 67
3, 860. 00
2, 550. 00
2, 700. 00
5, 750. 00
2, 082. 34 30, 624. 92
$16. 67
416. 67I
289. 22
11 078. 74
806. 63 833. 00
2, 700. 00
4, 071. 74 1, 968. 93 1, 680. 63 2, 428. 12
32, 707. 26
289. 22
1, 078. 74
4, 339. 63
4, 883. 32 4, 916. 67
416. 67
19. 88
2, 249. 70
131. 56,
569. 37 11. 64
52, 254. 66 7, 977. 20
226. 01 10. 78
3; 860. 00 1, 655. 76
1, 743. 37 567. 00
5, 750. 00 1, 678. 26 1, 531. 07
International Ra i 1 w a y Congress 1925
1924 800. 00
400. 00 400. 00
10, 149. 42
400. 00
800. 00
'1 Transferred freon 1923 account. " see note 51. » Transferred from 1923-'14 account.
» includes 36, 355. 36 transferred from 1922-23 account and excludes SM, 000 transferred to 1923-1925 account. e see note 60.
RECEIPTS AND DISBURSEMENTS, 1925
Disbursements, balances, ete. — Continued
[Repayments to appropriations in excess of disbursements are printed in italicrl
161
Appropriations from the general fund Fiscal Balances July
1, 1924 A ppropristions
Appropriations available in 1923
Disbursements by years
Total disburse- ments in 1925
Amount carried Balances June to surplus fund 30, 1925
Foreign, Intercourse — Contd. International Research
Council 1925 1924 1923
International Sanitary Bu- reau 1925
1924 1923
$2, 828. 26 931. 83
154. 29 941. 05
$5, 028. 00
11, 154. 29
$1, 968. 34 295. 02
11, 154. 29 154. 29
$2, 263. 36 8931. 83
941. 05
$3, 059. 66 2, 533. 24
International Seismolog- ical Association
International Statistical Bureau at The Hague
International Trade-Mark Registration Bureau
Pan American Union Printing and binding, Pan
American Union Adornment of the Peace
Palace at The Hague Water boundary, United
States and Mexico
Waterways treaty, United States and Great Brit-
1915-16
1925
1925 1925
1925
1923-24
1925 1924 1923
89. 31
20, 000. 00
2, 000. 00'
4, 961. 00 100, 000. 00
20, 000. 00
40, 000. 00
2, 000. 00
~ 4, 961. 00 100, 000. 00
20, 000. 00
19, 108. 23
38, 986. 46 85$. 89
1. $8
11, 308. 58
2, 000. 00
4, 961. 00 100, 000. 00
20, 000. 00
19, 108. 23
38, 730. 14I
89. 31
1. 43
891. 77
1, 013. 54 254. 89
in a 1925 1924 1923
Certified claims.
4, 635. 38 6, 097. 22
33, 000. 00
2. 40
29, 328. 54 e, 'O76. ee
2. 40 6, 097. 22
3, 671. 46 6, 711. 64
Payment to- British Government No year. Government of Colom-
bia under article 2 of treaty of Apr. 6, 1914 do
Republic of France for relief of Madame Crignier 1924
Government of Nor- way No year.
Government of Panama under treaty of Nov. . 18, 1903 do
Government of Sweden do Teresa B. Handley,
widow of William W. Handley do
Carrie Kitchin Hazel- tine, widow of Ross Hazeltine do
Frances R. Jewett, widow of Milo A. Jewett do
Heirs of Max D. Kir- iassoff do
Ethel Roberts Loop, widow of Carl R. Loo L p do
Irene Gracie Pontius, widow of Albert W. Pontius do
Paulin'e M. Robinson, ' widow of Fred R. Robinson do
May Actelaide Sharp, widow of Hunter Shar do
Eliza k Scidmore, sis- ter of George H. Scid- more m -------- do
29, 524. 40
5, 000, 000. 00
13, 511. 13
164, 169. 23
250, 000, 00 7, 107. 04
5, 500. 00
4, 500. 00
3, 500. 00
3, 500. 00,
4, 000. 00
5, 500. 00
3, 500. 00,
5, 000. 00
8, 000. 00
5, 000,
13,
164,
511. 13
16g. 23
250, 7,
000. 00 107. 04
5, 500. 00
4 500. 00
3
500. 00
500. 00
000. 00
5, 500. 00
3, 500. 00
5, 000. 00
8, 000. 00
000. 00
27, 254. 68
5, 000, 000 00
13, 511. 13-
164, 169. 23
250, 000. 00 7, 107. 04'-
5, 500. 00'
4, 500 00'
3, 500 OOI
3, 500. 00
3, 500. 00
5, 000. 00'
8, 000. 00
4, 000. 001 1
5, 500. 00'
2g, 524. 40
162 RECEIPTS AND DISBVRSEMENTS& 1925
Disbursements, balances, etc. — Continued
[Repayments to sppropriationa in excess of disbursements are printed in ffeticrr]
Appropriations available in 1925
Appropriations from the general fun&1 year Balances July 1, 1924 Appropnstions
Disbursements by years
Total disburse- meats in 1925
Amount carried to surplus fund
Balances June 30, 1925
Foreign Intercourse — Co ntd. Reimbursement to State
of Texas . . No year. Relief of-
Estate of Oscar F. Fel- lows do
Peter C. Keegan do Estate of John B. 5ladi-
g an do Estate of Anne C. Shy-
mer do Permanent and indefinite-
Pay of consular ofhcers for services to Ameri- can vessels and sea- men do
Refunding passport fees do Refunding moneys er-
roneously received and covered into the Treasury do
Special funds- Pan American Union
quotas do German Government 's
moiety, expenses, Mixed Claims Com- mission do
Trust funds— Amount due Juan Nunc do Awards of Mexican
Claims Commission do Chinese in d e mn i t y,
claims of citizens of the United States
owing out of the oxer uprising in
North China in 1900 do Claim against Panama
for injury to certain American victinis of disturbances occur- ring July 4, 1912, in city of Panama do
Claims against Jap&tn for expenses incurred in connection with crew of sailing vessel Dai- fuku Maru do
Ecuador indemnity do Estates of decedents,
trust funds do Foreign servrce retire-
ment and disability fund do
IIubert Pieper, Ameri- can seaman . do
Ixatherine Gillespie Im- brie, indemnity paid bv Persian CInvern-
$2, 950. 77 1, 700. 00
348. 14
12, 956. 31
2, 0?6. 08
5. 00
124, 475. 44
5& 446. 35
250. 00
360. 00 1, 834. 45
129, 129. 69
12. 40
$5, 779. 11
3& 900. 00
10, 255. 22 ~ 9. 00
3, 593. 20
92, 551. 74
8, 270. 18
I, 347, 80
et 146 110 12
$2& 950. 77 1, 700. 00
348. 14
$2, 950. 77 1 700. 00
348. 14
10, 255. 22 9. 00
10, 255. 22 9. 00
3& 593. 20
75, 053. 05
3, 593. 20
75, 053. 05
8& 804. 75 8, 804. 75
142, 568. 91 ~ 142, 568. 91
$5, 779. 11
8, 900. 00
30, 455. 00
1, 541. 51
5. 00
124, 475. 44
5, 446. 35
250. 00
360. 00 1, 834. 45
130, 476 99
3, 541. 21
12. 40
ment for benegt of widow of Vice Consul Robert lV Imbrie do
Payment of awards, Spanish and Ameri- can Cl:iiuis Cnrnmis- sion do 886. 88
Paynirrnt of judgments, Court of Alabama Claims. do 9 892. 99'
': Includee ariz&, r 5 transferred from "Salarie, foreign service officers, f ' inch& Ic. ' ii'. vts. 91 paid by &varrant on account of investmenta.
60, 000. 00 60, 000. 00 60, 000. 00
925J' Face amount o investments was 380, 650, as of June 30, 1925.
886. SS
9 892. 99
RECEIPTS AND DISBVRSEMENTS, 1925
Disburserrtertfs, balances, efc. — Continued
[Bepayments to appropriations in excess of disbursements are printed in ifoficsl
Appropriations available in 1923
Appropriations from the general fund Balances July
1, 1924 Appropriations
Disbursements bv years
Total disburse- ments in 1925
Amount cerned to surplus fund
Baiances June 30, 1925
Poret'grt Intercourse — Contd. Trust funds — Continued.
Proceeds sale of effects of August Bailou, American citizen No year.
Proceeds from sale of American schooner Sarah E. Turner do
Russian indemnity, claim of owners of the schooners Cape Horn Pigeon, James Hamilton Lewis, The C. H. White, and The Kate and Anna do
Sale of wrecked schooner Andrew Nebinger do
Salvage proceeds, Amer- ican brig Sullivan do
Salvage proceeds, Amer- ican schooner Remit- te nt do
The Alsop award do The Venezuelan indem-
nity of 1903 do Virginius indemnity do Woolen duties indem-
nity do Wages due—
J. Arboleda, S. B. Stanford, and J. Delamore, sean1en on S. S. Cliffwood, M. A. Rowe, master do
P. Blake, seaman on steamship West Kidron do
B, Blumental, sea- man, steatnship Philadelphia do
J. Caplan, seaman steamship Philadel- phia do
Castor F. Civiere, sea- man do
F. J. Clohessy, Amer- ican seaman do
Carl Coberly, sea- man, steamship West Katan do
Discharged seamen, A. Caughey, Jose Brenes, and An- dreas Martinez do
Edward Delany, sea- man, steamship Supportco — -do-- --
From Norwegian Government to Walter James Du- pree do
Frank Eagan, sea- man, American steamship Ana- cortes do
Oscar Garcia, sea- man
Arthur E. Genereauz, seaman, discharged from American S. S. Lake Armoc, Jan. 31, 1920 do
$46. 94
2, 501. Oli
707. 12'
222. 40
144. 98 . 60
94. 77 180. 37
6, 670. 00
23. 01
16. 22
9. 24
16. 50
51. 08
7. 23
80. 90
47. 87
58. 63
6. 49
3. 60
$3. 27
15. 00
6. 00
$4b. 94
8. 2
2, 501. 01
707. 12
222. 40
144. 98 . 60
94. 77 180. 87
6, 670. 00
15. 00
28. 01
16. 22
9. 24
16. 50
51. 08
7. 23
80. 90
47. 87
58. 68
6. 49
3. 60
6. 00
BECFIPTB AND DISBURSEMENTSr 1925
Dieburecrteetfe, baltftcee, efc. — Continued
[ftepaymenta to appropriatiorn in excess of disbmsements ara printed in ifaffca]
appropriations availsbfc in 1925
Appropriations from the general fund Fiscal B
I 1224 I &Pproprmtlona
Disbursements by years
Total diaburae-
!
ments in 1925 Balances Jam
zft lfZI
and firemsn on the American S. S. Lake Monroe, Jss. W. Fleming, mas- t er
Felix Marino, of steamship Coa- linga
Edward Marron, sea- man, steamship Philadelphia
Jose Mendez, Ameri- can seaman, steam- ship Ambridge
Edwin Nixon, seaman discharged from A. mericsn steam yacht Rambler on Msr. 15, 1920
do
do
do
do
do B. Njimgburg, sea-
man, U. S. S. Lake W eir
C. W. Olssen, seaman, . tesmship B r y n- hil
' ds John Olson, seaman,
steamship Brm- dills
R. Orr, seaman, steamship Phils- del his
do
do
do
P A. Palad, American
seaman, steamship Dryden
Juan Pluguez, seaman steamship Hilton
C. Rasmussen, sea- man, U. S. S. Lake W eir
John Roach, seaman, steamship Martha Washington J. Rodgers, seaman,
do
do
do
do
steamship Philadel- P hia do
'tlichael Schpartz, seaman, steamship William O' Brien do
George d'Silva, in- sane seaman do
J. Smith, seslnsn,
Foreign 1nfercotfrae — Contd. Trust f unde — Continued.
Wages due — Continued. Haywood, sea-
man, steamship Philadelphia Xo year. I
P. H. Hsnson, ses- msn, steamship Philadelphia do
Ali Hong, seaman do H. Lazsrides, Ameri-
can seaman do Alsindsy Mc Gee
(Mc Gie), seaman, deceased, formerly s British subject
$23. 281
33. 45 10. 60
39. 76'
199. 65
8. 59
205. 11
12. 07
21. 11
45. 35
9 74 ~ 7
27. 84
9. 50!
44. 06~
213. 79,
-$12. 50
79. 61
367. 11
$79. 61' $79. 61
$23. 28
33. 45 Ifl 60
39. 76
199. 65
K 59
205. 11
21, 11
45. 35
24. 74
27. 34
213. 79
367. 11
st earns hip Phila- delphia
D. B. Wood, seaman, steamship Stesd- f ss t
do
do
1& 48'
56. 9II
1&. 48
56. 91
RECEIPTS A'ND DISBURSEMENTS) 1925
Disbursements, balances, efc. — Continued
[Repayments to appropriations in excess of disbursements are printed in ifelics]
165
Appropriations available in 1925
Appropriations from the general fund Fiscal Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse- rnents in 1925
Amount carried to surplus fund
Balances June 30, 1925
Foreign Intercourse — Contd. Trust funds — Continued.
Wages of- Robert Burns, Ameri-
can seaman No year. Jose M. Calderon,
steamship Issa- quena do
I. ouis Dean, of stealn- ship Santa Alicia do
L. Diaz, steamship, Ansable do
Harry H. Hartman, seaman, discharged from vessel Lake Fabyan do
John Irving, steam- ship Anfra do
Peder A. L. Olson) seaman do
Pedro Prestanios, - steamship Calloon do
Leo Quayle, seaman do Ronaldo Rodriquez,
steamship Caddo do David R. Sanderson,
steamship Bromp- t on — do
Demit Spanos, sea- man on steamship Western Comet do
Louis Tavarez, steam- ship Xacapa do
Claim of- Joseph Baker, bugler do J. C. Clark against
Haiti s do Clara L. Byers against
the Chinese Gov- ernment as indem- nity for the murder of her husband, George D. Byers do
Luciano Conda s. nd Lorenzo Martyn do
Ivan Gerassimovitch do Armenag Fenerdjian
and or Theodore Photiades as their interest may appear do
L. Hayapis, seaman do The Hydrographic
Commission of the Amaz n 0 do
Nicolai Ivanovitch Solovieif do
V as i 1 i Ivanovitch Solo vieà do
Heirs or assigns of John Celestin Lan dreau do
Morse and Rogers v. Poland
M. C. McLane, sea- man do
Orinoco Corporation against Venezuela do
M e l v i n Seymour against the Persian Government do
Spiro Radoicich, Ser- bian soldier do
$114. 80
30. 00
40. 69
10. 44'
43. 00
28. 70
80. 00
141. 24 30. 00
143. 00
25. 50
68. 30
91. 88
12. 08
62. 44
11. 00 10, 000. 00
27. 03
203. 24
2, 000. 00
3, 000. 00
19. . 62
56, 250. 00
57. 54
$10& 862. 10
568. 01
91, 877. 60
6, 239. 16
83. 67
$568. 01
6, 239. 16
56, 250. 00
$568. 01
6, 239. 16
56, 250. 00-
$114. 80
30. 00
40. 69
10. 44
43. 00
28. 70
80. 00
141. 24 30. 00
143. 00
25. 50
68. 30
91. 88
12. 08
62. 44
10& 862. 10
11. 00 10) 000. 00
27. 03
203. 24
2, 000. 00
3, 000. 00
91, 877. 60
19. 62
83. 67
57. 54
RECEIPTS AND DISBURSEMEFTTSx 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations ln excess of disbursements sre printed in ifeficr]
Appropriations from the general fund Fiscal Balances July
1, 1924 Appropriations
Appropriations available in 1925
Disbursements by years
Total disburse- & ~uts in 1925
Amount carried to surplus fund
Balances June 30, 1925
Foreign, Intercottrse — Contd. Trust funds — Continued.
Claim of — Continued. Peter Scanlon,
Altdamm Prison No year. Various persons
against the defunct steamship agency of W. Evans and A. Apostolidas, Con- stantinople do
Less repayments to " In- ternational Exposition at Rio de Janeiro, Brazil, 1922 — 23" transferred to 1928 — 24 account
$154. 15
441 90
6& 813, 179. 89, '
6, 855. 36
$441. 90 $441. 90, '
$154. 15
Total, Foreign Inter- course
Total, Department of State
6, 806, 824. 58
7& 003, 985. 19
$15, 488, 457. 52
17& 278, 858. 72
14, 425, 529. 12, $1, 869, 164. 74~
15, 885, 905. 44~ 1, 935, 186. 20'
6& 000& 088 19
6, 461, 802. 27
TREASURY DEPARTMENT
Once of Secretary of the Treas- ttryr
Salaries 1925 — 26 1925 1924 1923
Contingent expenses, Treas- ury Department—
Carpets and repairs 1925 1924 1923
Second Pan American Fi- nancial Conference at Washington, D. C No year.
Total, Office of the Secretary
Office of Chief Clerk and Su- perintendent:
Salaries 1925 1924 1923
4, 166. 00 10, 525. 73
132. 81
14 824 04
(os) 14, 588. 57
100. 00 149. 10
1, 000. 00 ' 177, 488. 00 281. 95
178, 764. 95
« 460, 789. 00
500. 00
975. 00 176, 900. 00
6, 5M. 51
49. 29
459, 038. 68 11, 888. 19
98. 19
500. 00 96. 17
171, 281. 49
49. 29
171, 830. 78
447, 657. 30
10, 525. 73
10, 525. 73
14, 636. 76
149. 10
25. 00 583. 00
11, 041. 46
88. 02
11, 732. 48
1, 750. 32 " 10, 913. 94
3. 83
File holders and cases
Freight, telegrams, etc
Fuel, etc
1925 1924 1923
1925 1924 1923
1925 1924 1923
500. 00 1, 039. 73
485. 39 6, 139. 25
201. 54
4, 000. 00
10, 000. 00
m 20, 950. 00 1, 400. 00
3, 999. 88 437. 22
9, 940. 11 9& 807. 61
78. 80
19, 607. 21' 924. 57
596. 17
4, 437. 10
7, 659. 30
20, 531. 78
1, 089. 73
6, 212. 45
201. 54
. 12 62, 78
59. 89 2, 693. 00
1, 342. 79 475. 43
' Exclusive of amount transferred to "Civil service retirement and disability fund, " p. 295.
» includes $82, 568. 91 paid by vrarrants on account of investments. Face amount of investments &vas $80, 650, as of June 30, 1925.
«Fxclusive of $91, 2&11 transferred as folfovrs: Salaries, office of superintendent, State, War, snd Navy Department
buildings, 1925 ' . $83, 211 "Civil service retirement and disability fund, " p. 295. . . . . . 11, 000
'i Balance of $0. 75 and $369. 25 repayments transferred to "Civil service retirenient and disability fund, " p. 295.
«Exclusive of $3, 050 transferred to "Fuel, lights, eic. , State, Wsr, and Navy D+ partment buildings, 1925. "
RECEIPTS AND DISBVRSEMENTSr 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in ifstfcr]
167
Appropriations available in 1925
Appropriations from tbe general fund Fiscal year Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
ss, etc G
Miscellaneous items
1925 1924 1923
1925 1924 1923
0 fates of Chief Clerk and Su per- intendent — Continued.
Contingent expenses, Treas- ury Department — Con. Furniture, etc 1925
1924-25 1924 1923
$500. 00 207. 56
351. 65
310. 42 1, 076. 18
$4, 500. 00 er 2' 000. 00
(")
e' 21, 441. 00
"13, 420. 00
$4, 500. 00 2, 000. 00
399. 10
21, 000. 00 888. 55
7rlj. 08
13, 130. 00 29. 40
Jr. 08
$6, 898. 38
20, 126. 37 395. 73
080. 21
$208. 28 $100. 90
441. 00 829. 55
290. 00 281. 02
Motor vehicles 1925 1924 1923
110. 47 120. 73
7, 500. 00 7, 431. 61 171. 88
13, 155. 37
120 73
68. 39 281. 70
Newspaper clippings and books 1925
1924 1923
100. 00 19. 45
500. 00 450. 00 83, 83
7, 260. 38
19 45
50. 00 16. 17
ent R
Stationery "
General Supply Commit- tee, transfer of oflice material, supplies, snd equipment
Labor-saving machines, Treasury Department
Operating expenses, an- nex building, Four- teenth snd B streets N W
Operating expenses, Darby Building
Operating expenses, Treas- ury Department Annex
Purchase of automobile for Secretary of the Treasury
1925 1924 1923
1925 1924 1923
1925 1924 1923
1925 1924 1923
1925 1924 1923
1925 1924 1923
1923
2, 400. 00 200. 05
50, 549. 46 15, 131. 77
(rx)
520. 56 440. 71
1, 343. 25
716. 03
110. 68
5, 000. 00
102, 362. 55
14& 650. 00
350, 000. 00
20, 000. 00
(73)
4, 000. 00
13, 500. 00
14, 650. 00 . 08
301, 157. 20 24, 357. 87
134. 16
19, 500. 00 300. 00
24. 42
580. +
4, 000. 00 19. 88 88, 88
13, 000. 00 177. 08
533. 83
14, 649. 98
325, 649. 23
19, 824. 42
3, 897. 52
12, 822. 97'
200. 05
14, 997. 61
416. 29
1, 343. 25
799. 25
110. 68
5, 000. 0
2, 400. 02
48, 842. 80 26, 191. 59
500. 00 220. 56
530. 45
19. 26
500. 00 177. 03
u Transferred from 1924 account. "See note 07. Exclusive of 92, 559 transferred to "Fuel, lights, etc. , State, War, snd Navv De-
partment buildings, 1925. " aE d i of t f ed to "Fuel Bghtg, etc. , State, War,
meat buildings, 1925. " 73270 — '26 — 12
i Heretofore stated under Division of Printing and Stationery. » Stated under General Supply Committee. ii Appropriation of 932, 000 transferred to "Fuel, lights, etc. , State, War snd Navy
Department buildings, 1925. "
168 EECEIPTS AND DISBUESElKENTSr 1925
Disbursements, balances, etc. — Continued
[Repayments to a~ass in caress of disbursements are printed in italics]
appropriations available in 1925
' ti from tbe Senertd fund Balances July
I, 1924
Disbnnements bv years
I
Total dfsbn~ ments in 1~
I
amotmt esrrred i Balances Jane
to smplns fund It fftSS 1
Once of Chief Clerk and Su per- intendent — Continued.
Less repayments trans- ferred to "Civil ser3dce retirement and disabil- ity fund, " p. 295
Total, Oflice of Chief I
Clerk and Superin- I
tendent
$369. 25
101, 993. 30 $949, 150. OO ' , $90o, 169. 65 $46, 931. 11 $99, 042. 54
General Supply Committee: Salaries, General Supplr
Committee General Supply Commit-
tee, transfer of once material, supplies, and equipment u
1925 38, 9o3. oO
1925! . :r 113, 440. 00; 1924 ' l3, 506. 97: 1923 ' 2, 374. 50 1921 I ! (rt)
$37, 400. 00
105, 315. 32 1, 188. Oo
37, 400. 00
104, 121. 2
1, 553. 50
8, 124 68 14, 695. 02
374. 5
Total, General Sup- ply Committee 15, 881. 47 152, 393. 50 ' 141, o27. 27 2, 374. 50 24, 373. 20
Oliice of Commissioner of Ac- counts and Deposits:
1925, , 3 17, 72o. oO;
1924, ' . 50- 1923; 34L 24
17, 725. 50! . 50
17. 726. 00, 34L 24'
Total, Office of Com- missioner of Ac- counts and Depos- its 341. 74
!
17, 725. 50! 17, ?26 00,
Dioision of Bookkeeping and Warrants:
Salaries, Division of Book- keeping and Warrants 1925 : ' 162, 006. 00
1924 3, 547. 50 1923 4, 7?L 59
160, 400. 00 890. 70
159, 509. 30
1, 606. 00 . 20 4 438
4, 771. 59
Contingent exp eases, Public Moneys 1925
1924 1923
7, o50. 09, ' 26. 21'
210, 000. 00 10, 000. 00
190. 706. 82 , 378. 66
198 0~5. 26. 21
19, 293. 18 10, 171. 43
Recoinage of minor coins 1925 1924 1923
Recoinage of gold coins 1925 1924 1923
Permanent and inde6- nite—
Recoinage of silver coins Xo year. Special fund—
Charges on silver- dollar bullion sold do
Total, Diction of Bookkeeping and %'arran ts
15, 010. 48I . 24I
220. 45 149. 20'
1. 489, 935. 43
10, 000. 00
3, 000. 00
I
26S, 831. 01,
663, 843. 01'
9, 484. 86 14, 999. So
2. 236. 97 110. 46
268, 837. 01,
65. 000. 00j
515. 14 10. 63
24, 484. 71
2, 347. 43 149. 20
763. 03 109. 99
268. 837. 01
713, 333 93 1. 91 34
6o, 000. 00 . 1, 393, 659. 61
3 EI . us v o. ' amount 333us. ' rrei:9" C. v!! 3erv. -ere;irement snd dlss 3!lityfond" p. eA.
' Heretofore stated under elf!co of Chief Cieri;, :d:up 31nteodent. ' appropriation trsnsfened to" Civtlserviee. eri1emeot ui issbilftyfnnd. "p ~
RECEIPTS AND DISBURSEMEKTS, 1925
Disbftrsements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in ffaffcs]
169
Appropriations available in 1925
Appropriations from the general fund Fiscal Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 39, 1925
Division of Deposits: Salaries 1925
1924 1923
Total, Division of De- posits
$552. 75 213 28[
766. 03
7 $17, 335. 50
17, 335. 50
$17, 250. 00 8/8. 58
$17, 006. 48
17, 006. 48
$213. 28
213. 28
$85. 50 796. 27
881. 77
Salaries, Office of Register of the Treasury
Salaries snd expenses inci- dent to foreign loans snd transportation acts
1922
1925 1924 1923
Distinctive paper for United States securities 1925
1924 1923
Permanent and indefinite— Expense of loans, act
Sept. 24, 1917, ss amended No year.
Certified claims.
Expense of loans, sct Sept. 24, 1917, ss amended and ex- tended No year.
Preparation and issue of Federal reserve notes (reimbursable) do
Relief of Liberty loan subscribers of certain bank s do
Trust fund— Securities trust fund do
Pubhc Debt Servicer Public debt service 1925
1924 1923
7 22, 926. 38 re 128' 449 23
7 543. 26 ' 7, 160. 38
18, 208. 58 9, 801. 96
769, 682. 86
7 3)336&266. 39 3, 200, 312. 06 18, 689. 77
63. 97
(7e)
7 9, 004. 75 8, 180. 00 100. 88
7 1, 286, 948. 84 1, 267, 460. 17 583. 08
51& 068. 65 10, 655. 63 10, 655. 63
1, 282, 936. 09 1& 282, 936. 09
24. 00 24. 00
788, 511. 86
7 311, 605. 06 311& 605. 06
3& 219& 065. 80
8, 079. 68
1, 268, 043. 25
/70, !708. 08
1, 282, 936. 09
311, 605. 06
24; 00
788 511. M
128, 385. 26
7, 160. 38
9, 801. 96
51) 063. 65
135, 964. 33 4, 236. 61
824. 75 643. 68
19, 488. 67 17, 625. 60
1, 508, 194. 12
Total, Public Debt Service 956, 772. 65 6, 237, 440. 76 5, 310, 834. 60 196, 411. 25 1, 686, 967. 56
[Fortd War Foreign Debt Com- 7Mssion:
World Wsr Foreign Debt Commission 'e
Total, World War Foreign Debt Com- mission
1925 1924 19, 638. 75
19, 638. 75
5, 000. 00
5, 000. 00
1, 900. 00 ll. 64
1, 911. 64
1, 911. 64
3, 100. 00 19, 627. 11
22, 727. 11
Division of A ppointrnentsf 1925 1924 1923 1922
Total, Division of Appointments
1, 074. 75 1, 312. 61
2, 387. 36
(75)
62, 965 50
7 62, 965. 50, 62, 850 Q6. 08i
62, 393. 97
62, 393. 97
115. 50 1, 530. 78
1, 312. 61
1, 312. 61 1) 646. 28
) F V. 295.
Exclusive of amount transferred to "Civil service retirement and disaMity fund, " n &7
Apl&ropriaticn transferred to "Civil service retirement and disability fund, " p. 295. naudee $1, 999 returned from "Expenses, Treasury Savings Securities, Post Office
apartment, 1923, "
» Exclusive of $35, 539. 23 transferred as follows: Expenses of Treasury savings certipcates, P. O. Dept. 1925 . . $7p ppp, pp ~ ~ Civil service retirement and disability fund, " p. 295 . 15, 539. 28
r& Additional transactions for this obJect under "Foreign intercourse, " p. 158.
170 RECEIPTS AND DISBURSEMEZTS7 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in ftslfcrl
Appropriations available in 1923
Appropriations from the general fund year Balances July 1, 1924 Appropriations
Dfsbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1926
Division of Printing: Salaries, Division of Print-
1 ng Salaries, Division of Mint-
ing and Stationery
1925
1924 1923 7 $573. 15
' $56, 550. 00 $56, 300. 00 $56, 300. 00
91. 60
91. 60 $573. 15
$250. 00
91. 60
Printing and binding, Treasury Department 1925
1924 1923
Contingent e x p e n s e s, Treasury Department, stationery
Materials for bookbinder, Treasury Department 1925
1924 1923
Postage, Treasury Depart- ment 1925
1924 1923
Total, Division of Printing
Division of iVail and Files: Salaries 1925
1924 1921
268, 209. 74 58, 614. 88
(79)
3. 24
6. 67
327, 407. 68
850, 000. 00
250. 00
1, 000. 00
907, 800. 00
7 19, 461. 00
(75)
660, 425. 25 199, 685. 15
9, 678. 79
250. 00 8. 1o
1, 000. 00 . 88
19, 461. 00 1. 70
857, 431. 61
246. 85
999. 72
914, 886. 58i
19, 459. 30
61, 293. 67
3. 24
6. 67
61, 876. 73
189, 574. 76 68i 524. 59
3. 16
. 28
268, 444. 37
1. 70 7
Total, Division Mail and Files
of 19, 461. 00 19, 459. 30, 1. 70
Office of Disbursing Clerk: Salaries 1925
1924 1923
Total, 0%ce of Dis- bursing Clerk
Customs Service: Salaries, Division of Cus-
toms 1925 1924 1923
Collecting the revenue from customs 1925
1924 1923-24
1923 1922 1919 1918
Certified claims.
310. 25 275. 59
585. 84
3, 250. 00 4, 198. 55
7231, 962. 87 4, 259. 19 6, 020. 34
751, 636. 00
51, 636. 00
7 62, 400. 00
7 16, 405, 305. 00
2, 299. 58
51, 500. 00 807. 47
62, 400. 00 8, 688. 96
16, 259, 178. 22 54, 286. 54
9, 786. $8 S, $65. 01
. 10 15'. 00
2I 299. 58
51, 292. 53
51, 292. 53
53, 766. 74
275. 59
275. 59
4, 198. 55
3, 465. 01 . 10
15. 00
136. 00 617. 72
653, 72
11, 883. 26
146, 126. 78 177, 676. 33
4, 259. 19 35, 806. 82
Compensation in lieu of moieties 1925
1924 1923
22, 646. 00 23, 829. 00
155, 000. 00
16, 302, 497. 75,
143, 112. 00' 9, 162. OOI
23, 829. 00
11, 888. 00 13, 484. 00
152, 274. 00 21, 710. 91 21, 710. 91 Dye and chemical section 1923
Fence along border of United States and Mexico 1925 — 26
I Exclusive of amouot transferred to "Civil servi p. 293.
27, 000. 00 abihty fund I ce retirement and dis
27, 000. OC
ferred to "Civil service p. 167.
i A. ppropristion trans 77 A. ccouut stated on
retirement snd disability fund, " p. 29 .
RECEIPTS AND DISBURSEMENTS
Dtsbursemsnfs, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in ffoffcsl
171
Appropriations available in 1925
Fiscal Approprhtfons from the general fund
Balances July 1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
Customs Scrsstrs — Continued Scales for customs service 1925
1924 1923
Certified claims.
$94s 471 94 40, 815. 39
' $99, 920. 00
26, 960. 00
$5, 497. 07 64, 962. 96 38, 828. 70 26, 960. 00.
81, 986. 69
$94, 422. 93 29, 508. 98
Customs special investi- gations 1922 — 23
Payment of judgments against collectors of customs Certified claims;
Permanent and indefi- nite— Debentures or draw-
backs, bounties or allowances Xo year.
Refund of excessive duties do Refunding moneys errone-
ously received and cov- ered into the Treasury (customs) do
Refunding proceeds of un- claimed merchandise do
Special funds- iright services for lad-
ing and unlading vessels do
Philippine special fund (customs) do
Total, Customs Service
Bureau of the Budget: Salaries and expenses 1925
1924 1923
20, 649. 96
550. 12
4, 190. 82
498, 555. 09
7 13, 372. 84 14, 509. 44
1, 444. 02
15, 284, 131. 10 7, 136, 797. 11
712. 99
7, 622. 91'
1, 377. 14
39, 210, 969. 85
' 157, 267. 09,
1, 444. 02,
15, 284, 131. 10 7, 136, 797. 11
712. 99
7, 622. 91
147, 129. 13 8s 850. 78
$136, 248. 73
20, 649. 96
1, 444. 02
15, 284, 131. 10 7, 136, 797. 11
712. 99
7, 622. 91
550. 12
5, 567. 96
39 o 174. 37 , 075, 495. 35 75, 855. 2, 558,
10, 137. 96 15, 723. 57
14, 509. 44'
Printing and binding, Bureau of the Budget 1925
Total, Bureau of the Budget 27, 882. 28
25, 000. 00~
182, 267. 09i
24, 600. 00
144, 778. 40
24, 600. 00
169, 378. 40 14, 509. 44
400. 00
26, 261. 53
Federal Farm Loan Bureau: Salaries, Federal Farm
Loan Board Salaries and expenses,
reviewing appraisers, Federal Farm Loan Board (reimbursable)
Miscellaneous expenses, Federal Farm Loan Board
Indefinite— Special funds—
Salaries, Federal Farm Loan Board
1923
1923
1923 1922
1925 1924
10, 868. 12
sc 26 743 15
3, 095. 88
ss 2, 293. 02 ('-)
7 197, 021. 98
14, 858. 01
22. 86 80. 76'
199, 315. 00— 's1, 857. ffd—
14, 858. 01
87. 80
197, 957. 35
10, 868. 12
ll, 885. 14
3, 073. 02 60. 76;
Salaries and expenses, Reviewing Apprais- ers, Federal Farm Loan Board 1925
1924 ss 4, 663. 00
(84)
Increase of compensa- tion, Federal Farm Loan Board 1924 (ss)
30, 336. 50' 28, 949. 88- ss 1, B~sg. 78
as 10. 00
27, 403. 15
10. 00
6, 050. 12 12. 50
9 295. ' Exclusive of amount transferred to "Civil service retirement and disability fund, '
u Exclusive oi $37. 55 transferred to "Salaries and expenses, Reviewing Appraisers, federal Farm Loan Board, 1925. " includes $2, 162. 35 transferred from 1PA account and $130. 67 from "Increase of com-
pensation, Federal Farm Loan Board, 1924. "
ss Balance of $504. 70 and $1. 357. 65 repayments transferred to 1925 account. ss locludes $4, 625. 95 transferred from 1924 account snd $37. c5 from 'Salaries and
expenses, Reviewing Appmi ers. Federal Farm Loan Board (reimbursableb 19N. " ss Bgance of $3, 091. 72 and $1, 534. 23 repayments transferred to 1925 account. ss Balance of $1Ã. 67 and 510 repayments transferred to "Salaries, Federal Farm Loan
Board, 1925, " Special Fund.
172 RECEIPTS AND DISBURSEMENTS' 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in ftsffcsl
Appropriations available in 1925
Appropriations from the general fund Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
Federal Farm Loan Bureau— Continued.
Indefinite — Continued. Special funds — Contd.
Expenses of addi- tional personnel, Federal Farm Loan Board, under Sec- tion 206(s), Agri- cultural Credits Act of 1923 No year.
Miscellaneous ex- penses, Federal Farm Loan Board 1925
1924
Less repayments trans- ferred ss per footnotes
Total, Federal Farm Loan Bureau
ss 5, 714. 55 s'
2& 318. 14
64, 236. 24
2& 901. 88
116, 344. 83 5, 000. 00
61, 334. 36 375, 703. 31
$8, 539. 88 $27, 000. 00 $31, 985. 66
104, 178. 35 7, 318. 14
$31, 985. 66
111, 496. 49
383, 652. 76 $25, 887. 04
$3, 554. 22
17, 881. 03
27, 497. 87
Salaries, Postal Savings System, ofFice of Treas- urer of United States
Labor-saving and filing devices, office of Treas- urer of United States
Repairs to canceling and cutting machines, office of Treasurer of United States
1923
1923
1925 1924 1923
Relief of Treasurer of United States, short- age in oifice of Assis- tant Treasurer United States st-
Bsltimore No year. Ssn Francisco do
Permanent snd indefi- nite—
Contingent expenses, national currency (re- imbursable) 1925
1924
Office of Treasurer of United States:
Salaries 1925 1924 1923
Salaries, national currency (reimbursable) 1925
1924 1923
268. 75 14, 532. 87
23, 575. 75 85, 466. 34
74. 95
11. 03
50. 00 35. 52
r 1, 06o, 222. 50
' 438, 750. 00
200. 00
32, 000. 00 514. 95
160, 3?f, 10 10, 141. 44
1, 056. o00. 00 6, 1/0. 80
418, 000. 00 16, 788. 78
100. 00 8. 88
32, 000. 00, 514. 95I
160, 376. 10 8, 3?5. 81
1, 051, 359. 70
402, 266. 28
91. 77
32, 000. 00 514. 95
168, 751. 91
14, 532. 87
85, 466. 34
74. 95
11. 03
35. 52
1, 765. 63
8, 722. 50 5, 409. 05
20, 750. 00 39, 309. 47
100. 00 58. 23
Total, Office of Treasurer of United States 124, 015. 21I 1, 707, 20-1. 99 1, 654, 984. 61 101, 886. 34 74, 349. 25
' Exclusive of amount transferred to "Civil servi ce retire&neat and disaMity fund, " p. 295. »& Transferred from 1924 account.
RKOEIPTS AiVD DISBUIfSEMZNTS7 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements sre printed in ffolfcs]
Appropriations available in 1925
Appropriations from the general fund Fiscal Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
Once of Comptroller of the Currency:
Salaries 1925 I
1924 1923
Salaries, national currency (reimbursable) 1925
1924 1923
Special examinations of national banks 1925
1924 1923
$11, 266. 50 10, 028. 56
4, 864. 50 23, 058. 80
750. 00 4, 195. 04
' $232, 682. 00
' 74, 733. 75
2, 000. 00
$218, 900. 00 5, 675. 94
70, 400. 00 81, 887. 71
2, 000. 00 888. 18
$213, 224. 06
48, 562. 29
$10, 023. 56
23, 058. 80
4, 195. 04
$13, 782. 00 16, 942. 44
4, 333. 75 26, 702. 21
1, 082. 13
Permanent and indefi- nite—
Refunding to national- banking associations, excess of duty No year.
Special - fund — Salaries and expenses na- tional - bank examin- ers do
Total, Oflice of Comptroller of the Currency
INTERNAL REVENuE SERVICE
92, 305. 07
146& 463. 47
31. 50 81. 50
2, 745, 189. 11
7 2& 435, 741. 86 2& 108, 028. 45
1, 667. 87
31. 50
2, 108, 028. 45
2, 371, 514. 17
420, 018. 48
37, 277. 40 482, 861. 01
Salaries (reimbursable) Salaries and expenses of
collectors, etc. , of inter- nal revenue
1925
1925 1924 1923 1921
1920 and prior. Certified claims.
Once of Commissioner of In- ternal Revenue:
Salaries 1925 1924 1923
. 25 17, 341. 68
113 867 06&
191& 328. 28
7 814, 848. 60
7 1, 813. 50
' 4, 451, 959. 30
712. 65
811, 600. 00 17, 179/7. 78
1, 670. 00
4, 282, 632. 22 81, 975. 05
1, 316. 67 188. 00 86. 18
712. 65
794& 105. 27 1, 670. 00
17, 341. 68
190, 011. 61 138. 00 86. 18
3, 248. 60 17, 494. 98
148. 50
169, 327. 08 145, 842. 11
Salaries and expenses of collectors of internal revenue
Collecting the internal revenue
Collecting the iuternal revenue (transfer to State, War, and Navy Department Build- ing) — Act Dec. 5, 1924
Act May 21, 1920
Collecting the war reve- nue
Certified
1919
1925 1924 1928
1925 1924 1923
1922 1921 1920 1919
claims.
680, 093. 05 I» 2, 269', 240. 35
(&0)
" 32, 809, 663. 43~
» 18, 415. 00
1, 560. 22
o. 00
32, 018, 303. 45 5817, 1 tj. 8. 15
69, 068. Ij. i
16, 830. 10 6, 8179. 71
o8. 67 1& 17817. 80 8& 9177& 09
1. 19 1, 560. 22
4, 252, 462. 31
5. 00
31, 416, 096. 83
16, 830. 10
6, 8I79. 71
8, 896. . &&6,
. 00 5.
2, 837, 303. 82
53. 67 1, 484. 80 3 247 Orj
1. 12
791, 359. 98 1, 214, 236. 20
1, 584. 90 6& 849. 71
' Exclusive of amount transferred to "Civil service retiremeut snd disability fuud, " p. 295. u Exclusive of $18 415 transferred to same object, under State, War, aud Navy Department Buildings, and $552 961 57 to" Civil service retirement and disability fund, "
p 296 a Includes $15 000returned from same object under State, Wsr, and Navy Department Buildings, and excludes $1, 053 62 to "Civil service retirement au& 1 disabi! ity fund, " p. 296 e& See note 88. 7' See note 89.
EEGEIPTS AND DISBURSEMEZTS3. 1925
Dtsbftrscmertfs, balances, efc. — Continued
[Bepsyments to appropriations in excess of disbarsements sre printed in ffeffcsl
appropriations svsnable in 1%%
kppropristions from the general fund year Sppropriaiioas
Disbarmncnts by years
Total disburse- amount carried ments in 1925 to sarplus fand
Balances June 39, 1925
Once of Commisstoncr of Irt- ternaL Revenue — Con.
Enforcement of narcotic snd national prohibition acts, internal revenue 1925
1924 1923 1922 1921;
Certified claims. ,
Enforcement of the na- tional prohibition sct, internal revenue
Certified
Expenses, Tax Simplific- atio Board
MisceHsneous expenses, Interasl-Revenue Serv- ice Certified
Payment of judgments against internal-revenue oiiicers Certified
Refunding internal-rev- enue collections
Certified
1920 claims.
1924 1923 i
claims.
1925 1924 1923 1921 1920
claims.
INTEBNaL BEVENVE 6EBVICE — COIl.
' $746, 252. 33 I 256, 498. 04
5, 500. 00 4, 772. 56
298, 066. 16 78, 822. 80',
$11, 263, 491. 91 $10, 134, 246,
8, 174. 09
101. 83|
082. 76 246. 10, 962. 53' ~7. 90' 589. 91, '
174. 09& '$10, 388, 408. 37'
180. 00 101. 83
48 i? 549. 30
549. 30
674. 30' 674. 30 674. 30
3, 246. 62i
200, 000. 00
135. 00'
2, 609. 57,
3, 246. 62' 3, 246. 62
99, 981. 21 195, 258. 70 54, 581. 61
135. 00' 8. 8o
2, 609. 57
$255, 535. 51 467. 90 589. 21
150. 00
4, 772. 56
24, 241. 19
. 65 6.
$1, 129, 409. 15 500, 006. 23
4, 950. ?O
100, 018. ?9 102, 807. 46
Refunding taxes illegally collected No year.
1926 aad prior 1925 aad prior i
1924 aad prior t 1923 '
1922 I
1921 ~ 1920
1919 i
29, 478, 267. 52 »19, 125. 3O
(03) »9. 14
150, 000, 000. 00 101, 12, 000, 000. 00 11, 16, 140& 000. 00 44,
611. o8 428, 074. 70 916, 279. 92 494, ?62. 73'
305. 45 8. 90
7, 071. 89 $08, 87 90. 58
352, 559. 44
157, 831, 339. 90
511. 56
18, 819. 85t 2. 20
7, 080. 83 406. 87
90. 58
48, 571, 925 30 83, 720 08
1, 123, 504. 79
Refunding taxes illegally collected, claims accrued prior to July 1, 1920 No year.
Permanent snd indefi- nite— Allowance or drawback do
Certified claims.
Redemption of stamps No year. Ref uading moneys er-
roneously received snd covered do
Special funds- Additioaal income tax
on railroads in Alaska do Philippine special fund
(internal revenue) do Porto Rico special fuad
(iaterasl revenue) do
20, 329. 08
578. 19
83O. ?0~ 117,
715, 768. 36 633, 437. 57
352& 336. 69 94. 69
352, 336. 69 94. 69
108. 47 108. 47
15, 642. 68
849, 967. 25
20, 398. 02
117, 830. 70
1& 004, 665. 33 1, 004, 665. 33
633& 437. 57i
352, 431. 38 1, 004, 665. 33
108. 4?i
20, 398. 02t
117, 830. 70
82, 330. 79
15 573 74
2, 294, 545. 44
Total, Internal Rev- eaue Service
, '36, 457, 690. 85 229, 940, 221. 13 207, 176, 684. 57 2, 944, 678. 67 56, 2?6, 548, ?4
i Ezclusive of smouat transferred to "Civil service retiremeat and disability fund, " p. 295. ~ & Includes 313, 632. 55 transferred from 1922 account aad 9294. 94 from 1921 account.
RECEIPTS AND DISBURSEMENTSr 1925
Disbursements, balances, efc. — Continued
[Repayments to appropriations in excess of disbursements are printed in ifalfco]
175
Appropriations available in 1925
Appropriations from tbe general fund Fiscal Balances July
1& 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
Coast Guard: Salaries, Office of Coast
Guard 1925 1924 1923
Coast Guard 1925 1924
1923-24 1923 1922 1921 1920
Certified claims.
7 $5, 733. 80 2, 914. 72
1, 451, 850. 61 51, 900. 33
247, 802. 05
369. 99
7 $187, 399. 87
» 17, 716, 448. 50
17, 003. 14
$185, 300. 00 1) 9/8. 68
16, 215, 589. 73 188, 8/)8. 88
705. 63 81& 471. 86
81)8. I)5 878. OO
879. 10 17, 373. 13
$183, 351. 37
16, 017, 458. 36
$2, 914. 72
279, 273. 41 343. 45 273. 00 279. 10
$2, 099. 87 7, 682. 43
1, 500, 858. 77 1, 635, 693. 83
51, 194. 70
Coast Guard (transfers, act Msy 21, 1920)—
To Department of Com- merce, Bureau of Standards
To Navy Department 1925 1925 1924
Repairs to Coast Guard cutters 1925
1924 1923
Repairs to Coast Guard cutters (trsnsferto Navy Department, act Msy 21) 1920) 1925
Additional vessels, Coast Guard 1924-25
Additional vessels, Coast Guard (transfer to Navy Department, act May 21& 1920) 1924-25
Construction and equip- ment of Coast Guard cutter 1925-26
' Construction of Coast Guard vessels . No year.
Coast Guard station, Bar- ataria, La = == do
Establishing Coast Guard stations do
Radio equipment, Coast Guard 1924 — Dec. 31, 1924
Radio equipment, Coast' Guard (transfer to Navy Department, sct Msy 21, 1920) 1924 — Dec. 31, 1924
Life Saving Service Certified claims.
Psy of crews, miscellaneous expenses, etc. , Life Sav- ing Service do
25, 000. 00
6, 456. 03 8, 521. 07
» 9, 613, 786. 50
. 107, 957
303
79
00
19, 405. 49
'o 24, 003. 46
' 9, 996. 54
os 2& 192& 113. 50
o42, 000. 00 o4 65, 000. 00
» 943, 032. 07
oo 80, 760. 43
925, 000. 00
4. 00
6. 00
63, 371. 72 16, 567. 24
589, 611. 35 18, 896. 85 8, 168. 66
79, 938. 96
575, 152. 44
24, 271. 43 24, 271. 43
8, 297, 214. 01 8, 297, 214. 01
611. 59 611. 59
24, 000. 00 24, 000. 00
9, 996. 54 9, 996. 54
4. 00 4. 00
6. 00 6. 00
1, 580, 801. 37 1, 580, 801. 37
10, 683. 73
2& 000. 00 1, 628. 28 8, 432. 76
353, 420. 72 18, 752. 28
56, 489. 00
1, 316, 572. 49
611, 312. 13
925, 000. 00
107, 346. 20
303. 00
19, 405. 49
3. 46
) 8ee note 99. ' Exclusive of amount transferred to "Civil service retirement and disability fund, " » Exclusive of $67, 000 transferred to same object under Departments of Commerce
and Navy, and f1, 975. 50 to "Civil service retirement and disability fund, " p. 296. » 8ee note 93.
» Exclusive of $30, 760. 43 transferred to same object underNavy Department and, $207. 50 to "Civil service retirement and disability fund, " p. 296.
» See note 95. » Exclusivo of $1, 942, 333. 50 transferred to ssmo object under Navy Department. » Includes $1, 942, 333. 50 transferred from Navy during fiscal year 1925. » Exclusive of $9, 996. 54 transferred to same object under Navy Department.
176 RECEIPTS AND DISBURSEMENTS3 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in ifalics]
Appropriations available in 1925
Appropriations from the general fund year Balances July 1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 20, 1925
Coast Guard — Continued. Permanentandindefinite-
Special funds- Buildit:g or purchase
of such vessels as may be required for the floast Guard, proceeds of sales No year.
Rebuilding and im- proi ing Coast Guard stations, pro- ceeds of sales do
Trust fund— Coast Guard allot-
ments ' (transfer to Veterans' Bureau, act ()ct. 6, 1917) do
$3, 489. 54
39, 856. 89
2, 215. 25
$3, 822. 28
17, 948. 91
6. 00
$3, 322. 28
17, 948. 91
6, 00
26, 814, 083. 21 $298, 767 41
$167. 31
21, 907. 48
2, 209. 25
6, 642& 479. 45 Total, Coast Guard
Bureau of Engraving and Printing:
Salaries . 1925 1924 1923
18, 813, 676. 06
21, 940. 00 3 24, 664. 25
$19, 986, 654. 01
3 424, 125. 00 415, 000. 00 7, 855. 88
55. 62 407, 100. 39
24, 608, 63
9, 125. 00 29& 895. 23
Materials and miscella- neous expenses 1925
1924 1928-24
1923 1917
Certified claims.
Compensation of em- ployees 1925
1924 1928
(') 3 155, 922. 14
426, 159. 06 593. 54
120I 914. 29
3 3, 875, 248. 00
1& 311, 038. 50
6, 181. 43
8, 386, 882. 87 3 88, 890. 91
87l&. 58 3, 246, 966. 94
994, 171. 52 315, 329. 06
8, 289. 95 8, l&88. l&5
6, 181. 48
156, 296. 66
112, 674. 84 3, 438. 45
381 915. 63 63, 412. 35
316, 861, 98 110, 830, 00
593. 54
New machinery and equip- ment 1925 — 26
Plate printing 1925 1924 1928 1922
Less repayments trans- ferred to "Civil service retirement and disabjl-
gity fund"
Total, Bureau of En- graving and Print- ing
Secret Service Division: Salaries 1925
1924 1923
Suppressing counterfeiting and other crimes 1925
1924 1923
(') . 282, 985. 40
1, 033, 178. 68
30, 937. 57
1, 002, 241. 11
54. 00 713. 40
3 25, 982. 65 31. 98
233, 800. 00 ' 1, 606, 296. 00
(35)
6, 956, 183. 98
3 26, 851. 50
7 455& 026. 40
756. 62
25, 000. 00 1, 594, 971. 81
4 88& 8lj. 0. 85 175. 88
26, 400. 00 8M. 88
420, 875. 55 13, 643. 15
758. 60
1, 320, 488. 51
25, 000. 00
1, 562, 555. 60
6, 562, 111. 44
26, 047. 74
435, 277. 30
283, 160, 66
580, 173. 74
718. 40
208, 30O. OO
11, 324, 19 26, 881. 94
818, 138 88
451. 66 406. 26
34& 150, 85 12', 839. 50
Total, Secret Ser vice Division
& Represent& rllr Ir. errr. of Coast Guard pay unde I B:rl 1 tlc&', '1 &1 l ". :, 8. repayments transferred
dj&;Ibrlrr1 fnn r, "
V 296. I Balr&nce an&i . :. 19& rrr ret&ay&sents transferred to
ability fr&rr l, " p. ?95
26, 752. 03 482, 634. 52 718. 40 461, 325. 04 4&, 348. 11
8 Exclusive of amount transferred to "Civil service retirement snd dfsabmty fua ' d,
p. 295. &4 &pf&rnpriatnrn transferred to "Civn service retirement and dtssbflityfrmd& p
r the &var. risk insurance act. to "Civil service retirement and
Civil service retirement and dis-
RECEIPTS AND DISBURSEMENTS& 1925
Dt'sbursements, balances, etc. — Continued
Repayments to appropriations in excess of disbursements are printed in ttagcr]
177
Appropriations available in 1926
Appropriations from the general fund Fiscal year Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 60, 1925
Public Health Seruicet Salaries, Office of Surgeon
G en eral
Pay, etc. , commissioned officers, and pharma- 0 ists
Pay of acting assistant surgeons
1925 1924 1923
1925 1924 1923 1922 1921
1925 1924 1923 1922 1921
$1, 400. 00 1, 603. 58
'10, 277. 65 27, 553. 93
7 3, 188. 03 7 20, 155. 24
7 $102, 185. 00
' 1, 132, 300. 00
(75)
7 316, 228. 00
(75) (75)
$101, 800. 00 1, 008. 67
1, 094, 878. 44 81&, 168. 16
8, 8'1&1&. 98 8. 00
315& 662 561 6, 666. $1
11, 786. 67
$100, 291. 33
1, 058. 157. 35
$1, 603. 58
30, 098. 86 8. 00
31, 881. 91
$385. 00 2, 908. 67
37, 421. 56 44, 445. 81
565. 44 9, 844. 44
Pay of other employees 1925 ], 924 1923 1922 1921
Certified claims.
Pay of personnel and maintenance of hospi- tals, Public Health Service 1925
1924 1923 1922 1921 ]920
Books
Certified claims
1925 1924 1923
Care of seamen, etc Certified claims. Control of biologic prod-
ucts 1925 1924 1923 1922
(') '9, 873. 45
' 484, 571. 26 7 912, 579. 81
5. 00 . 64
7 1, 198. 03 ' 113. 75
7 1, 012, 827. 00
(75) (75)
1. 68
75, 383, 749. 00
(75) (")
3, 483. 5
500. 00
2. 00
7 44& 745. 00
(7')
1, 002, 646. 12 5 8, 891. 87
1&, 789. 98 J, o. 00 i&i. 86 l. 68
5& 136& 521. 59 203, 766. 78
b9, 876. 66 17, 780. 80
91. 78 106. 60
3, 483. 54
500. 00 . 78
2. 00
41, 166. 11 620. 50 871. 88
297, 279. 48
989, 380. 29
5, 266, 466. 77
499. 25 2. 00
41, 514. 79
14, 663. 43 45. 00 41. 26
971, 956. 37 17, 730. 30
91. 78 106. 50
. 64
385. 57
10, 180. 88 6, 742. 26
247, 227. 41 280, 804. 48
5. 75
3, 578. 89 577. 53
Expenses, division of ven- ereal diseases, Public Health Service
Certified
1925 1924 1923
claims.
32, 932. 51 7 42, 717. 24
7 147, 640. 00
75. 00
121, 845 23 4, 775. 20
11, ', 767. 88 75. 00
111& 928. 05
57, 484. 62-
25, 794. 77 28, 157. 31
Field investigations of Public health 1925
1924 1923 1922 1921
7 32, 731. 12 7 4, 086. 28
' 294, 856. 00
(75) (7A
270, 634. 14 18, 899. 79
7& 897. 89 11, 383. 67
24, 221. 86 13, 831. 33
Freight, transportation, etc 1925
1924 1923 1919
Certified claims.
* ll, 650. 52
384. 91
3O, OOO. 00
2. 58
282, 236. 54
17, 019. 93 11, 583 61 1, 871. 8'1&
84, 66 2. 58
26, 699. 92
2, 256. 45 34. 66
12, 980. 07 66. 91
I Bs]ance snd 61, 649. 01 repayments transferred to "Civil service retirement and disability tund, " p. 296.
& Exclusive of amount transferred to "Civil service retirement and disability fund, " p. 296.
» Appropriation transferred to "Civil service retirement snd disability fund, " p. 296.
178 RECEIPTS AND DISBURSEMENTS 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in ffsgcs]
Appropriations available in 1925
Appropriations from the general fund year Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
Public Health 8ervice — Con. Hospital construction,
Public Health Service No year. Hospital furniture, etc. ,
Public Health Service do Interstate quarantine
service . . 1925 — 26 1925 1924 1923 1922 1921
Certified claims.
7 $147, 907. 75
75. 04
7 2, 604. 53 ' 738. 91
$57, 600. 00 ' 22, 380. 00
trt) (")
1. 73
$87, 177. 81
188. 18
12, 068. 91 20, 449. 14
1, 939. 62 487. 88
1. 73
f87, 177. 81
186. 18
33, 972. 17
$1, 226. 14
$185, 084. 96
200. 16
45 531 09 1, 930. 86
664. 91
Investigations for United States Coal Commissiou& Public Health Service
Maintenance, Hygienic Laboratory
1923
1925 1924 1923
41. 72
916. 84 1, 356. 84
44, 600. 00 39, 820. 61 1, 066. 68
31. 61 38, 795. 60
41. 72
1, 325. 23
4, 779. 39 1, 973. 46
Maintenance, marine hos- pitals 1922
Certified claims.
Medical and hospital serv- ices, Public Health Service 1923
1922 1921
Certified claims.
National home for lepers No year. Preparation snd trans-
portation of remains of officers 1925
1924 1923
Preventing the spread of epidemic diseases 1925 — 26
1925 1924 1923 1922 1920 1919
Certified claims.
Quarantine service 1925 1924 1923
Certified claims.
7 728 254 74
1, 321. 90
1, 434. 92 1, 59. 33
7 16, 220. 58 7 69, 938. 52
19, 231. 55 s 145 076 98
9. 00
(") (77&)
12, 834. 66
3, 000. 00
275, 000. 00 7 362, 632. 00
(75)
2, 837. 82
479, 000. 00
7. 32
604. 80 9. 00
11& 986. 89 77. 88
118. 86 12, 834. 66
500. 00 610. 00
88. 78
179, 339. 90 357, 681. 68
88, 107. 69 8& 095. 68
8. 51 110. 00
2, 837. 82
397, 606. 00 8, 967. o6
11, 198. 74 7. 32
496. 80
716. 69
198. 78
509, 537. 58
383, 452. 02
504. 20
1, 682. 11
78, 034. 14
8. 51 110. 00
156, 270. 72
1, 321. 90
2, 500. 00 2, 044. 92
95, 660. 10 4, 950. 32
38, 328. 27
81, 394. 00 22, 199 11
1923 1925 1924 1923 1922 1921
claims. Certified
Quarantine service (trans- fer to Wsr, act May 21, 1920)
Studies of rural sanitation 7 8, 671. 99
7 531. 69
7 75, 710. 00 60, 945. 43 6, 421. 85
197. 16 (") (")
5. 98 5. 98 67, 563. 15
334. 53
7. 27
14, 764. 57 2, 250. 14
2, 742& 940. 78 vices, Veterans' Bursa
ce retirement and d' 7sability ~ Balance returned to "Medical and hospital ser ' Exclusive of amount transferred to "Civil servi
p. 295. fund, " ~ Includes 31 53. 12 returned from same object under War.
' Balance of f153. 12 returned to "Quarantine service, 1923. ' » Appropriation transferred to "Civil service retirement and dfsab+ty fnn '
RECEIPTS AND DISBVRSEMENTS7 1925I
Disbttrsements, balances, etc. — Continued
[Repayments to appropriatiozs in excess of disbursements are printen ifaficsl
179
Appropriations from the general fund 7 tscal year Balances July
1, 1924 Appropriations
Appropriations available in 1926
Disbursements by years
Total disburse- ments in 1923
Amount carried to surplus fund
Balances June 30& 1925
Ptsbiic Health Service — Con. Less repayments trans-
ferred to "Civil service retirement and disabil- itv fund, " and balances returned to "Medical snd hospital services, Veterans' Bureau "
Total, Public Health Service
Minfs and Assay Ogcesf Salaries, Office of Director
of the Mint
Contingent expenses, Of- Sce of Director of the M int
Freight, on bullion and coin
Mint at Carson: Salaries Wages of workmen
Contingent expenses
1925 1924 1928
1925 1924 1928
1925 1924 1923
1925 1925 1924
1925 1924 1928
$742, 021. 72
2, 000, 919. 06
948. 00 1, 950. 00
1, 725. 85 768. 25
54. 66 1& 518. 46
21. 64
29. 54 28. 76
$9, 804, 213. 31
7 30, 437. 50
6, 500. 00
5, 000. 00
7 8, 640. 50 7 1, 267. 50
600. 00
$30, 415. 00 8, 987. 86
3, 967. 58 1, 093. 95
5. 40
4, 684. 80 18. 27
8& 620. 79 1, 267. 50
18. 98
590. 84 7. 10
$9, 170, 496. 67
27, 490. 14
5, 066. 98
4, 702. 57
3, 620. 79
1, 248. 52
$1, 379, 317. 17
1, 950. 00
757. 85
1, 518. 46
28. 76
$1, 255, 318. 53
22. 50 3, 872. 86
2& 532. 42 631. 90
315. 70 36. 89
19. 71
40. 62
9. 16 22. 44
Mint at Denver: Salaries
Wages of workmen
1925 1924 1923
1925 1924 1928
1& 629. 15 2, 924. 58
573. 80 44. 42
7 48, 664. 50
7 104, 412. 75
47, 264. 50 187. 98
104, 391. 49 9, $68. 96
597. 94
2, 924. 58 47, 136. 57 I
44. 42,
1, 400. 00 1, 757. 08
21. 26 3, 032. 25
Contingent expenses
Mint at ltleto Orleans: Salaries
1925 1924 1923
1925 1921
3, 921. 64 1, 625. 29
50, 000. 00
7 5 047. 50 (75)
48, 891. 52 1, 853, 91
377. 25
5, 085. 00
101, 932. 54
50, 622. 68
5, 035. 00
1, 248. 04
1, 608. 48 2, 067. 73
12. 50
Wages of workmen
Contingent expenses
Mint at Philadelphia: Sal ries ar'es
1 (i 25 1928 1922
1925 1924 1923
1925 1924 1923
(to)
151. 87 160. 81
4, 562. 50 4, 907. 79
7 4, 738. 50,
(75)
1, 500. 00
7 75, 990. 50
4, 788. 50
1, 197. 08
68, 874. 28 881. 16
4, 738. 50
1, 197. 08'
68, 643. 12
160. 31 I
302. 92 151. 37
7, 116. 22 4, 793. 66
4, 907. 79
3, 064. 71 14, 574. 74
1, 679. 52,
30, 092. 16 17, 687. 47
3, 838 61'
ce retnement and disability fund, "p. 296.
507, 484. 29 $, 068. 85
7 510, 549. 00 Wages of workmen 1925 1924 1928
10, 506. 49 1, 679. 52'
503, 416. 04 89, 697. 84
9, $98. 87 119, 790 00 1925
1924 1923
Contingent expenses 8, 144. 60' 3, 833. 61
80, 204. 97I ferred to "Civil servi &s Appropriation trans ' ftxcfusfve of amount transferred to "Civil service retirement and disability fund, " p. 296 s Balance transferred to "Civil service retirement and disability fund, " p. 296.
180 RECEIPTS AND DISBURSEMENTS7 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed In frolics]
Appropriations froru the general fund Fiscal year Balances July
1, 1924 Appropriations
Appropriations available in 1925
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances Jm~ 50, 1925
Mint at San Francisco: Salaries
Wages of workfnen
Contingent expenses
Assay once at Boise: Salaries
Wages of workmen
Contingent expenses
Assay once at Deadnroodr Salaries Wages of workmen Contingent expenses
Assay agee at Kelenar Salaries
Wages of workmen
Contingent expenses
1925 1924 1922
1925 1924 1928
1925 1924 1923
1925 1923
1925 1924 1923
1925 1924
1925 1925 1925 1924
1925 1922
1925 1922
1925 1924 1923
$510, 99 1& 11 it 12
236. 87 1, 139. 84
121. 10 63. 00
5. 00
2. 74
136. 65 114. 49
7 $55, 148. 50
(75)
" 197, 989. 35
50, 000. 00
' 3, 918. 50
' 2, 824. 50
1, 000. 00
'8, 918, 50 ' 1, 287. 00
300. 00
''3, 913. 50 (75)
7 1& 287. 00 (")
1, 000. 00
$54, 656. 56 187. 97
187, 939. 13 174. 62 610, 99
43, 241. 52 1/&8. 89 200. 00
3, 913. 47 9. 88
2, 164. 57
997. 28
8, 913. 50 1, 287. 00
286. 87
8, 887. 25
1, 287. 00
989. 30 18. 78
$54, 468. 59
187, 602. 76
43, 299. 20
3, 910. 64
2, 164. 57
997. 28
3, 918. 50 1, 287. 00
286. 87
3, 887. 25
1, 287. 00
972. 57
$1, 622. 11
939. 34
2. 83
63. 00
114. 49
$491. 94 187. 97
10, 050. 22 336. 37
6, 758. 48 379. 19
~ 08
159. 93 121. 10
2. 72 5. 00
13. 13 2. 74
26. 25
10. 70 158. 38
Assay once at ¹tc York: Salaries
Wages of workmen
1925 1924 1923
1925 1924 1923
Assay agee at Salt Lake City: Salaries
Wages of workmen
1925 1924
1925 1924 1922
Contingent expenses 1925 1924 1928
Certified claims.
2, 600. 00 5, 576. 99
821. 88 8, 021. 42
272. 12 10, 993. 70
7 59, 768. 50
7 191, 659. 40
90, 000. 00
2, 300. 00
8. 12 7 1, 813. 50
2, 100. 00 1, 200. 00
57, 988. 85 bb8. 8$
188, 890. 54 9& 09/ 88
73, 082. 49 130. 22
2, 800. 00
2, 086. 87
1, 813. 50 3. 12
57& 485. 21
186, 795. 86
75, 462. 71
2, 086. 87
5, 576. 99
8, 021. 42
10, 998. 70
1, 779. 66 3, 168. 64
2, 768. 86 2, 416. 06
16, 967. 51 141. 90
13. 13 1, 200. 00
Contingent expenses 1925 1924 1923
5. 70 14. 85
300. 00 280. 81 1, 816. 62
280. 81 14. 85
19. 19 6. 70
'Exclusive of amount transferred to "Civil service retirement and disabilityfund, " p. 295. 74 Appropriation transferred to "Civil service retirement and disability «nd
RECEIPTS AND DISBURSEElENTSr ]925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in Ha/ical
181
Appropriations from tbe general fund ye Fiscal
Balances July I, 1924 Appropriations
Appropriations available in 1925
Disbursements bv years
Total disburse- ments in 1925
Amount carried to surplus fund
B&dances June 30, 1925
Assay once at Seattle: Salaries 1925 Wages of workmen 1925
1924 1923
Contingent expenses 1925 1924 1923
r$6. 02 '4. 20
91. 15 23. 68
'9, 628. 25
5, 000. 00
$9, 195. 00 9, 600. 00
4, 990. 00 39. 76
$9, 195. 00
9, 600. 00
5, 029. 76
$4. 20
$6. 00 23. 25 6. 02
10. 00 51. 39
Total, Mints and Assay Offices
UNDER THE SVPERVISINO ARCHITECT
84& 280. 81 1, 661, 980. 75 1, 557, 438. 46 46, 429. 90' , 142, 897. 70
10, 008. 00
fice do Andalusia, Ala. : Post of-
fice Apslachicola, Fla. : Post
office and customhouse do Athens, Tenn. : Post office do Atlanta, Ga. : Post office
and courthouse do Bskersfield, Calif. : Post
office do Baltimore, Md. —
Customhouse do Immigration station do
Batsvia, Ill. : Post office do Bsy City, Tex. : Post office do Bsyonne, N. J. : Post of-
fice do Birmingham, Ala. : Post
office and courthouse do Blue Island, Ill. : Post of-
fice do Bluffton, Ind. : Post office do Boston, Mass. —
Appraisers' stores do Immigrant station do Post office and sub-
treasury d&&
do 44, 922. 50
4, 161. 91 44, 887. 15
5, 000. 00
184, 805. 25
10. 00 95, 392, 82 94, 989. 28 12, 940. 11
99, 917. 35
2, 375. 09
70. 50 58, 200. 00
23, 621. 96 368. 00
26, 872. 09 Branford, Conn. : Post
office Brookfield, Mo. : Post
office Brooklyn, N. Y. : Post
offi e ce Buffalo, N. Y. —
Customhouse and post
a ume, ich. : Post offi
Camden, N. J. : Post office, customhouse, etc
Cape Charles, Va. : Post offic
Caribou, Me. : Post office Carnegie, Pa. : Post office ' Exclusive of amount transferred to
45, 275. 00 do
78. 75
20, 177. 86
do
office 1, 421. 20 Post office 10, 500. 00
Buffalo, Wyo. : Post office 62, 382. 00 C I t M
&10
do &10
20, 000. 00 do
do 8, 000. 00
do do do
3, 700. 00 50, 000. 00
1, 938. 281 "Civil service retirement and disability fund, " p. 296.
Public Buildings: Aberdeen, Wash. : Post
office No year. 82, 518. 86 Akron, Ohio: Post oflice do 198, 275. 00 Alexandria, La. : Post of-
fice snd courthouse do ~ 2, 190. 28 Amarillo, Tex. : Post of-
6ce and courthouse do Amherst, Mass. : Post of-
69, 455. 20
888. 00'
2, 116. 25
3, 025. 89
604. 75
106, 869. 82
20, 810. 00
871. 67
/0. 50 50, 108. 85
17, 409. 00
24, 117. 17
1, 421. 00 1, 466. 00
37. 35
2, 100. 00
888. 00
2, 116. 25
3, 025. 89
604. 75
106, 369. 82
20, 810. 00
371. 67
70. 50 50, 108. 35
17, 409. 00
24, 117. 17
1, 421. 00 1, 466. 00
37. 85
2, 100. 00
74. 03
31, 685. 86 198, 275. 00
10& 003. 00
69, 455. 20
41, 896. 61
8, 557. 16 44, 887. 15
5, 000. 00
28, 435. 43
10. 00 75, 082. 82 94& 989. 28 12, 940. 17
99, 917. 35
2, 003. 42
8, 091. 65
6, 212. 96
2, 254. 92
45& 275. 00
78. 75
20, 177. 86
20' 9, 034. 00
62, 844. 65
20, 000. 00
900. 00
3, 700. 00 50, 000. 00
1& 988. 23
368. 00----
182 RECEIPTS AND DISBURSEMENTS, 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in ffaffcs)
Appropriations available in 1925
Appropriations from the general fund year Balances July I, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30) 1925
UNDER THE SUPERVISING ARcHITEcT — continued
Public BuilCkngs — Continued. Carroll, Iowa: Post office No year. Central City, Nebr. : Post
office do Chard on, Nebr. : Post
office do Chamberlain, S. Dak. :
Post office do Chandler, Okla. : Post
office do Charles Town, W. Va. :
Post office do Cheboygan, Mich. : Post
ofFice do Cherokee, Iowa: Post
office do Chicago, IIL-
Post office do Post office, courthouse,
etc do 1925-26
1925
Cleveland, Ohio— Post office, customhouse,
and courthouse No year. Clinton, Ind. : Post office do Clinton, S. C. : Post office do Cody, Wyo. : Post office do Coeur d'Alene, Idaho:
Post office and court- house do
Cohoes, N. Y. : Post office do Collinsville, Ill. : Post of-
fice do Columbia, S. C. : Post
office do Columbus, Ohio: Post
office and courthouse do Comanche, Tex. : Post
office do Cordovs, Alaska: Post
office and courthouse do Dawson, Ga. : Post office do Delphos, Ohio: Post office do Denver, Colo. —
Mint building do Post office do
Des Moines, Iowa— Courthouse do Post office snd court-
house do Detroit, Mich. —
Post office and court- house do
Remodeling Federal building do
Donors, Pa. : Post office do Douglas, Gs. : Post office do Dubois, Ps. : Post office do Duluth, i&finn. : Post of-
fice, courthouse, snd customhouse do
Durango, Colo. : Post office do East Las Vegas, X. Mex. :
Post office and court- house do
East Orange, N. J. : Post o ce do office
Eldorado, Kans. : Post office do
10, 000. 00 44, 609. 00 45) 692. 44 49, 810. 00
71, 800. 00 81, 300. 00
1, 763. 63
11, 732. 47
3, 500. 00
46, 725. 00
22, 891. 90 26, 683. 60
6, 000. 00
14, 536. 86 705. 48
160, 300. 00
33, 840. 98
69, 742. 90
5, 599. 80 75, 000. 00 51, 390. 00 84, 876. 00
4, 000 80, 000
00 00
115, 930. 40
124, 805. 00
13, 254. 9 3
$46, 209. 97
54, 815. 00
13, 829. 57
60, 000. 00
8, 012. 40
8, 518. 60
61, 987, 24
57, 850. 00
1, 800, 000. 00
10, 000. 00 $75, 000. 00 30, 000. 00
215. 00
6, 000. 00
498. 00
7, 068. 14
215. 00
6, 000. 00
498. 00
7, 068. 14
15, 794. 23 15, 794. 23
30, 000. 00 30, 000. 00
41, 746. 25 35, 256. 89
25. 00
41, 746. 25 35, 256. 89
25. 00
76, 171. 19
169. 15
76, 171. 19
169. 15
20, 008. 43 23, 618. 50
20, 008. 43 23, 618; 50
6, 590. 75 574. 79
6, 590. 75 574. 79
2, 839. 90
5, 584. 80
2, 839. 90
5, 584. 80
28, 567. 98 28, 567. 98 82, 505. 92 82, 505. 92
$43, 974. 12 $43, 974. 12
$1 594. 48
180. 69
$2) 235. 85
64, 816. 00
13, 614. 67
54, 000. 00
2, 514. 40
1, 445. 46
61, 987. 24
42, 066. 77
1, 800, 000. 00
10, 000. 00 76, 000. 00
10) 000. 00 2) 862. 75
10, 435. 55 49, 785. 00
71, 800. 00 6, 128. 81
11) 782. 47
3, 600. 00
46, 726. 00
2, 888. 47 3, 016. 10 6, 000. 00
7, 946. 11
160, 300. 00
33, 840. 93
66, 903. 00
Ifa 00 75, 000. OO
22, 822. 02 2, 370. 08
4, OO0. OO
8O, OOO. 00
116, 930 40
124, 806. 00
13, 264 89
RECEIPTS AND DISBVRSEMENTSr 1925
Disbursements, balances, efc. — Continued
[Repayments to appropriations in excess of disbursements are printed in ifaficr]
Appropriations available in 1925
Appropristiona from the general fund Iriacsl year Balances July
I, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30& 1925
UNDER THE SUPERVISING ARcHPPEcT — continued
Public Buildings — Continued. Elizabethton, Tenn. : Post
office No year. El Paso, Tex. : Post office do Eureka, Utah: Post office do Eureka Springs, Ark:
Post office do Everett, Wash. : Post office
and customhouse do Fairmont, Minn. : Post
office do Fallon, Nev. : Post office do Fayette, Mo. : Post office do Fort Fairfield, Me. : Post
office and customhouse do Fort Plain, N. Y. : Post
office do Fort Wayne, Ind. : Post
office and courthouse do Franklin, N. H. : Post
office do Franklin, Pa. : Post office do Franklin, Tenn. : Post
office do Frederick, Md. : Post office do Fremont, Ohio: Post office do Fresno, Calif. : Post office do Front Royal, Va. : Post
office do Gallipolis, Ohio: Post office do Galveston, Tex. : P o s t
office and customhouse do Gardiner, Me. : Post office do Geneseo, Ill. : Post office do Georgetown, Ky. : Post
o ce — do office Gilmer, Tex. : Post office do Globe, Ariz. : Post office
and courthouse do Goldfield, Nev. : Post office do Green ville, N. C. : Post
offi e ce e do Greenwich, Conn. : Post
offi e ce e „do Hagerstown, Md. : Post
offi e ce e do Harrisonville, Mo. : Post
offi e ce do Hartford, Conn. : Post of-
fice and customhouse do Hastings, Mich. : Post of-
fice Hinton, W. Va. : Post of-
fice do Holly Springs, Miss. : Post
offic e Honolulu, Hawaii—
Post office, courthouse, and customhouse do
Hoosick Falls, N. Y. : Post office
Hot Springs, Ark. : Post office
Houghton, Mich. : Post office 0 do
Huntington, Ind. : Post office .
Huntington, W. Va. : Post office and courthouse do
73270 — 26 — 18
$2, 500. 00 181. 75
8, 882. 34
8, 141. 55
48, 086. 18
65, 000. 00 53, 243. 00 50, 882. 00
61, 765. 00
65, 000. 00
5, 000. 00
5, 175. 27 80, 860. 00
48, 602. 00 5, 737. 73
99, 865. 00 2, 000. 00
2, 538. 49 48, 856. 36
15, 000. 00 20, 489. 68 49, 976. 32
9& 662. 58 49, 930. 00
99, 844. 00 75, 000. 00
33. 00
12, 929. 67
8, 646. 92
47& 200. 00
3, 000. 00
74, 448. 00
49, 877. 85
48, 405. 00
37, 072. 16
58, 701. 55
3, 192. 13
57, 569. 28
16, 796. 68
24, 668. 91
$100. 00 4, 382. 53
111. 37
10, 320. 50
657. 63
41, 552. 81 2, 585. 00
697. 89 36, 699. 95
200. 00 90. 00
14, 940. 00
66, 758. 53
6. 00
2, 616. 50
56, 467. 01
53, 977. 15
583. 50
425. 00
$100. 00 4, 382. 53
111. 37
10& 320. 50
657. 63
41, 552. 81 2, 585. 00
697. 89 36& 699. 95
200. 00 90. 00
14, 940. 00
66, 758. 53
6. 00
2, 616. 50
56, 467. 01
58, 977. 15
588. 50
425. 00
$81. 75
8, 030. 18
48, 086. 18
4, 517. 64
20, 239. 68
12, 929. 67
8, 646. 92
$2, 500. 00
4, 499. 81
54, 679. 50 53, 243. 00 50, 882. 00
61, 765. 00
65, 000. 00
5, 000. 00
80, 860. 00
7& 049. 19 3, 152. 78
99, 865. 00 2, 000. 00
1, 840. 60 7, 156. 41
15, 000. 00
49, 886. 32
9, 662. 58 49, 930. 00
99, 844. 00 75, 000. 00
33. 00
32, 260. 00
3, 000. 00
7, 694. 47
49, 877. 35
48, 899. 00
34, 455. 66
2, 334. 54
8, 192. 18
3, 592. 13
16, 213. 18
24, 243. 91
RECEIPTS AND DISBURSEMENTSi 1925
Disbursernenfs, balances, elc. — Continued
[Repayments to appropriations in excess of disbursements are printed ln ffalfcsi
Appropriations available in 1925
Appropriations from the general fund year Balances July 1, 1924
Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
UNDER TEE SUPERVISINO ARcRPPEcT — continued
Public Buildings — Continued. Indianapolis, Ind, : Post
office and courthouse No year. Jacksonville, Fla. : Post
office snd courthouse do Jamestown, N. Dak. : Post
office do Jerseyville, Ill. : Post office do Juneau, Alaska: Post of-
fice and customhouse do Kansas City, Mo. —
Post office and court- house do
Rent of buildings do Kendsllville, Ind. : Post
office do Kenton, Ohio: Post office do Lakeland, Fls. : Post of-
fice do Lancaster, S. C. : Post of-
fice do Lanett, Ala. See West
Point, Ga. Lansing, Mich. : Post of-
fice do Lawrence, Mass. : Post of-
fice do Leesburg, Vs. : Post office do I eominster, Mass. : Post
0 ffice do Lewiston, Ps. : Post office do Liberty, Mo. : Post office do Lincoln, Nebr. : Post office
and courthouse do Little Rock, Ark. : Post
office and courthouse do Long Island City, N. Y. :
Post office do Los Angeles, Calif. : Post
office and courthouse do Louisville, Ky. —
Post office do Lowell, Mass. : Post office do McCook, Nebr. : Post of-
fice snd courthouse do McKees Rocks, Pa. : Post
office do Madison, Wis. : Post office
snd courthouse do iMslden, Mass. : Post office do Maquokets, Iowa: Post
0 ffice do Marianna, Ark. : Post of-
fice do Mariana, Fla. : Post office
and courthouse do Marion, Ill. : Post office do Memphis, Tenn. : Subpost
office do Metropolis, Ill. : Post office do Middietown, Ohio: Post
offic e do 5Iidland, Mich. : Post of-
do &Iillville, N. J. : Post office do
Iiilwauh. ee, Wis. : Post of- fice, courthouse, snd customhouse do
Mineral Point, Wis. : Post office and customhouse do
$20, 000. 00
1, 500. 00
59, 980. 00 58, 600. 00
181, 9?1. 70
307, 6?4. 37 15, 000. 00
9, 008. 20 65& 765. 00
13, 094. 28
41, 960. 00
1, 500. 00
1, 500. 00 1, 711. 56
69, 908. 00 58, 880. 00 53& 925. 00
5, 000. 00
3, 500. 00
159, 872. 00
9, 000. 00
20, 000. 00 800. 00
6, 925. 89
64, 907. 00
78& 357. 00 500. 00
3, 250. 75
19, 382. 95
65, 924. 50 5, 328. 24
93, 564. 70 50, 000. 00
15, 898. 44
51, 789. 60 30, 232. 50
5, 000. 00
64, 511. 40
&'in ;:oo &
&. , &00- —-
$1, 870. 00 $1, 370. 00 $130. 00
88, 814. 48 33, 814. 48--------------
298, 159. 25 298, 159. 25
8, 628. 701
125. 00
8, '623. 70
125. 00
9, 008. 20
1, 038. 60 1, 038. 60
2, 367. 70, 2, 367. 70
294. 15 294. 15
485. Ool
18, 165. 30'
485. 00
18, 165. 30
2, 765. 75
500. 00!
92, 866. 53
500. 00
92, 866. 53
4, 828. 24
7, 942. 08
49, 429. 40
7, 942. 08
49, 429. 40
7, 966. 36
46, 028. 65& 46, 028. 65
49, 377. 15 49, 877. 15
$20, 000, 00
59, 98O. OO
24, 785. 62
131, 971. 70
9, 515. 12 15, 000, 00
57& 141. 30
12, 969. 28
41, 960. 00
1, 500. OO
1, 500. OU
672. QB
69, 903. 00 58, 380. 00
4, 647. 86
5, 000. 00
3, 500. 00
159& 372. 00
9, 000. OO
20, 000. 00 800. 00
4, 558. 19
64, 907. OO
78, 062. 85 500, 00
1, 217. B5
65, 924. 60
698 17 60, 000. 00
2, 31O. 20 3O, 232. 50
6, OOIL 00
8, 482, 76
-RECEIPTS AND DISBURSEMENTS' 1925I
Disbursements, balances, efc. — Continued
[Repayments to appropriations in excess of disbursements are printed in ffaffcs]
185
Appropriations available in 1925
Appropriations from the general fund Fiscal
Balances July 1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30 1925
UNDER THE 8UPERVI8ING Aacaf TEGT continued
Public Buildings — Continued. Missoula, Mont. —
Post office and court- house No year,
Rent of buildings do Monongahela, Pa. : Post
office do Montclair, N. J. : Post
office do Montevideo, Minn. : Post
office '
do Mount Airy, N. C. : Post
office do Mount Carmel, Ill. : Post
office do Mount Pleasant, Tex. :
Post office do Muskegon, Mich. : Post
office and customhouse do Mystic, Conn. : Post office do Nashville, Tenn. : P o s t
office and customhouse go Neenah, Wis. : Post office do Newark, N. J. : Post office
and customhouse do Newburyport, Mass. : Post
office do New Orleans La. : Mint 1925 Newport, R. ). : Post office
and customhouse No year. iVew York, N. Y. —
Assay office building do Customhouse 1925 Customhouse building No year. Post office do Subtreasury do
Nogales, Ariz. : Post office and customhouse do
Norfolk, Va. : Post office and courthouse do
North Topeka, K a n s. : Branch post office do
North Vernon, Ind. : Post offic
Norton, Va. : Post ofhce do Oconto, Wis. : Post office do Olyphant, Pa. : Post office do Orange, Tex. : Post office do Orlando, Fla. : Post office do Oswego, N. Y. : Post office do Paris, Tex. —
Post office and court- house do
Rent of buildings do Paxton, Ill. : Post office do Philadelphia, Pa. : P o s t
office and courthouse do Phoenixville, Pa. : Post
office Pikeville, Ky. : Post office
and courthouse do Pittsburgh Ps„: Post office do Pittsburg Tex. : Post oRice do Pittston, Pa, : Post office do Plymouth, Ind. : Post
offi ce Portland, Me. : Post office
and courthouse do Portland, Oreg. —
Post office and court- house
Moving weather ball, customhouse do
$65, 000. 00 5 000. 00
1, 797. 99
99, 655. 00
49, 777. 50
5, 000. 00
54, 965. 00
49, 740. 00
10, 553. 63 50, 863. 00
3, 500. 00 14, 356. 91
10& 000. 00
69, 921. 83
32& 313. 29
6& 310. 52
5, 040. 00 50, 672. 36
21, 810. 64
6, 000. 00
1, 631. 27
49, 898, 00~
7, 793. 18 8, 196. 95,
65, 000. 00, ' 54, 888. 50'
2, 031. 11 35, 000. 00
70, 028. 00 5, 000. 00
60, 000. 00
59, 675. 45
1, 201. 32
7, 000. 00 950, 000. 00
49, 860. 00 79, 961. 58
10, 000. 00
1, 500. 00
17, 324. 38
500. 00
$15, 000. 00
16& 000. 00
35& 000. 00
61, 000. 00
$1, 675. 30 $1, 575. 30
39, 821. 65
5, 930. 00
39, 821. 65
5, 930. 00
14, 986. 00
88. 50
2, 520. 00 10, 337. 16
14, 986. 00
88. 50
2, 520. 00 10, 337. 16
28, 480. 25 28, 480. 25
19& 686. 47 19, 686. 47
414. 00
27, 803. 00
414. 00
27, 803. 00
47, 614. 10 526. 00
32, 371. 00
47& 614. 10 526. 00
32, 371. 00
8, 578. 00
1, 131. 00
8, 578. 00
1, 131. 00
13, 539. 93 13, 049. 40
18, 539. 93 13, 049. 40
121, 160. 10 121, 160. 10
$4, 623. 63
7, 793. 18
1, 505. 11
17, 324. 38
500. 00
$65, 000. 00 5, 000. 00
222. 69
99, 655. 00
49, 777. 50
5, 000. 00
54, 965. 00
9, 928. 35
50, 863. 00
3, 500. 00 14, 356. 91
10, 000. 00
69, 921. 83 14. 00
32, 224. 79
3, 790. 62 6, 662. 84 6, 040. 00
50, 672. 36 6, 519. 75
2, 124. 17
6, 000. 00
»1, 217. 27
22, 095. 00
8, 196. 95 65, 000. 00
7, 274. 40
2, 629. 00
9, 867. 90 5, 000. 00
60, 000. 00
51, 097. 45
70. 32
7, 000. 00 950, 000. 00 36, 320. 07 66, 912. 18
10, 000. 00
1, 500. 00
186 RECEIPTS AND DISBVRSEMENTSJ 1925
Disbursements, balances, etc. — Continued
[ Repayments to appropriations in excess of disbursements are printed in ifelicsl
Appropriations available in 1925
Appropriations from the general fund year Balances July 1, 1924
Appropriations
Disbursements by years
Total disburse- ments in 1925
Ainount carried to surplus fund
Balances June 30, 1925
VNDER THE 8VPERVI8INQ ARcHITEcT — continued
Public Buildings — Continued. Pottsville, Pa. : Post of5ce No year. Poughkeepsie, N. Y. —
Post office do Rent of buildings do
Pratt, Kans. : Post office do Prescott, Ark. : Post office do Putnam, Conn. : Post
office do Red Bluff, Calif. : Post
office do Redfield, S. Dak. : Post
office do Rhinelander, Wis. : Post
of5ce do Richmond, Va. : Post
office, courthouse, and customhouse do
Ripon, Wis. : Post office do Rochester, Ind. : Post
offfee do Rock Island, Ill. : Post
office do Russellville, Ark. : Post
office do St. Johns, Oreg. : Post
of5ce do St. Johnsbury, Vt. : Post
office clo St. Paul, Minn. : Post
office, courthouse, and customhouse do
St. Peter, Minn. : Post office do
Saco, Me. : Post of5ce do Salem, Ind. : Post office do Salem, Va. : Post office do Salisbury, Md. : Post office do Sandp oint, Idaho: Post
office do Sandusky, Ohio: Post office do San Francisco, Calif. : Post
office, courthouse, etc do San Luis Obispo, Calif. :
Post office do San Pedro, Calif. : Post
office and customhouse do Santa Fe, N. Mex. : Post
office, etc do Saranac Lake, N. Y. : Post
office do Savannah, Ga. : Post office do Sayre, Pa. : Post of5ce do Scranton, Pa. : Post office do Seymour, Ind. : Post office do Shawnee, Okla. : Post
office do Shelbyville, Ky. : Post
0 ffice do Sitka, Alaska: Custom-
house do South Boston, Vs. : Post
office do Southbridge, Mass. : Post
office do- Spanish Fork, Utah: Post
office State College, Pa. : Post
office Statesboro, Ga. : Post
offic e do
$250. 00
38, 849. 00 10, 000. 00 9, 815. 40
49, 960. 61
56, 344. 00
50, 100. 00
30. 00
22, 700. 04
3, 000. 00 55, 159. 12
62, 265. 00
3, 000. 00
44, 798. 80
5, 000. 00
91, 325. 00
8, 000. 00
12, 796. 25 20, 482. 60
5, 000. 00 3, 348. 27
79, 059. 33
69, 667. 98 159, 905. 00
10, 000. 00
72, 411. 00
60, 000. 00
18, 828. 15
71, 208. 00 2, 500. 00
80, 000. 00 5, 500. 00 6, 973. 06
13, 510. 05
49, 796. 25
200. 00
2, 694. 05
61, 815. 00
1, 309. 60
52, 108. 20
4& 433. 64
274. 00 274. 00
80. 00; 80. 00
52, 685. 55 52, 635. 55
17, 980. 41 17, 980. 41'
55, 500. 50 55, 500. 50 1
18, 875. 20
4. 12 42, 388. 20
15. 00
18, 875. 20
4. 12 42, 388. 20
15. 00
1, 189. 30
81, 667. 70
1, 189. 30
81, 667. 70
2, 570. 54 2, 570. 54
195. 00 195. 00
125. 00' 125. 00
50, 396. 29 50, 396. 29
$86, 559. 91 $36, 559. 91
$12, 796. 25
6, 973. 06
2, 499. 05
4, 433. 64
$250. 00
2, 289. 09 10, 000. Oil
9& 041. 40 49, 960. 61
56, 344. 00
50, 100, 00
22 700 04
3, 000. 00 2, 528. 57
44, 284. 59
3, 000, 00
44, 798. 80
5, 000. 00
35, 824. 50
8, 000. 00
1, 607. 40 5, 000. 00 3& 344. 15
86, 671. 13
69, 667. 98 159, 890. 00
10, 000. 00
72& 411. 00
60, 000. 00
12, 138. 85
39, 540. 30 2, 500, 00
80 000 09 5, 500. 00
10, 939 51
49, 7g6. 25
200. 00
61, 815. 00
1, 184. 60
1 71Lgl
RECEIPTS AND DISSURSEMENTSr 1925
Disbursements, balances, etc. — Continued
inepsymente to appropristione in excess of disbursements are printed in itelicr]
187
Appropriations available in 1925
Appropriations from the general fund Fiscal year Balances July
1, 1924 Appropriations
Disbursements by pears
Total disburse- ments in 1925
Amount, carried to surplus fund
Balances June 30, 1925
UNDER THE SUPERVISING ARcHITEUT — continued
do
Public BuilCings — Continued. Steubenville, Ohio: Post
office No year. Stuttgart, Ark. : Post office do Syracuse, N. Y. : Post of-
fice Tacoma, Wash. : Post of-
fice, courthouse, and customhouse do
Tsmaqua, Pa. : Post office do Tsrentum, Pa. : Post office do Thibodsux, La. : Post of-
fice do Thomasville, N. C. : Post
office do Tomsh, Wis. : Post office do Topeka, Kans. : Post of-
fice snd courthouse do Tullshoma, Tenn. : Post
office do Tulsa, Okla. : Post office
snd courthouse do Utica, N. Y. —
Post offic, courthouse, and customhouse do
Rent of buildings do Vernal, Utah: Post office do Vineland, N. J. : Post of-
fice do Vinton, Iowa: Post office do Wslden, N. Y. : Post of-
fice do Wslthsm, Mass, : Post of-
fice do Washington, Mo. : Post
offi e ce e do Washington Court House,
Ohio: Post Office do Waterloo, N. Y. : Post
ofB Water Valley, Miss. : Post
oifice do Wsynesboro, Va. : Post
offic e Wsynesburg, Pa. : Post
office West Point, Ga. (Lanett,
Post office do Wheeling, W, Va. : Post
office, courthouse, and customhouse do
Williamson, W. Va. : Post oflice
Wilmington, N. C. : Cus- tomhouse and apprais- ers' stores
Wilmington, Ohio: Post ofBce
Wilson, N. C. : Post office do Winchester, Ky. : Post
office Winchester, Mass. : Post
ofBc Woodbury, N. J. : Post
ofBce ofB do Worcester, Mass. : Post
office, etc do %'ysndotte, Mich. : Post
office do
$123, 643. 00 4, 000. 00
549, 750. 00
2, 200. 00 75, 000. 00 49, 775. 00
44, 665. 00
46, 968. 50 46, 850. 00
2, 500. 00
43, 792. 00
1, 432. 47
180, 000. 00 15, 000. 00 45, 050. 00
59, 895. 00 400. 20
57, 252. 00
58, 948. 80
2, 782. 45
64, 785. 50
54, 752. 50
44, 900. 00
11, 975. 95
26, 000. 00
43, 885. 00
260. 00
780. 50
77, 260. 80~
74, 974. 49 49, 985. 00
20, 000. 00
55, 325. OOI
54, 935. 00
1, 400. 00
74, 958. 25
$57, 000. 00 $57, 812. 50
64. 00
6, 057. 00
40. 10
18, 935. 68
36, 626. 40
43, 561. 59
46, 670. 73
$57, 812. 50
64. 00
6, 057. 00
40. 10
18, 935. 68
36, 626, 40
43, 561. 59
46, 670. 73
$11, 975. 95
260. 00
$122 830 50 4, 000. 00
549, 750. 00
2, 200. 00 75, 000. 00 49, 775. 00
44, 665. 00
46, 968. 50 46, 850. 00
2, 500. 00
43, 792. 00
1, 368. 47
180, 000. 00 15, 000. 00 38, 993. 00
59, 854. 90 400. 20
57, 252. 00
58, 948. 80
2, 782. 45
45, 849. 82
18, 126. 10
1, 338. 41
26, 000. 00
43, 885. 00
780. 50
77, 260. 80
74, 974. 49 49, 935. 00
20, 000. 00
55, 325. 00
8, 264. 27
1, 400. 00
74, 958. 25
188 Zi. CZIPTS Azn DZSBURSZMZNTS, 1925
Disbttrsernenfs, balances, elc. — Continued
[Repayments to appropriations in excess' of disbursements are printed in ffalicsl
Appropriations available in 1923
Appropriations from the general fund year Balances July 1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1926
Amount serried to surplus fund
Balances June 39, 1925
UNDER TEE SUPERVISING ARGEITEc T — continued
Public Buildings — Continued. Yonkers, N. Y. : Post office No year. Washington, D. C. —
Additionsl court quar- ters for Department of Justice . . 1923 — 24
Building, Interior De- partment offices No year.
Central heating, light- ing, and power plant for public buildings do
Departments of State, Justice, Commerce, and Labor, buildings do
Hygienic Laboratory do National Archives
Building do Plans for Melnorisl Am-
phitheater at Arling- t on, Va do
Plans for Armory for National Guard, Dis- trict of Columbia do
Treasury Building An- n x ex x -= =do
Treasury Annex No. 2, repairs do
Treasury Annex No. 2, repairs (transfer to State, Wsr, and Navy Department build- ings, act May 21-, 1920) do
Treasury Building, new roof, etc do
Total, sites, construc- tion, and rent, post offices, custom- houses, courthouses, etc
$1o9, 477. 07
2, 704. 82
800. 00
891, 881. 20
78, 922. 04 1, 307. 24
2, 888. 68
1, 807. 84
205. 51
4, 707. 91
369. 47
800. 00
56, 984. 68
14, 405, 688. 14
(n)
» $16 000 00
ooo, ooo. ooi
$2, 805. 50
8/j5. 58
749. 00
14, 308. 74
818. 00
$2, 805. 501
749. 00 =
14, 308. 74
818. 00
2, 489, 145. 39
$156, 671. 57
2, 704. 32
800. 00
891, 976. 78
78, 922. 04 1, 307, 24
2, 833. 68
1, 807. 34
205. 51
3, 958. 91
369. 47
1, 991, 26
56, 166. 63
$200, 082. 22~ 12, 021, 460 53
Quarantine stations- Astoris, Oreg. : Quaran-
tine station No year. Baltimore, Md. : Quar-
antine station do Boca Grande, Fls. :
Quarantine station . do Boston, Mass. : Quaran-
tine station do
230. 68 4, 000. 00
812. 60
500. 00
3, 345. 72 25, 000. 00 7, 686. 00
4, 279. 37
7, 033. 58
500. 00
7, 850. 00 ar, and Navy Department buildings.
Brunswick; Gs. : Qusr- antine station do
Ca e Charles, Va. : usrsntine station do
Cape Fear, N. C. : Quar- antine station do
Charleston, S. C. : Quarantine station do
Chesapeake Bsy quar- antine station, site do
~
6, 985. 00 Columbia River quaran-
tine station, boarding vessel do 5, 750. 90
Columbia River quaran- tine station do 5, 456. 28
Delaware Breakwater quarantine station do 857. 00
Galveston, Tex. : Quar- antine station do
u Transferred to same object under State, W
280. 68
812. 60
500: 00
7, 686. 00
4, 279. 37
1;358. 05l
684. 46
6, 985. 00
5o 750. 90
4, 146. 66
857. 00,
» See Note 11.
3, 769. 32
20, 659 72
5, 675. 53
'500. 09
1, 309. 62
7, 350. 00
RECEIPTS AI&&D DISBUBSEME&TS 1%+
Disbursements, balances, etc. — Continued
[Repaynients to appropriations in excess of disbursements sre printed in italics]
189
Appropriations available in 1923
tppropriatfons from tbe general fund Fiscal Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 39, 1925
UNDER THE SUPERVISING ARUHITEUT — continued
o. year
do
do
do
do
do
(10
do
(10
do
(10
do
(10
do
do
do
do----
do
do
Public Buil(tinffs — Cofitinued. Quarantine Stations — Con.
Gulf, Miss. : Quarantine station N
Honolulu, H a wa ii: Quarantine station
Key West and Mullet Key, Fla. : Quarantine station
Marcus Hook, Pa. : Quarantine station
Mobile, Ala. : Quaran- tine station
New Orleanjs, La. : Quar- antine station
New York, N. Y. : Quar- antine station
Pensacola, Fla. : Quar- antine station
Portland, Me. : Quaran- tine station
Port Townsend, Wash. : Quarantine station
Reedy Island, Delaware River, quarantine sta- t' ion
San Diego, Calif. : Quar- antine station
San Francisco, Calif. : Quarantine station
San Juan, P. R. : Quar- antine station
San Juan and Ponce, P. R, : Construction of quarantine plants
Savannah, Ga. : Quaran- tine station
South Atlantic quaran- tine station
Tampa Bay, Fla. : Quar- antine station '
'Texas: Quarantine sta- ti na 0 a
$868. 89
390. 52
19, 996. 83
10, 000. 00
5, 750. 90
919. 52
760. 37
26, 004. 70
3, 414. 42,
16, 013. 66, ,
2, 729. 90
90, 071. 00~
$8, 250. 00
70, 000. 00
200, 000. 00,
38, 000. Ooi
500. 00
3, 500. 00
3, 000. 00
8, 500. 00
8, 000, 00
492. 50
10, 286. 50
492. 50
10, 286. 50
1, 597. 13 1, 697. 13
9, 970. 00 9, 970. 00
$66, 994. 70 $66, 994. 70
$868. 39
390. 52
19, 996. 83
10, 000. 00
5, 750. 90
919. 52
20, 806. 53
760. 37
6, 393. 70
3, 414. 42
12, 063. 65
2, 729. 90
$8, 250. 00
3, 005. 30
200, 000. 00
38, 000. 00
7. 50
8, 448. 80
1, 902. 87
12, 641. 00
3, 500. 00
8, 950. 00
3, 000. 00
90, 071. 00
Total, sites and con- struction, quaran- tine stations 252, 666. 94 366, IOO. OOI 97, 257. 51 109, 368. 77 412, 040. 66
Marine hospitals— Baltimore, Md. : Ma-
rine hospital No year. Boston, Mass. : Marine
hos ital Cairo, Ill. : Marine hos-
ital Carville, La. : National
le er horn Caryille, La, : Marine
hospital do Chicago, Ill. Marine
hos ital Cleveland, Ohio: Ma-
rine hospital do Detroit, Mich. : Marine
hospital do Fort Stanton, N. Mex. :
Marine hospital sanitarium
Honolulu, Hawaii: Lep- rosy hospital, build- ings and equipment do
3, 506. 93I
17, 398. 58
14, 871. Ooj
4, 828. 22~
71, 706. 80
474. 95,
407. 74
16, 969. 43
15, 000. 00
150, 000. 00!
26, 000. 00
12, 000. Go,
11, 430. 35
926. 00
153, 971. 31,
14, 171. 44
384. 00
1 1& 430. 35
926. 00
153& 971, 31
14, 171. 44
384. Ooi
398. 49
15, 219. 53
23. ?4
16, 969. 43
6, 677. 09
1& 254. 00
14, 871. 00
856. 91
10, 828. 56
71, 706. 80
12, 000. 00
190 RECEIPTS AND IHSEURSEMENTSr 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in ftsffcr]
Appropriations from the general fund year Balances July I, 1924
Appropriations
Appropriations available in 1925
Disbursements by years
Total disburse- ments in 1925
Amount carried to sur plus fund
Balances June 30, 1920
UNDER THE SUPERVISING ARcHITEcT — continued
Public Buildings — Continued. Marine hospitals — Contd.
Key West, Fla. : Ma- rine hospital No year.
Louisville, Ky. : Marine hospital do
Mobile, Ala. : Marine hospital do
New Orleans, La. : Ma- rine hospital do
New York, N. Y. : Ma- rine hospital do
Philadelphia, Ps. : Ma- rine hospital do
Port Townsend, Wash. : Marine hospital do
San Francisco, Calif. : Marine hospital do
Savannah, Ga. : Marine hospital do
St. Louis, Mo. : Marine hospital do
Special fund— Cleveland, Ohio: Ma-
rine hospital (new) do
$5, 500. . 00
19, 374. 85
20, 092. 02
17, 071. 99
14, 132. 57
16, 857. 86
840. 75
6, 855. 02
617 444. 16
60, 000. 00
$85, 000. 00
594 025 00
$4, 420. 00
11, 702. 04
13, 767. 65
43, 112. 78
12, 618. 00
$4, 420. 00
11, 702. 04
18, 767. 65
43, 112. 78
12, 618. 00
$880. 02
$1, 080. 00
7, 672. 81
6, 324. 37
17, 071. 99
14, 132. 57
16, 357. 36
840. 75
5, 975. 00
18, 331. 43
22, 382. 00
654, 025. 00
Total, sites and construction, marine hospi- t als 351, 831. 32 831, 025. 00 2667 502. 52 33, 966. 16 882, 387. 64
do
Total, sites, con- struction, etc. , veterans' hos- pitals
Veterans' hospitals— Hospital facilities, etc. ,
for wsr patients No year. Chicago, Ill. : Broad-
view hospital do Medical and hospital
services Gulfport, Miss. , construction 1923
Oteen, N. C. : Public Health Hospital No. 60 No year.
Palo Alto, Calif. : Public Health Hospital No. 24
Medical and hospital services, water sup- ply, Palo Alto, Calif. , hospital 1922
Perryville, Md. : Public Health Hospital No. 42 No year.
West Roxbury, Mass. : Public Health Hospi- tal No. 44 do
Special fund— Jefferson Barracks, Mo. :
Funds contributed for veterans' hospital do
' 389, 240. 32
7 7, 738. 86
3, 826. 88
3, 400. 39
162. 41
(is)
422. 20
26, 594. 68
481, 385. 74
12, 500. 00
12, 500. 00
317, 082. 69
856. 20
317, 082. 69
356. 20
817, 438. 89
3, 826. 88
8, 826, 88
72, 157. 63
7, 738 86
3, 044. 19
162. 41
422. 20
26, 594. 68
12, 500. 00
122, 272. 27
7 Exclusive of amount transferred to "Civil service retirement and disabnity fund, " p. 297. 22 Balance returned to "Medical and hospital services, Ve«rane Bm~& ~'
RECEIPTS AND DISBURSEMENTS
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in italics]
191
Appropriations available in 1925
Appropriations from the general fund Fiscal Balances July
I, 1924 Appropriations
Disbursements by years
Total dtsburse ments in 1925
A&count carried to surplus fund
Balances June 30, 1925
lngs 1925 1924 1923
Certified claims.
Repairs and preserva- tion of public build- ings (transfer to State, War, and Navy De- partment Buildings, act May 21, 1920) 1923
Reimbursement to con- tributors to opening, etc. , of Bishop Street adjoining former Fed- eral building site, Honolulu, Hawaii No year.
Remodeling snd en- larging public build- ings 1925
1924 1923
Vaults and safes for pub- lic buildings 1925
1924 1923
Certified claims.
UNDER THE SUPERVISING ARcHI 9 Ec T — continued
Public Buildings — Continued. Repairs, equipment, etc. —
Appraisal snd sale of marine hospital reser- vation, Cleveland, Ohio No year.
General expenses of pub- lic buildings 1925
1924 1923
Certified claims.
Mechanical equipment for public buildings 1925
1924 1923
Certified claims
Public Buildings Com- mission» No year.
Repairs and preserva- tion of public build-
$575. 00
16, 315. 93 27, 939. 60
93, 989. 63 11, 102. 52
35. 94
85, 603. 41 » 19& 659. 33
(Is)
1, 098. 00
5, 000. 00 2, 805. 43
11, 673. 72 4, 150. 76
7 $481, 100. 00
11. 13
" 519, 700. 00
320. 78
's 729, 500. 00
260. 88
400, 000. 00
85, 000. 00
17. 60
$445, 142. 76 5, 699. 81 9, 687. b/
11. 13
415, 255. 65 60, 430. 92
1, 6/6. 8l&
320. 78
630, 292. 29 76, 362. 98
1, 998. 61 260. 88
350, 000. 00 4, 744. 67
836. 75
66, 477. . 25 6, 276. 17 1, $06. 68
17. 60
$448, 166. 13
474, 461. 01
704, 923. 54
355, 581. 42
71, 364. 39
$30, 627. 17
12, 648. 86
21, 651. 94
1, 968. 68
5, 557. 39
$575. 00
35, 957. 24 10& 616. 12
104, 444. 35 33& 558. 71
35. 94
99, 207. 71 9, 240. 43
1, 098. 00
50, 000. 00 255. 33
18, 522. 75 5, 397. 55
Tot sl, Repairs, equipment, etc. , public buildings 279, 949. 27 2, 215, 910. 39 2, 054, 496. 49' 72 454. 04 368 909 13
Furniture snd repairs of same for public buildings 1925
1924 1923
Certified claims.
Operating expenses- Salsries, Office of Su-
pervising Architect 1925 1924 1923
7, 720. 50 9, 114. 18
50, 291. 44 3, 173. 33
7 265, 648. 50
714, 000. 00
25. 09
263, 000. 00- 1, 868. 6$
552, 621. 05 49, 602. 84
1, 869. 08 25. 09
, 636. 46'
4, 532. 41
9, 114. 18 261
2, 648. 50 9, 084. 04
161, 378. 95 688. 60
' Exclusive of amount transferred to "Civil service retirement and disability fund, " p. 297. " Exclusive of f2, 000 transferred to "Fuel, lights, etc. , State, War and Navy Department buildings, 1925 ' ' See "Public Buildings Commission, " p. 44. " Exclusive of 53, 500 transferred to "Fuel, lights, etc. , State, War and Navy Department buildings, 1925 " t& Indudes 99, 700 returned from same object under State, War and Navy Department buildings "See note 17.
600, 889. 90'
192 RECEIPT» AXD DISBURSEMEIv TSI 1925
Disbursements, balances, efc. — Continued
[Repayments to appropriations in arran of disbursements are printed in ftaffrs]
Appropriations available in PSI~&
&tppropriations f. om the general fund Fiscal Bdsnees July
1, ttr'I app. oprist ons
Disbursements by years
Total disburse- I
amount carried ments in 1925 ! to surplas fund
Public BttiMin s — Continued. Operating expenses — Con.
Furniture. post-office. courthc. tse, and cus- tomhouse, Honolulu. Hawaii Certified
Lands an&I other prop- erty of the United States
claims
1925 1924
~ 1923 i
Operating force for pub- lic buildings 1925
1924 1928 1922 1921
Certified claims.
tJI&f DEB THE SUPEBVISING ancHITEcT — continued I
$150. 00 149. 00
' 60, 514. 06 I 2, 264. 10
'5, 422, 15,
$26. -89
I
50. 00&
168. 92I' 000. 00!
I
462. 71',
5, 404, 75,
$26. 89'
115. 00 455. 70, 568. 90I 18. 8Z, 17. 08~
462. 71~
$26. 89
$149. 00
1, 695. 20 18. 32 17. 03
18, 048. 92 58. 36
Operating supplies for public buildings 1925
1924 ~ 1928:
1922 Certified claims.
210, 267. 16I 23, 974. 37I
8 070 000 00 27, 000. 00,
288. 26
2. 648, 187,
8&
71S. 15' 697. 36 697. &1
99. 8G 288. 26
5, 4S1, 566. 96'
2, 827, 881. 76
99. 30
426, 28L 85 49, 569. 80 27, 642 08
Psy of assistant custo- dians and janitors do
Rebel of contractors, etc. , for public build- ings under Treasury Department Xo year. 10, 160. 45
546. 75,
100, 000. 00 60,
546. 75 546. 75,
000. 00 60, 000. OOI 50, 191 45
Total operating ex- penses, public buildings 377, 778, 59I 9, 616& 157. 12 9 282 548. 72' 15, 625. 44 745, 76L 55
Total, public build- 1ItgS 13, 346, 692. 51
I
14, 457: 435, 323. 51 , 389. 52. 14, 553, 179. 48
Treasury, rniece/fan souse Claims allowed under Bow- I
. msn snd Tucker Acts Xo vesr. Claims for damages, act
-Dec. 28, 1922, Treasury
162. 00I 162. 00
Department do National security snd de-
fense, Treasury Depart- ment m 1919
709. 52 577. 82 1, 051. 24
591. 00
1, 051. 24
P')
2, SOIL 80
59L 00 Judgments, Court of
Claims, Treasury Xo year. '
Judgments, United States courts& TI'essury clo
Payment of French spolia- tion claims do
Reimbursement to Blanks &it Norton = do
6. 80, ' 248, 750. 40; 241 250 40'
1, 753. 8S
241, 250. 40, I
1, 753; 88 1, 758. 88
64, 287. 57 64, 237. o7
85. 00 I Relief of-
Csnsdian Csr snd Foun- dry Co. , Ltd
Canadian Pscific Rail- way Co
Gertie Foss, widow of Olaf Foss
Letitia %Y. Garrison Greenport Basin and
192, 27S. 83 192, 278. 88 192, 278. S8 clo
2, 195. 00 2, 195. 00 2, 195. 00 do
1 170 00 375. 09
559. 98It 559. 98 459. 52 2& 459. 52
" see p. 63 for "National seearity and defense" statemeut.
clo do
1, 170. 875. OOI
559. 98 2,
Construction Co do Eagle Pass Lumber Co do 2, 459. 52.
& Erefusive of amount transferred to "Civil service retirement snd disability funCL" p
RECEIPTS AND DISBVRSEMENTS~ 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in italics]
193
Appropriations from the general fund Fiscal Balances July
1, 1924 Appropriations
Appropriations available in 1925
D&sbursements by years
Total disburse- ments in 1925
Amount carried Balances June to surplus fund 30, 1925
Permanent and indefi- nite—
Increase of compensa- tion, Treasury De- partment 1922
1921 Certified claims.
To promote the educ- ation of the blind, interest No year.
- - - -Trust funds— Trust-fund interest
for support of free schools in South Carolina do
To promote the ed- . ucation of the blind, principal - do
Outstanding-liabili- ties do Spanish indemnity,
interest do
Less repayments to "National. security and defense" returned to the principal ac- count
Total, Treasury, miscellaneous
Treasury, miscellaneous — Con. Relief of — Continued.
Estate of Frank W. Knight No year.
Albert E. Laxton do Nash Motors Co do Charles T. Norman do Orville Paul do Lillie B. Randell do Joseph P. Ryan do Robert Spaugh do H. B. Stout do
To promote the educa- tion of the blind " 1925
Increase of compensation, Treasury Department 1924
1923
$1, 500. 00
882. 24
975. 00
750. 00
723, 827. 74 423, 229. 22
1, 489. 64
250, 000. 00
4, 821, 047. 42
4, 411. 27
6, 297, 267. 74
-591. 00
6, 296, 676. 74
$132. 90 1, 223. 30
2, 500. 00
1& 600. 00
475. 30
40, 000. 00
120. 01
10, 000. 00
497, 167. 42
$132. . 90 1, 223. 30
882. 24 2, 500. 00
1& 600. 00
$132. 90 1& 228. 30
882. 24 2, 500. 00
1& 600. 00
475. 30 475. 30
40, 000. 00
100, 88$. 97 8, 888. 01
40, 000. 00'
106& M8. 98
o1. 9o . 67
120. 01 67. 39
10, 000. 00 10, 000. 00
808) 808. 58
598& 819. 88 898, 819. 58
$428, 617. 23
51. 95 . 67
428, 669. 85
$1, 500. 00
975. 00
750. 00
824, 662. 71
1, 489. 64
250, 000. 00
5, 414, 867. 00
4, 411. 27
6& 567& 377. 89
Total, Treasury Department
WAR DEPARTMENT ' MILITARY ACTIVITIES
79, 570, 220. 86, 886; 110, 597. 65 317, 984, 148. 35I 6, 689, 698. 37 91, 006, 971. 79
Office of Secretary of Wart Salaries, Office of Secretary
of War 1925-26 1925 1924
— 1923 6, 798. 50,
12, 114. 58,
1, 000 OOI v 222, 038. 60'
975. 00 217, 300. 00
981. 81 886. 1&8
Administrative expenses, World War adjusted compensation act, War Department 1924 — 25 3 6PP Ppp PP 2, 772, 007. 16
) Exclusive of amount transferred to "Civil service retirement and dissbilitv fund, " p. 29r.
217, 016. 76 12, 440. 96
2, 772, 007. 16 » See interest account following.
25. 00 4, 733. 60 7, 725. 31
827) 992. 84
194 RECEIPTS AND DISBURSEMENTSr 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in italics]
Appropriations available in 1925
Appropriations from the general fund year Balances July 1, 1924
Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
MILITARY AcTIvITIEs — continued
Once of Secretary of War — Con. Contingent expenses, Wsr
Department
Certified
Postage to Postal Union countries
Printing and binding, War Department
1925 1924 1923
claims.
1925 1923
1925 1924 1923
$19, 302. 13 18, 002. 38
175. 00
263, 815. 77 17, 139. 71
$109, 810. 00
3. 42
250. 00
600, 000. 00
$89, 973. 73 12) 215. 14
89. 80 3. 42
235. 00
344, 822. 62 197, 712. 93
8& 888. 58
$102, 282. 09
235. 00
539, 896. 03
$17) 91". 58
175. 00
19, 779. 23
$19, 836. 27 7, 086. 99
15. 00
255, 177. 38 66, 102. 84
Stationery, War Depart- ment 1925
1924 1923
Contingencies of the Army 1925
1924 1923
Medals of honor for dis- tinguished services No year.
Total under Office of Secretary of War
Contingencies, Military Intelligence Division, General Stafi' Corps 1925
1924 1923 1922
1921 snd prior. Certified claims.
Expenses of military ob- servers abroad 1918
Total, General Staff' Corps
General Stag Corps: Salaries, Office of Chief of
Staff 1925 1924 1923
5, 293. 94 2, 515. 52
26, 245. 54 23, 200. 53
825. 86
395, 424. 41
7, 718. 69 9) 947. 23
17, 546. 69 13, 031. 34
48, 243. 95
72, 500. 00
7 67, 810. 00
4, 673, 407. 02
7 214, 792. 50
65, 500. 00
27. 10
280, 319. 60
56& 961. 24 2, 473. 70
7. 88
43, 892. 50 337. 61 8/8. 7b
212, 012. 85
50, 558. 36 6, 366. 12
53. 87 888. 80 88. 88 27. 10
111. 00
59, 427. 01
43, 986. 36
3, 734, 850. 41
212, 012. 85
56& 574. 93
111. 00
268, 476. 78i
2, 523. 45
23, 444. 28
825. 86
77, 101. 36
9, 947. 23
12, 977. 47 332. 29 98. 23
111. 00
23, 466. 22'
15, 538. 76 2) 820. 24
23, 917. 50 25, 907. 93
1, 256, 8?9. 66
2, 779. 65 ?, 718. 69
14, 941. 64 11, 180. 57
36, 620. 55
Adjutant General's Department: Salaries, Adjutant Gen-
eral's Oflice
Certified
Contingencies, head- quarters of military de- partments, etc
1925 1924 1923
claims.
1925 1924 1923
12, 921. 56 13, 099. 52
1, 748. 46 1, 549. 50
71, 364& 602. 20
14. 67
5, 000. 00
1, 289, 961. 93 1, 88k 15
801. 15, 14. 67
4, 194. 88I 1, 587. 13'
1, 287, 596. 30
13, 490. 67
1, 549. 50
74, 640. 27 14, 910. ?1
805. 12 161 33
:))Iffitary post exchanges 1925 1924 1923
14, 145. 13 2, 183. 74
' 92, 780. 00 80, 207. 86 12, 681. 40 1, 087. 8$
5, 782. 01
91, 822. 02 3, 250. 98
12, 572. 14 1, 463?3
& Exclusive of aumont transferred to CivQ servi ce retirement and dis abBity fund, " p. 297,
RECEIPTS AND DISBVRSEMENTSx 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in italic&]
195
Appropriations available in 1923
Appropriations from the general fund Fiscal Balances July
I, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
amount carr&ed to sur plus fund
Balances June 30, 1923
Command and General Staff School, Fort Leavenworth, Kans
General service schools, Fort Leavenworth, K sns
1925
1924 1923
MILITARY AGTIvITIEB continued
Adj utant General's De part- ment — Continued
Registration snd selection for military service 1919
1918 Certified claims.
Service records, World Wsr 1922 — 23
Vocational training of soldiers 1922
1921 Certified claims.
Army Wsr College . 1925 1924 1923
$389. 39
7, 802. 80
4, 628. 31 6, 308. 22
311. 32 167. 58
$416. 60
322. 80
' 72, 951. 75
r 46, 411. 50
818. 0!& 10. 00
416. 60
819. 16
568. 05 89. 50
322. 80
69, 773, 86 2, 224. 96
116. 7&7
45& 380. 32
311. 32 167. 58
$393. 56
819. 16
879. 75
71, 882. 35
45, 380. 32
478. 90
$13. 04 10. 00
8, 021. 96
563, 05 39. 50
6, 424. 69
$389. 39
3, 177. 89 2, 403. 35
1, 031. 18
Total under Adjutant General's Depart- ment 65, 255. 53 1, 582, 499. 52 1, 502, 836. 55 33, 363. 39 111& 555. 11
Office of the Inspector General: Salaries, Office of Inspec-
tor General 1925 1924 1923
Total, Office of the Inspector General
324. 00 745. 87
1, 069. 87
24, 979. 50
24, 979. 50
24, 370. 00 808. $8 19. 18
24, 148. 46
24, 148. 46
764. 99
764. 99
609. 50 526. 42
1, 135. 92
Office of the Judge Aduocate General:
Salaries, OfFice of Judge Advocate G e n e r a 1, United States Army l iJ&95
1924 1923
258s 50 600. 17
t 61, 249. 50 60, 250. 00 877. 67
7&L 59 641. 76
999. 50 636. 17
Special services, Office of Judge Advocate Gen- eral, United States Army 1924 — 25
Total, Office of the Judge Advocate General
Army Account of Aduances: Army account of ad-
vances xs Xo vear
t 27, 500. 00
28, 358. 67
" 9 592, 883. 95
61, 249. 50
4, 412. 48
6, 546, 898. 88
59, 830. 74
4 412. 481
64, 243. 22~
6, 5/6, 898. 88
641. 76
23, 087. 52
24, 723. 19
» 3, 046, 490. 13
' Exclusive of amount transferred to "Civil service retirement and disability fund, ' p. 297. a This account stands charged xviih the sum of 39, 392, 883. 93 at the commencement of the fiscat year 19» a d ~tth 83 + ' represent tbe unadjusted disbursements snd affect the total balances, war Department. n Debit balance.
l96 RECEIPTS AND DISBUESEMENTSr 1925
Disburserrtenfs, balances, efc. — Continued
[Repayments to appropriations in excess of disbursements are printed in frolics]
Kpprop lotions available in 1925
Appropriations fror. »t&e general fund year Balan(es July 1, 1924 Xpploprlatlotls
Disbursements Total disbmse- by years ments in 1925
amount carried to surplus fund
Balances June 99, 1925
M1Lrr(tax acrrvfrfzs — continued
Finance Departme&(t. Salaries, Office of Chief of
Finance 1925 1924 1923
$310, 752. 00 $305, 084. 16 1, 1~1. 98
88. 18 $303, 854. 75'
$5, 667. 84 $5, 128. 25
3, 488. 91 6, 269. 48
$3, 577. 09,
Temporary employees, Office of the Chief of Fi- nance Certified claims.
Increase of compensation, Wsr Departm ent 1924
1923
36. 65 36. 65 36. 65'
141, 664 * Oo8 94 9 1
137, 611. 03 0 8 71
1 I, 486, 435. 3S
95' 6 6 4
8' 121, 712& 071. 56,
6 6, 9,
80 8 ( 0( 921
1, 688, 349. 23)
666, 171. 42 1, 191, 338. 29
524, 506. 48 195, 392. 20
Finance Service 1, 475, 762. 10, 804.
181.
223, 936. 92 86 776. 41
15, 032. 03 115, 163. 44'
Pay of the Army 1925, 1924 I
1923 i 1922
530. 00 '121&531, 8, 294, 913. 60
731, 653. 06
116, 355, 960 5, 156, 247
220, 356 80, i@8
5, 175, 569. 05 3& 138, 665, 94
511& 296. 63, '
20, 537. 54'
80, 231. 52&
16, 867. 34 108, 143. 81 54, 452. 71
451. 06 1& 513. 75
44. 06
Psy, etc. , of the Army 1921 1920 1919 1918
1917 snd prior. Certified claims.
55. 89 30. 65
382. 04 26, 50(. 91
54. 26 1, 923, 760. 82
80, 1(8. 16, 886.
107, 761. 87& 91&1(.
896. 921, 464. 1, 005. 40 223. 25
Pay, etc. , of the Army, sct June 15, 1917 1917-18
Pay, etc. , of the Army, War with Spa'. n Certified claims.
Arrears of pay, bounty, etc 1923
Certified claims.
11, 320. 34 11, 830. 8~ 11, 880. 84'
343. 30 343. 30I 343. 30'
288. 26 288. 26 710. 47 710. 4(
1, 000, 000. 00' 710. 47
Mileage of the Army 1925 1924 1923
71(& 250. 67 123, 585. 31
964. 61
282, 749. 33 145, 751. 15 269,
333, ' 336. 46
039. 93 332, 075. 32 841, 800. 59,
Mileage to officers and contract surgeons 33. 30j
815. 78~
190. 86 86. 10
3, 210. 71
33. 30, 1922 1920 1919 1918
Certified claims.
215. 72 214. 25 36. 10 3. 87
23. 39
3, 214. 58
1925 I
r 1, 699, 699. 00 1924, 97, 581. 12 1923 1
Extra-duty pay to en- listed men ss clerks, etc. , at Army division and department headquar- ters Certified claims.
Reimbursement to military police, expenses incurred under draft act Xo year. l
Transportation of disabled soldiers, sailors, or ma- rines on furlough 1922
Claims of officers, enlisted men, and nurses of the Army for destruction of private property Xo year.
Claims for damages to snd loss of private property do
Claims for damages to and loss of private propertv
14. 91
38, 389. So
50, 000. 00
25, 000. 00
210. 20
13, 098. 89
act liar. 3, 1925 do , '73, 812. 86 & Ezclusive of amount transferred to "Civil service retirement snd disability fund, " p. 29
14. 91,
49, 823. 72
16, 186. 19
70, 312. 86
2, 801. 33(
14. 91
/17
49, 823. 72
16, 186. 19
70, 312. 86,
38, 389. 39 . 46
4. 17
386, 48
21, 912. 76
3 50IL 00-------------
RRCRIPTS AND DISBURSRMRNTSr 1925I
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in ffalicsl
197
Appropriations available in 1925
Appropriations from the general fund PLscal
Balances July 1, 1924 Appropriations
Disbursements by years
Total disburse ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
MILITARY AGTIVITIEB — continued
do
do
do
1922 1918
Certified claims. Increase of compensa-
tion, Military Estab- lishment 1922
1921 1920
Certified claims. Trust funds—
Army allotments 2'
(transfer to Vet- erans' Bureau, act Oct. 6, 1917) No year.
Pay of the Army, de- posit fund do
frirtaftce Department — Contd. Claims for damages, act
Dec. 28, 1922, War Department No year.
Payment of claims, Camp Funston, Kans. , act Feb. 26, 1923
Settlement of claims of foreign Governments and their nationale 1923
Permanent and indefi- nite—
Claims of officers and men of the Army for destruction of private property No year.
Extra pay, Regular Army, War with S pain
Extra pay to volun- teers, War with Spain
Increase of compensa- tion, War Depart- ment proper
$2, 351, 545. 47
40. 63
19, 379, 521. 81
2, 298, 357. 68
$6, 654. 68
93, 599. -19
773. 56
155. 60
671. 90
10. 00
1, 201. 65
16. 4. 00 78, 695. 59
678, 958. 14, '
$4, 931. 37
93, 599. 19
43, 747. 18
773. 56
155. 60
671. 90
10. 00 18. 00
1, 201. 65
88b; 1fi 80. 00 84. 56
78, 008. 79
913. 14
1, 407, 490. 44
$4& 931. 37
93, 599. 19
43, 747. 18
773. 56
155. 60
671. 90
1, 198. 65
77, 847. 94
913. 14
1, 407, 490. 44
$13. 00
225. 41 20. 00 79. 44
633. 00
$1, 723. 31
2, 307, 798. 29
94. 43
19, 378, 608. 67
1, 569, 825. 38
Total Finance Department
Quartermaster Cor ps: Salaries, OfFice of Quarter-
master General 1925 1924 1923
Army transportation 1925 1924 1923 1022
claims. Certified A r m y transportation
(transfer to Navy De- partment, act May 21, 1920 )-
Barracks and quarters l. 025 1025 1924 1923 1922 1921
1920 and prior. Certified claims.
35, 789, 359. 11 127, 506, 890. 40~
7 571, 655. 00 i4, 430. 50 19, 694. 50
's 17&113, 237. 95 4, 090, 356. 13 2, 134, 434. 24
12, 040. 16
"5, 500. 00 7 3, 601, 207. 08 ' 236, 371. 03
7 2, 425. 51
1, 619. 06'
568 906. 80 8, 119. 81
9~&7. 81
11, 3
187, 347 312, 565 31, 099 1ii, 8f&0 12, 040
84 42 88( 81, 16,
564, 930. 38
14, 501, 692. 00i,
20, 571. 71
2, 103, 334. 36 41, 360. 31
2, 658. 20 17, 558. 71
5, 925, 890. 11 777, 790. 71
3&
5, 500 209, 610 214, 373
f&, 178 18
581 11, 1i88 . 1, 610
00 87' 02
50 1&1
90, 06'
5, 500. 00
3, 407, 418. 07
8& 598. 58 13. 50,
561. 41 11, 436. 90
391& 596. 21 21, 998. 01
127, 930, 356. 43 2, 494, 645. 36 32, 871, 247. 72
' Exclusive of amount transfered "to Civil service retirement and disability fund, " p. 297. a Represents allotments of Army pay under war risk insurance act. "Exclusive of 345, 907. 05 transferred as follows: Army transportation (transfer to Navy Department, aet May 21, 1920), 1925 Civil service retirement and disability fund p. 297
no e
35, 500. 00 40, 407. 05
198 RECEIPTS AND DISBURSEMENTSr 1925
Disbursements, balances, efc. — Continued
[Repayments to appropriations in excess of disbursements are printed in ffslfcsl
Appropriations available in 1925
Appropriations from the general fund Fiscaj Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances Jm~ 30, 1925
MILITABY ACTIYITIEs — continued
Clothing and equipage (transfer to Department of Commerce, Bureau of Standards, act May 21, 1920) 1923
Clothing and camp and garrison equipage Certified claims.
Construction and repair of hospitals 1925
1924 1923 1918
Certified claims.
General appropriations, Quartermaster Corps 1921
1920 1919
Certified claims.
General appropriations, Quartermaster Corps, act Feb. 28, 1920
Horses for Cavalry, Ar- tillery, Engineer s, etc 1925
1924 1923 1922 1921
1920 and prior. Certified claims.
Quartermaster Cor J&s — C ontd. Barracks and quarters,
act, Feb. 28, 1920 Barracks and quarters, act
June 15, 191? 1917-18 Barracks and quarters,
Philippine Islands No year. Clothing and equipage 1925
1924 1923 1922
Certified claims.
$150, 670. 42
269, 924. 08
524, 396. 90 " 588, 935. 15
s' 2, 244. 76
r 279, 105. 44 4, 004. 51
402. 05
1, 886& 529. 21
83, 315. 49 65, 087. 04
7 $298, 875. 00 7 4, 506, 897. 75
7. 22 125. 81
33. 87
506, 500. 00
539. 59
748. 90 9, 702. 64
15. 26 192, 962. 76
' 999, 757. OO
64. 65
361. 16
374, 039. 83 4, 129, 570. 57
50, 022. 67 48, 078. 59
85. 61 125. 81
2, 244. 76
33. 87
283& 013. 55 279, 069. 47
1, 291. 83 89. 75
539. 59
68, 51/f. 5/&
10, 58/. 15 199, 769. 15 192, 560. 93
955, 879. 17 18, 294. 70
2& 750. 83 8. 80
1& 100. 00 181. //
64. 65I
$61. 16
374, 039. 83
4, 227, 712. 03
2, 244. 76
33. 87
563, 874. 69
81& 8/f6. 91
$61. 16
540& 856. 56 92. 83
2, 712. 68 39. 75
64& 263. 44 20, 226. 79
199, 784. 41 401. 83
62, 336. 21 3. 80
1, 100. 00 121. 77
$150, 670. 42
194, 759. 25 377& 327. 18 474, 374. 23
223, 486. 45 35. 97
402. 05
1, 886, 529. 21
43, 877. 83 65, 020. 79
Incidental expenses of the Army 1925
1924 1923 1922
7 297, 701. 33 " 523, 542. 77
"5 055, 348. 30 4, 562, 737. 97 183, 326. 44
/r80. /&6
8/7. 88
975, 763. 78
524, 023. 23 347. 88
492, 610. 33 114, 374, 89
Incidental expenses of the Army (transfer to Department of Com- merce, Bureau of Standards)—
Act May 28, 1924 1925 Act May 21, 1920 1923
Incidental expenses, Quar- termaster Corps Certified claims.
Inland and port storage and shipping facilities No year.
1918=19 Certified claims.
se 10, 986. 08
9, 211, 117. 06
" 13, 795. 00
17. 85
1, 929. 58
9, 019. 10 10, 986. 08
17. 85
15, 758. 47 865. 97
1, 929. 58
4, 745, 236. 07
9, 019. 10 10, 986. 08
17. 85
8, 391, 750. 22 865. 97
16, 822. 08
4, 7?jz 90
803, 608. 37
& Ezclusive of amount transferred to "Civil service retirement and disability fund, " p. 297.
» Includes $190. 24 returned from same object under Comruerce. » Ezclusive of f190. 24 returned to same object under War snd $55 transferred to
"Civil service retirement snd disability fund, " p. 297. » Exclusive of $14, 000 transferred to same object under Department of Commerce
and $7104350 to "Civil service retirement and disability fund, ' p. 297.
» Includes $1, 350. 71 returned from same object under Commerce. &Civil » Transferred from same object under War, exclusive of $2N trsnsfetred to
service retirement and disability fund. " p. 2¹ ~~ ts » Exclusive of $1, M0. 71 returned to same object under Navy, snd $225 ~' "Civil service retirement and disability fund, " p 2¹
RECEIPTS AND DISBURSEMENTS, 1925
Disbursements, balances, efc. — Continued
[Repayments to appropriations in excess of disbursements are printed in itaHrs]
199
Approprhtfous from the general fund Fiscal year Balances July
1, 1924 Appropriations
Appropriations available in 1923
Disbursements by years
Total disburse- ments in 1923
! Amount carried to surplus fund
Balances June 30, 1923
Regular supplies, Quarter- master Deffartment
Rent of buildings, Quar- termaster Corps
1905
1925 1924 1923
Roads, walks, wharves, snd drainage 1925
1924-25 1924 1923 1922 1918
Certified claims.
MILITARY AGTIvITIEs — continued
Quarfermaster Car ps — Contd. Quarters for hospital
stewards 1924 1923
Regular supplies of the Army 1925
1924 1923 1922
Certified claims.
$4) 385. 51 466. 51
'7 1, 552, 803. 45 822& 167. 46'
7& 422. 20 1, 569. 02
46, 203. 13 78, 047. 62 4, 732. 06
7 $12)414, 089. 38
54. 00 363. 72
58, 702. 00'
' 800, 428. 60
1, 974. 11,
$4, 119. 66 76. 25
11, 166, 893. 1( I, 108, 145. 87
17, 413. 03 885. 51 363. 72
68. 1(9
55, 740. 76 6, 933. 30
678, 019. 68
70, 965. 64 1, 508. 54
1(0. 00 8. 15
1, 974. 11
$41 195. 91
12, 292, 480. 28
62) 674. 06
749, 407. 74
68. 49'
2, 961. 24 488. 90
1& 569. 02'
6, 240. 60j 40. 00, 3. 15,
122, 408. 92 46, 203. 13
7) 081. 98
$265. 85 $390. 26
1, 247, 196. 21 444) 657. 58
804, 754. 43 389. 51
1925 1924 1923 1918
Certified claims.
Roads, walks, wharves, snd drainage, sct June 15, 1917 1917 — 18
Roads, Fort Riley, Kans, Military Reservation 1923 — 24
Shooting galleries snd ranges
3, 226. 38
7, 662. 44 2, 244. 87
37) 400. 00
43. 50
189. 01
2, 986. 29
23, 887. 12 7, 507. 91
1. 55 43. 50
189. 01
2, 986. 29
189. 01
2, 244. 87 1. 55'
240. 09
13, 512. 88 154. 53
Subsistence of the Army 1925 1924 1923 1922
Certified claims.
Subsistence of the Army (transfer to Depart- ment of Commerce, Bureau of Standards, act May 21, 1920) 1923
Supplies, services, and transportation, Quarter- master Corps 1918
1917-18 1917 1916
Certified claims.
"6& 279& 354. 14 '32, 177, 150. 931 "3, 643, 088. 83
12, 9?5, 2?3. 00
1, 137. 07,
" 3, 629. 37
394. 30 139, 387. 71
14, 675, 707. 02 1, 561, 391. 63
1, 874. 08 8, 575. 81 1, 137. 07
3, 629. 37
68, 851. 10 1, 199. 45
866. 81( 10. 67
130, 708. 51
31, 436. 98
16, 231, 533. 99
3, 629. 37
3, 641, 214. ?5l 8, 575. 81
63, 351. 10 1, 199. 45
866. 84 10. 6( 9. 00
4& 578, 920. 12 6151 759. 30
9, 064. 50
pplies 1914 1905
Certified claims.
Supplies, services, and transportation, Quarter- master Corps, sct June 15, 1917 1917-18
Transportation of the Army and its su
9, 516. 05
8, 180. 18
50. ol 66. 66
9, 516. 05
65, 280. 45
8, 180. 18
9, 398. 98
8& 120. 18
50. 41' 66. 66,
ervice retirement snd disability
73270 — 26 — 14
'Exclusive of amount transferred to "Civil fund, " p. 297. " Transferred from 1924 account.
33
33
n
See note 31. Includes $17. 32 ret Exclusive of $17. 32
urned from same object under Bureau of Standards. returned to same object under tyar.
200 RECEIPTS AND DISBURSEMENTS, 19c25
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements sre printed in italics
Appropriations available in 1925
Appropriations from the general fund Fiscal Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
MILITARY AcTIVITIzs — continued
Quartermaster Cor ps — Contd. Buildings, Infantry School,
Camp Benning, Ga Acquisition of land, Camp
Knox, Ky Compensation for land
and damages, Camp Knox, Ky
Completion of acquisition of lands for military posts
Completion of acquisition of land for military purposes, Camp Bragg, N.
Completion of acquisition of land, Fort Eustis, Va
Completion of acquisition of land, Scott Field, Ill
Construction of road, Fort Story, Va
Disciplinary Barracks, Fort Leavenworth, Kans
Land, nitrate plant No. 2, Muscle Shoals, Ala
No year.
1924
1925
1922-23
1928
1924
1924
1925
No vear
1924 1923
Land, etc. , Walter Reed General Hospital, Dis- trict of Columbia No year.
Walter Reed General Hos- pital, District of Colum- bia do.
Lettermsn General Hos- pital, California do
Military posts do Military post near north-
ern boundary of Mon- tana Certified claims.
Military posts, Hawaiian Islands Vo year.
Military posts, Hawaiian Islands (transfer to Navy Department) act May 21, 1920 do
Military prison, Fort Leavenworth, Kans do
Purchase of land, military post, Schofield Barracks, . Hawaii do
Site; for military purposes do 1923
Sewerage system, Fort ) Ionroe, Va 1925
1924 1928
$18, 190. 69
153, 221. 48
158, 069. 24
18, 251. 80
20, 000. 00
150. 00
3, 898. 81
41. 00 3, 244. 68
8, 682. 94
45, 423. 01
11. 47 278, 191. 75
7, 984. 44
110. 77
10, 300. 00 s'1, 217, 987. 91
~
ss I, 472, 418. 70
1, 422. 70 6, 443. 42
$30, 000. 00
40, 000. 00
428, 882. OOI
16. 35
se 74, 000. 00'
' 16, 435. 75
" 150, 000. 00
$2, 190. 69
79, 983. 73
9, 223. 51 8, 223. 51 21, 776. 49
y, 100. 12 8, 100. 12 $149, 969. 12
2. 50
16, 724, 27
4, 769. 82
427. 50
2. 50
16, 724. 27
4, 769. 82
427. 50
18, 249. 30
2, 817. 18
3, 275. 73
150. 00
35, 230. 18
3, 398, 81
41. 00
57. 55
28, 154. 41
464, 716. 71
57. 55
28, 154. 41
464, 716. 71
3, 625. 39
17, 268. 60
11. 47 236, 807. 04
16. 35
156, 242. 93
16. 35
156, 242. 93 I, 741. 51
46, 279. 79 46, 279. 79 27, 720. 21
110. 77
78, 921. 23
15, 541. 56 I, 075. 33 6, 417. 18
78, 921. 23
10, 300. 00 I, 217, 987. 91 I, 393, 492. 47
894. 19 347. 37
26. 24
$16, 000. 00, $16, 000. 00
78, 237. 75 73, 287. i5
Supply depots, Fort Ssm Houston, Tex
Water snd sext era at mili- tary posts
No year
1925 1924-25
1924 1923
264, 682. 10
55, 000. 00 345, 716. 03
97, 280. 92
7 2, 267, 937. 75 1, 805, 081. 40 41, 818. 42
263, 895. 05 I, 144. 17
23, 034. 07
2, 111, 384. 04 96, 136. 75
264, 682. 10
462, 906. 35 13, 686. 58 81, 820. 98
sabjhty fund, Excluc»vc of account, transferred to "Civil-service retirement and di p, 291 '» Exche»v~ of 374, 000 transferred to same object under Navy Departm ent
» See note 35. ~ Transferred from 1923 account. » See note 37.
RECEIPTS AND DISBURSEMENTS, 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in italics]
201
Appropriations available in 1925
Appropriations from the general fund Fiscal Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balanoes June 30, 1925
MILITARY AGTIvITIEs — continued
Quartermaster Cor ps — Contd. Permanent and indefinite—
Replacing Army trans- portation
Replacing barracks and quarters
Replacing clothing and equipage
1925-26 1924-25 1923-24 1922-23
1922-23
1925 — 26 1924-25 1923 — 24 1922-23
$257, 427. 68 r 48, 546. 52 ' 53, 889. 57
7. 50
1, 523, 297. 57 588, 752. 48
'804, 095. 69
tf888, 518. 68 208, 464. 27
35, 521. 07 322. 25
8, 188, 088. 5 8 964, 345. 02 526 431. 33 330, 314. 87
$78, 805. 08
860, 998. 80
$53, 567. 32
7. 50
473, 780. 82
$322, 512. 62 48, 963. 41 13, 025. 45
2, 182, 083. 52 558, 952. 55
62, 321, 15
Replacing incidental ex- penses of the Army 1923 — 24
1922-23 Replacing regular sup-
plies of the Army 1925 — 26 1924 — 25 1923-24 1922-23
Replacing water and sewers at military posts 1925-26
1924-25 1923-24 1922-23
Special fund— Construction of non-
commissioned of- ficers' quarters, San Juan, Porto Rico No year.
284. 51 2. 41
459, 857. 79 r 132, 037. 66
I 62, 286. 67
5, 431. 93 4, 339. 28 1, 079. 55
$6, 000. 00
67&9, 886. 7' 375, 546. 56
86, 294. 42 1, 924. 55
18, 861. 18 4, 543. 72 2, 876. 55
145. 00
186, 181. 81
7» 840. 91
145. 00
2. 41
60, 362. 12
1, 079. 55
284. 51
649, 886. 74 84, 311. 23 45, 743. 24
12& 261. 18 888. 21
1, 462. 73
5, 855. 00
Total, Quarter- master Corps 43, 147, 717. 09 62, 343, 671. 42 61, 174, 907. 98 17, 390, 219. 37 26, 926, 261. 16
Increase for aviation, Sig- nal Corps, act Feb. 28, 1920
Maintenance of fire-con- trol installations 1925
1924 1923
Signal Corps: Salaries, Signal Office 1925
1924 1923
Commercial telephone serv- ice at Coast Artillery posts Certified claims.
Increase for aviation, Sig- nal Corps 1918
Certified claims.
758. 50 599. 98
441. 00
284, 425. 46
80, 636. 77 "10, 451. 85
r 56, 100. 00
489. 41
7, 767. 55
r 144, 185. 60
489. 41
1» 000. 08 7, 767. 55
489. 41
3, 767. 03
1, 235. 93 1, 235. 93,
114, 923. 00 64, 379. 60
578. 55
55, 775. 00 886. 18
1. 86 55, 547. 56
601. 24
4, 000. 52
11, 025. 40
325. 00 984. 68
441. 00
283, 189. 53
29, 262. 60 16, 257. 17
'1 13, 870. 64~
vice retirement and disibility lund, " p. 29r. ader Navy Department.
Maintenance of fire-con- trol installations (trans- fer to Navy Depart- ment, act Msy 21, 1920) 1923
' Exclusive of amount transferred to "Civil ser & Excludes 363. 36 returned from same object u
178, 729. 05
13, 870. 64 13, 870. 64 u See note 40.
202 RECEIPTS AND DISBURSEMENTS, 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements sre printed in ftalfcrl
Appropriations from the general fund Fiscal year Balances July
1, 1924 Appropriations
Appropriations avauable in 1925
Disbursements by years
Total disburse- ments in 1925
Amonnt carried to surplus fund
Balances June 30, 1925
MILITARY AGTIvITIEs — continued
Signal Cor J&s — Continued. Maintenance of fire-con-
trol installations, insular possessions 1925
1924 1923
Signal Service of the Army Xo year. 1925 1924 1928 1922 1921 1919
1918 and prior. Certified claims.
Signal Service of the Army (transfer to Depart- ment of Commerce, Bureau of Stand- ards)—
Act May 28, 1924 1925 Act of Jan. 5, 1923 1924
Signal Service, Army, act June 15, 1917 1917-18
Permanent and indefinite— Replacing Signal Corps
supplies and equ&ip- ment 1925 — 26
1924-25 1923-24 1922-28 1921-22
$17, 5,
748& 247,
659. 98 I 42
025. 96 221. 88
929, 106. 15',
7, 555. 97
1. 86 40 3 723. OOI
108, 168. 96 190, 159. 54 2 55, 616. 95
2 $26 649 05I 681. 98I 958. 75
$17, 426. 24 13, 696. 67
99. 01
1, 359, 461&
86,
8, 7,
'
107. 60 581. 88 720. 10 084. 66 981&. 06 888. 85 51. 80
70'. 9' 555. 97
3, 500. 00 87. f&0
189. 141
108, 558. 80 5, 917. 89
144, 019. 95 1& 341. 06
J&0. 18
1, 855, 145. 72'
211, 136. 67 924. 06 228. 25 51. 20
8, 705. 98
3, 500. 00 87. 80
189. 41 189. 41
86& 845. 24
54, 275. 89 40. 81
$6, 057. 76 $81, 028. 90
$9, 222. 81 3, 935. 26
1 552 38 569, 524. 27 281, 805. 86
223. 00 29. 46
102, 558. 30 114, 086 25 46, 139. 59
Air Service, Army (trans- fer to Advisory Coni- mittee for Aeronau- tics)—
Act, . '&jay 21, 1920 Air Service, Army (trans-
fer to Department of Agriculture)—
Act May 21, 1920
1923
1925 1924
Total, Signal Corps
Air Seroice: Salaries, Office of Chief of
Air Service 1925 1924 1923
Air Service, Army 1925 — 26, 1925
1924-25 1924 1923 1922 1921 1920
Certified claims.
4, 845. OO
5, 668. 58.
' 218, 111. 60
500, 000. 00 '0 12, 886, 913. 80 44 1 000 000' 00
50, 000. Ooi 40 3 729' 872 64I
'2 850, 964. 17, (") 1, 788. 87
10, 000. 00~ 68, 651. 72~
&e 597 40
z. 92 00 10& 000. 00
1, 760, 629. 46 2, 175, 576. 73
1, 8, 036,
48, 2, 839,
603,
8, 6,
68,
512. 83 828. 36 128. 18 868. 47 984. 11 107. 77 915. 88 653. 93 651. 72
597. 40
9, 800. 00
206, 749. 25 ' 77tf. 78 188. 01
2, 179, 937. 47
205, 848. 52
11, 602, 815. 05
597. 40
9, 800. 00
5, 790. 54
246, 980. 06 1, 631. 10 2, 915. 32 3, 846. 07
6, 362. 35 5, 123. 72
498, 487. 17 5 350 090 44
1, 871 82 890, 004. 17
200. 00 . 92
297, 281. 56 1, 459, 037. 16
Sl 000&00a wL 55 899& WL
' Exclusive of a&nount transferred to "Civil service retirement snd disability fund, " p. 297. && F xclusive of 33, 800 transferred to same object under Department of Commerce and 814, 182, 85 to "Civil service retirement and disabuity fund, " p. 297. " Transferred from "Signal Service of the Anny, 1925, " exclusive of 877 to "Civil service retirement and disability fund, " p. 297. «Transferred from 1922 account. «Exclusive of 5585, 530 transferred to same object under Agriculture, Commerce, Interior, snd Navy, and 890, 500 to "Civil service retirement and disability ftmd& p ~ « lucio i& 0 5 5589 returned from same object under Navy, snd excludes 8488432 to "civil service retirement and disability fund, " p. 2fYI. ~ ' loclu ic. ~. 31 returned from same object under Advisory Committee for Aeronautics. &' Balance transferred to accounts as follows:
Au Service, Army, 1925 Air Service, Anny, act June 7, 1924, 1922
«Exclusive of 848. 81 returned to same object under War. ~ 0See note 45.
RECEIPTS AND DJSB(JRSEMENTS) 1925
Disbursements, balances, etc. — Continued
203
(Repayments to appropriations in excess of disbursements arc printed in italics]
Appropriations available in 1925
Appropriations from the general fund Fiscal Balances July
1, 1924 Appropriations
Disbursements by years
1 otal d)sburse ments in 1925
Aruount carried to surplus fund
Balances June 30, 1925
MILITARY ACTIVITIES — continued
Air 8erviee — Continued. Air Service, Army (trans-
fers to Department of Commerce, Bureau of Standards)—
Act May 28, 1924 Act Jan. 5, 1923 Act May 21, 1920
Air Service, Army (trans- fers to Departmeut of the Interior, Bureau of Mines)—
Act June 5, 1924 Act Jan. 24, 1923 Act May 21, 1920
Air Service, Army (trans- fer to Navy Depart- ment)—
Act May 21, 1920
1925 1924 1925 1924
1925 1924 1925
l
1925 1924 1923
$856. 37
"1, 512. 4, )
1, 485. 60'
» 174, 953. Sgl 76, 197. 15'
500. 00 )75. 53 000. OO 383. 37
00 52
00 47
500. 00'
500. 00
600. 32 085. 65
467 580. 00 27S, 154. 08 166, 055. Sgi 76, 197 15
"$6 175 00 $5
ss 1, 74o 00
$o, 500. 00 5/'). 53
2, 383. 37
51, 600. 32' 1, 08, 5. 65
$675. 00 280. 84 745. 00 129. 08
899. 68 399. 95
44, 500. 00
189, 425, 92 8, 897. 50
Air Service, Army, Act June 7, 1924 1922
Air Service, military 1919 Air Service, production 1919
Certified claims.
04 399, 001. 65, '
13, 400. 00,
197,
781, 13,
127. -17 rr. 78
788. 08 400. 00
520, 407. 12'
197, 127. 47 1, 8 7.
708, 888. 08
8201, 874. 18 1, 277. 73
721, 788. 03
Aviation, seacoast de- fenses, insular posses- ci)ious 1924
1921
Buildings And facilities at avifttion stations, etc. , Aifny No year.
276. 60;
2, 864. 00
1, 750. 80
479. 10
1, 750. 80'
479. 10'
1, 750. 30 276. 60
2, 384. 90
Total, Air Service 6, 298, 595. 87 13, 77g, 3» 99 11, 886, 803. 47 1, 187, 353. 33 7, 003, 755. 06
MeCheal Deftiirtment: Sais'ries, Office of Surgeon
Gt)neral
Arnty Medical Museum
Hospital care, Canal Zone garrisons
1925 1924 1923
1925 1924 1923
1925 I
1924 1923
2, 867. 82 23. 79,
9 3,
' 136. 65 006. 80
]. c 935. 16' 4, 402. 03
' 261, 161. 40
7, 500. 00
', 35, 000. 00
258, 775. 49 759. 88
71). 08
3, 765. 01 2, 858. 17
9. 06
291 166. 66 8, 035. 65
257, 942. 13 4, 476. 11
6, 632. 24 14. 73
3, 006. 80 37, 202. 31
2, 385. 91 2, 694. 44
3, 734. 99 9. 65
5, 833. 34 1, 101. 00
Hospital facilities aud services, War Depart- mentes
Library, Surgeon Gen- eral is Office 20, 000. 00 8, 820. 92
{'3, 818. 92 1925 1924 l. 4, 395.
2, 513. 05 10' 7o2. 50
13, 392 34 44 Exclusive of 3755. 89 returned to same object under tvar. " Transferred from "Air Service. Army, 1922. " 44 All accent{is for medical and hospital services under the
ferrerl from the Veterans' Bureau, stater{ on pp. 219, 229, 230.
1923
disability fund, "
to "Civil service
to "c ivil service
' Exclusive of amount transferred to "Civil service retirement and p. 297. , " Set{, note 45.
a Transferred from "Air Service, Armv. 1925, " exclusive of 3125 retireuiint and. disability fund, ' p. 297.
4) Trf)ttsferraJ{ from "Air servirc, Armv, 1925, "
exclusive of 35. 00 retirentent and disability fond, "
p '-{97
60
11, 179. 08 576. 13
)Var Department trans.
204 RECEIPTS AND DISBURSEMEKTS, lrJ25
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in ifehcr]
Appropriations from the general fund year Balances July 1, 1924 Appropriations
Appropriations available in 1925
Disbursements by years
Total d isburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
MILITARY ACTIVITIES — continued
Medical Department — Contd. Medical and Hospital De-
partment 1925 1924 1928 1922 1919 1918
Certified claims.
Medical and Hospital De- partment (transfer to Department of Agricul- ture act May 21, 1920) 1925
1924
1, 784. 87
te 122. 70 "850. 00
" $1 084, 382. 90 57 $112, 465. 70
100, 981. 75
$917, 524. 25 101, 478. 38
4, 796. 14 108. 18
8, 8/6. 81 108. 50
1, 784. 87 .
200. 00 122. 70
$1, 017, 020. 71
322. 70
$96, 185. 61 103. 12
8, 346. 31 108. 50
$116, 858. 65 10, 992, 32
650. 00
Medical and hospital serv- ices, War Department M
Permanent and indefinite— Replacing medical sup-
plies
Total, Medical De- partment
1925-26 1924-25 1928-24 1922-28 1921-22
179, 864. 94 3, 593. 52 8, 490. 87
428, 799. 88 1, 860, 679. 17
886, 896. 80 174, 718. 15
2, 852. 95
15. 69 59& 8)0. 89
1, 273, 171. 54
3& 490. 87 15. 69
117, 508. 34
236, 896. 30 5, 146. 79
740, 57
398, 799. 17
Bureau of Insular Affairsf Salaries, Bureau of Insu-
lar Affairs
Care of insane Filipino soldiers
1925 1924 1923
1925 1924 1923
9. 25 1, 416. 91
1, 550. 20 1& 897. 75
7 79, 591. 50
1, 900. 00
74, 720. 00 801. 88
86. 88
801. 40 100. 10
74, 482. 36
401. 50
1, 458. 23
1, 897. 75
4, 871. 50 210. 57
1, 598. 60 1, 450. 10
Care of insane Porto Rican soldiers 1925
Care of insane soldiers of Porto Rico Regiment of Infantry 1923
Care of insane soldiers of Sixty-fifth Regiment of Infantry 1924
50. 00
50. 00
50. 00
50. 00',
50. 00
50. 00
Total, Bureau of In- sular Affairs 4, 474. 11 81, 541. 50 74, 888 86~ 2, 900. 981 8, 230 77
Corps of Engineers: Salaries, Office of Chief of
Engineers 1925 1924 1923
' 117, 643. 00 770. 00
4, 011 281-------------- 117, 110. 00
8146. 1&4
18. 10 116, 750. 76
4, 024. 83
583. 00 I, 116. 14
Civilian assistants to En- gineer officers 1925
1924 1928
452. 42 253. 01
' 45, 350. 00 44& 479. 15 160. 86 818. j46
43, 827. 55 l. 065. 47~
870. tt5 291 56
' Exclusive of amount transferred to "Civil service retirement and disability fund, " p. 317.
» All accounts for medical and hospital services under the War Department trans- ferred from the Veteran's Bureau, stated on pp. 219, 229, 230. » Exclusive of 3350 transferred to same object under Department of Agriculture and 38, 400 to ' 'Civil service retirement and disability fund, " p. 297.
4& includes 30. 10 returned from same object under Agriculture. 44 4see note 56. » See note 57.
RECEI IJISBURSEMENTSp 1925
Disbursements, balances, etc. — Continued
iaepayments to appropriations in excess of disbursements sre printed in ifanrs]
205
Appropriations from the Senersl fund Fiscal year
Appropnations avadab) e m 1925
Disbursements by years
Total disburse ments in 1925
Amount carried to surplus fund
Balances June 30, 1925 Balances July
1, 1924 Appropriations
MILITARY ACTIVITIES — continued
Corps of Engineers — Contd. Contingencies, Engineer
Department, Philippine Islands
Electrical installations, Hawaiian Islands
1924 1923
1924 1923
Electrical installations, Philippine Islands 1924
Engineer School 1925 1924 1923 1922
$1, 941. 66 I, 116. 71
2, 907. 73 10, 181. 17
42, 268. 66
5, 780. 24 I, 508. 69
r $27, 460. 00 38, 849 20, 045
3, 664 186 180
42 74 14 60 00
$2, 483. 21 618. 66;
$1, 864. 65
38, 849. 42
$1,
10,
I, 645. 19 180. 00
3, 414. 24 7, 414. 26 2, 116. 10
$1, 941. 66 116. 71'
424. 52 799. 73
Engineer School, Washington, D. C 1921
Engineer depots 1925 1924 1923
' 12, 804. 17 3, 552. 48
180. 00 ' 102, 835. 00 180. 00
88, 754. 82 10, 420. 75
2, 024. 35
23, 393. 3S
180. 00
96, 199. 92 I, 528. 13
19, 080. 18 2, 388. 42
Engineer equipment of troops 1925
1924 1923
1917-18 Certified claims.
19, 241. 77 10, 421. 58
' 62, 780. 00
805. 00
37, 94S 14, 850
89 1, 18'
805
87 23 8' i 98 00
52, 389. 28
10, 511. 42 I, 124. 98
24, 831. 13 4, 391. 54
Engineer operations in the field
Certified
Engiiieer operations in the field (transfer to Navy Department, act May 21, 1920)
Engineer operations in the field, act Feb. 28, 1920
En gi neer wharf, Fort Mills, Philippine Islands
Military surveys and maps 1925 — Dec. 1925-Dec, 1924 — Dec. 1923 — Dec, 1922 — Dec.
1925 1924 1923 1919 1918
claims.
1924
1923
31, 1926 31, 1925 31, 1924 31. 1923 31, 1922
40, 251. 38 8, 391. 31
9, 620. 00
891. 48
5, 536. 75 254. 59
50. 11
' 100 405 00
36. 14
52, 600. 00 ' 26, 750. 00
68, 821. 78 36, 129. 95
1, 11o. 96 181. 68 36. 14
10. 00
18, 978. 12 4, 234. 81
1. 56
103J 750. 28
10. 00
23, 214. 49
3, 391. 31 1, 115. 96
121. 63
10. 00
891. 48
50. 11
31, 583. 22 4, 121. 43
9, 620. 00
52, 600. 00 7, 771. 88 1, 301. 94
253. 03
Casemates, galleries, etc. , for submarine mines
Contingent expenses, sea- coast fortifications
1924
1925 1924 1928
1, 001. 04'
1, 112. 59 32. 50
' 22, 815. 00
94. 65
18. 100. 62 719. 94
18. 80
94. 65
i8, 808, 06 45. 00
906. 39
9, 714. 38 392. 65
Electrical and sound- ranging equipment, etc Nv year
Certified claims.
Fortifications in insular possessions 1922
Certified claims.
53. 47
185. 84
15. 88 53. 47
986. 86 185. 84
88. 22
710. g8
15. 25
926. 26'
' Exc Exclusive of amount transferred to "C'. ivil service retirement and disabilitv fund, " p 29"
206 RECEIPTS AND DISBVRSEMEKTS& 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements sre printed in frolics!
Appropriations available in 1925
Appropriations from tbe general fund year Balances July
11 1925 Appropriations
Disbursements by years
Total disburse ments in 1925
Amouut carried to surplus fund
Balances June 30, 1925
MxLxTARv Acrxvxrxzs — continued
Corps of Engineers — Contd. Gun and mortar batteries 1925
1924 1923, 1922
Certified claims.
$7, 647. 79 4, 745. 80
$890. 00i
3. 70
$192 6, 251
871 8, 0/8
3
66 79 79 Yf
70
$3, 878. 51 2, 046. 71
alii( 34 1, 396. 00
Modernizing older em- placements
Plans for fortifications 1925 1925 1924 1928
2, 214. 28 2, 267. 92'
2, 875 OOI ' ll, 865. 001
2, 294 5, 153 1, 682 1, 556
12 84j 79 141
$5, 273. 28i
2, 294. 12
711. 7S'
SO. Ss 6, 211. 16
531. 49
Plans f or f ortifications, insular possessions 1925
1924 1923
502. 97 598. 96
7 4, 880. 00 4, 076 408
10 61
8, 892. 77
593. 96
S03, 90 94. 36
Preservation and repair of f ortifications 1925
1924 1923
Preservation and repair of f ortifications, insular possessions 1925
1924 1928
Preservation of historical fortifications 1925
Protecting shore of Sandy H o o k Reservation, N. J 1919-20
Repair and restoration of defenses of Galveston, Tex Certified claims.
Seacoast batteries, Ha- waiian Islands 1924
1923
50, 728. 25 3, 275. 14
9, 066. 45 22, 635. 08
509. 46 189. 84
r 273, 464. 00
r 65, 840. 00
7 51, 805. 00
300. 00
250, 207. 50 41, 174. 23
o, 580. 5l(
37, 553. 26 8, 800. 62 7, 907. 60
25, 206. 70
800. 00
800. 00
67. 99
4, 484. 71
285, 801. 19, '
53& 761.
25& 206. 70
800. 00
800. 00'
8, 855. 68!
14, 727. 4S,
200. 00
189. 84
23, 256. 50 9, 554. 02
28, 286. 74 765. 83
26, 598. 80
441. 47
Seacoast defenses, Philip- pine Islands snd Ha- waii No year.
Searchlights and electrical installations at seacoast fortifications 1925
1924 1928 1921
Certified claims.
7 4, 683. 50 4, 079. 72
722. 00
r 34, 085. 00
408. 76
24, 3 1,
'
722. 00,
850. 58 405. 44' 305. 05' 80. 08,
408. 76
67. 99,
722. 00'
2, (74. 67 20. 06
9, 234. 47 1, 278. 06
Searchlights and electrical installations, Hawaiian Islands
Searchlights for harbor de- fenses
Sea walls and embank- ments
1925
No year.
1925 1924 1923
1& 955. 52 2, 579. 41
' 14, 725. 00
' 13, 655. 00
1, 122. 07
5l(. 85
7, 713. 66 1, 002. 15!
29, 949. 72
1, 122. 07'
5l&. 8oi 54. 25
2, 579. 41
13, 602 93
5, 941. 84 95:t. 37
Supplies for seacoast de- fenses 1925 I
1924 j r 26, 893. 40
1923 '
20, 697. 65
' 70, 740. 00
& Exclusive of s(nount transferred to "Civi] service retirement and disability fund, " p. 299.
46, 19,
103. 14 543. 66 88. 8~r'
8, 715. 81
65, 558. 16, 20, 786. 29
24, 636. 86 7, 349. 7&
RECEIPTS AND DISBURSEMENTS, 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in ira!ics]
Appropriations available in 1923
Appropriations froru Ibe general fund Fiscal Balances July
1, 1924 Appropriations
I&lsburscmcnts Total disburse- AluOunl corned Balances Junc bl years Inents in 1923 Io surplus fund 30. 1923
MILITARY AcTIvITIEs — continued
Cor ps of Engineers — Contd.
Supplies for seacoast de- fenses, insular posses- sjo us 1925
i 1924; 1923 l
Temporary office building, )Var Department Vo year.
Temporary office build- ings, 1Var and Navy Departments . do
' $9, 365. 1( 3. 089. 84
33, 344. 67[
12& 523. 49
$38, 540. 00'. $20 014 3f 6, 946. 71
88. 64 $27, 049.
$3, 001. 10
33, 319. 67
12& 523. 491
SIS, o25. 7fl 2, 418. 46
25. 00
Total, Corps of Engi- neers 402, 937. 081 1, 143, 196. 91' 1, 032, 055. 59 144 S20 96[ [369, 257. 44
UNDER QCXRTERNXSTER CORPS
ftortiftcations, etc. , Pananla Canal: Army CIIIarters, store-
houses, etc. , Canal Zone, Panama Canal iVO year.
Cantonment construction, Panama Canal. do
bfilitard l &oats, l'allama Can ai do
51, 940. 01[
204, 546. 61'
5. )7, SDO. 00 153, 487 531 153, 48(. 53
51, 940. 01
204, 546. 61
404, 362. 4(
[;Di. a xla sFRP[cs
Aviation, seacoast de- fenses, Panalna Canal do 145& 000. 00' 145, 000. 001 145, 000. 00,
UNDER SIGNAI CORPS
Maintenance of fire-con- trol installations, Pana- ma Canal 1925
1924 1923
UNDER CORPS OF ENGINEERS
4, 985. 10 4, 045. 55
I 10, 763 6, 528 2, 670
20
83' 93 76,
9, 220. 52
4, 234. 75 2, 314. 17
4, 024. 79,
Plans for fortifi&cations, Panama Canal
Preservation and repair of fortifications, Panama Canal
1925
1925 1924 1923
2, 161. 2, 612.
' 3, 345. 00
' 40, 730. 00
2, 412. 52
30, 410. 45 21. 07
2, 412. 52
30, 431. 52, 2, 612. 8(
932. 48
10, 319. 55 2, 140. 58
Seacoast batteries, Pana- ma Canal 1925
1923 claims.
, Certified
1925
1923 4, 000 00'
1925 1924 16, 313. 1923 8, 080.
52 28
Searchlights snd electrical installations, Panama Canal
Sea walls and embank- ments, Panama Canal
Supplies for seacoast de- fenses, Panama Canal 30, 000. 00[ ( 3oo
12, 71S 145
45 16
1
20, 219. 14
272, 460. 00 162, 678. Sb
669. Sfi 669. 85' 163, 348. 711
50, 000. 00, '
6. 22
4, 000. 00
7, 934. (5
109, 781. 14
50, 000. 00
2&2&, 644 55 :&, 595. 36
Exclusive of amonnt transferred to "Civil service retirement and dlsablbty f:Ind, p. 299.
208 RECEIPTS AND DISBURSEMENTSI 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in italics]
Appropriations available in 1925
Appropriations from the general fund year Balances July 1, 1924 Appropriations
Disbursements by years
Total disburse ments in 1925
&mount carried to surplus fund
Balanoac June 20, 1925
MILITARY ACTIVITIES — continued
UNDER ORDNSNCE DEPSRTNENT
Fortification, etc. , Panama Canal — Continued.
Armament of fortifica- tions, Panama Canal 1925
1924 1923 1922
Certified claims.
Ordnance depot, Panama Canal No year.
CNDER CHIEF OF COSST SRTILLEBY
Fire control, Panama Canal 1925
1924 1922
Submarine mines, Pana- ma Canal 1925
1924 1923
$76, 370. 46 76, 377. 43
4, 566. 41
17, 284. 32
2, 330. 58 108. 80
' $409, 487. 50
25. 02 3, 662. 14
so 57 764 77
(sl)
5, 000. 00
$191, 933. 38 50, 875. 09 75, 551. 40[
40. 06 3, 662. 14
8, 897. 67 11, 964. 11
3, 433. 57 2, 292. 69
$321, 981. 95
20, 861. 78
5, 726. 26
$826. 03 65. 08l
108. 80
$217, 554. 12 25, 495. 37
4, 566. 41
48, 867. 10 5, 320. 21
1, 566. 43 37. 89
Total Fortifications, etc. , Panama Canal 475, 729. 81 1, 586, 757. 86 872, 689. 93 19, 578. 54 1, 170, 219. 20
Ordnance Department: Salaries, Oifice of Chief of
Ordnance 1925 1924 1923
Ordnance service 1925 1924 1923 1922 1921 1920
1919 and prior. Certified claims.
Ordnance stores and sup- plies 1925 — 26
1924-25 1923-24 1922-23 1921 — 22 1919 — 20 1918-19 1917 — 18
Certified claims.
Ordnance stores and sup- plies, uct June 15, 1917 1917 — 19
Ordnance stores, Ammuni- tion 1925 — 26
1924-25 1923-24 1922-23 1921-22 1918-19 1917 — 18
Certified claims,
3, 004. 17 j, 400. 74
' 163, 952. 75 45, 029. 34
7161, 140. 20
'1, 191, 600. 00
68, 862. 05 744, 050. 92 21, 499. 65
24. 30, ,
12, 849, 20
' 119, 880. 00'
19. 82!
2, 659. 70
2, 561. 76
522. 00
sl 995 825 00 349, 468. 14I
7326, 344. 07, 759, 987. 36'
158, 626. 37 74$. 80 88. 76
974, 583. 25 134, 626. 61
12, 115, 69 1$. 08
11, 069. '177
24. 30 9, 5917. 68
12, 849. 20
51, 461. 05 46, 997. 42 23, 367. 44 21, 343. 30
19. 82 6, 018. 78
go, '
079. '
78 8, 8jr6. 66 2, 561. 76
5, 890. 91
366, 195. 90 196, 894. 65 282, 591, 18
46, 920. 91 17k 96
1, 088. 81 611. 80 522. 00
157, 843. 31I
1, 120, 600. 87;
98, 313. 63
6, 880. 91
1, 439. 50
32, 913. 65 14. 03
11, 059. 47
2, 524. 68
156. 35
5, 018. 73 42, 732. 48
2, 345. 65
5, 820, 91
13, 066. 45 175. 96
1, 088. 81 511. 80
2, 513. 83 3, 748. 47
217, 016. 75 29, 326. 14
68, 418. 95 21, 864, 63 20, 683. 48
629, 629. 10 152, 573 49 43, 752. 8{}
' Exclusive of amount transferred to "Civil service retirenlent and disabiuty p. 298. « lnrludes 522. S4 transferred from 1922 account.
fund, " 891, 348. 07 «Se note 50. «Exclusive of 22, 200 transferred to same object under Commerce snd I 25 t
service retirement and disability fund, " p. 298.
RECEIPTS AND DISBURSEMENTS& 1925 209
Disbursements, balances, etc. — Continued
(Repayments to appropriatiops in excess oi' disbursements are printed in italics]
Appropriations available in 1925
Appropriations from the general fund F iscal
Balances July 1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
&n&aunt i. or«cd to surplus fund
Balances J&me 30, 1925
MmfTAny AorfvrTJEs — continued
Ordnance Department — Con. Ordnance stores, Ammuni-
tion (transfers to De- partment of Com- merce, Bureau of Standards)—
Act May 28, 1924 Act Jan. 5, 1923 Act May 21, 1920
Ordnance stores, Ammuni- tion, act June 15, 1917
Armored motor cars
1925-26 1924
1923-24
1917 — 19 1919-20
1918
$283. 09 ' 636. 00
es $3, 292. 00 $737. 25 124. 00 612. 27,
86. 91', 18, 666. 66'
186. 68'
$737. 25] 124. 001 612. 27ji
86. 81 $25 18, 666
126
91 661 69
$2, 554. 75 159. 09 23. 73
Automatic rifles 1925 — 26 1924-25 1923-24 1922-23
1919 1918
1917 — 18
Manufacture of arms (transfer to Depart- ment of Agriculture)—
Act May 21, 1920 1924 — 25 Manufacture of arms
(transfer to Depart- ment of Commerce, Bufeau of Standards)—
Act Msy 28, 1924 1924 — 25 Manufacture of arms, act
June 15, 1917 1917-19 Nitrate plants No year. Small-arms target practice 1922 — 23
Certified claims.
Automatic rifles (transfer to Department of Commerce, Bureau of Stgndards)—
Act May 21, 1920 ' 1924-25
1923-24
Distribution of captured war devices and trophies 1925 — 26
Gauges, dies, and jigs for manufacture 1925
Medals for office and enlisted men, Texas Cavalry 1925
Manufacture of arms 1925 — 26 1924-25 1923-24 1922-23 1919-20 1918-19
Certified claims.
ee 155& 844. 02 '49, 403. 55 '13'& 211, 03
" 1, 985. 00 7 867. 00
" 2OO, 231. 9O ' 75, 395. 47 ' 46& 524. 42
er 475 00
'" 930. 00
" 223, 183. 65 ' 66, 882. 88
'207, 740. Ooj
20, 000. 00
7 49, 625. 00
5, 000. 00' ' 388, 375. 00
4. 16
11, 686. 07
76, 995. 52 56, 744. 83 29, 297. 49 13, 137. 63 15, 888. 77~
880. 78, 10. &&. 50
1, 000. Ooi 172. 09,
74. 30
25, 738. 96
10 154, 393 125, 294 69, 856 36, 810
8, 665 881
4
00', 63', 61 78. 71 00, 861 16
411. 24
900. 00)
60. 89 7, 350. 05
10, 985. 78 11, 686. 07
18, 788. 85'
160, 457. 48
1, 172. 09
74. 3O
25, 738. 96
10. 00
383, 543. 64j
411. 24
900. 00
60 89 7, 350. 0, 5
22, 671. 85.
9 713 2, 565
251
71j 00 25
50. 29
, 55, 897 10
73. 40 15, 382. 77
230. 72 104. 50
130, 744. 48 99, 099. 19 20, 106. 06
985. 00 694. 91
19, 925. 70
23, 886. 04
4, 990. 00 233, 981. 37
74, 937. 29 5, 538. 69
63. 76
30. 00
215, 833. 60
ice retirement nnd disnbilitv fund, " usive of $8 to "Civil service retire-
ader Cominerce. usive of $15 to "Civil service retire-
der Agriculture and C ommerce,
' Exclusive of amount transferred to "Civil serv p. 298.
0 Transferred from same object under War, excl ment and disability fund, " p. 298.
"Exclusive of $2, 000 transferred to same object u 0 Transferred from same abject under War, excl mont nnd disability fund, " p. 298. -
n Exclusive of $1, 425 transferred to same object un
«See note 66. «Transferred froin seine object under War, exclusive of $20
ment and die ibility fund, " p. 298. «Exclusive of $'225, 115. '37 tr&nsferrod to accounts as folloivs:
iVitrate plnnts, Department of Agriculture iVitrate plants, &Xfetj&odh of Utilization "Civ'1 service retirement nail dissj&ility fund,
" p. 298
to "Civil service retire-
$185, 000. 00 40, 000. 00
115. 37
210 13ECKIPTS AND DISBU13SEMENTS, 1925
Disburse&n(«ts, bala&tees, etc. — Continued
[i«p;(i ii&vnis io appropriations in escess of disbursements are priuted iu (taf(cs]
Appropriations alai)ah)c in 1923
Appropriations f& o&u i br general fun&i y. soul
v r (» ' I) (1 a n ces t u) &
1, 1 024 id pp Tupriations
i&ishu&semeuis sputa( (iishurse. A&nount carried by vears menTs in 1923 to surp)us fm&d
Sab&a&vs June 30, 1923
sfILITARY ACTIVITIES — contiT&uecl
Drdna&tce Depart»I nt, — Con. Armament(&f fortili& ations X&i year.
1925 1924 1923 1922 1921
1919-20 Cc& tiiied claitns.
' $357, 226. 50 ' 138, 687. 90
(2, 134. , 52
&-14, 101. (Sfii ' 926, 297. 00'
178, 5)69. 1;5
$'1, 0('0, 121 654, 511 290, 743 122, 079
!&89 3. ', 8
8Z&&
180, 996
04 04 ll 18'; 8 I&
& /
00 $171, 546. 27
$1, 319& 223. 09
1(i, 608. 7'. ), 509. 05j 34S. 84, 824. 24
$271, 786. 4(1 76, 482. 9b
69, 707. 60
Arinan)ent of fortifications (transfer to Depart- ment of Commorce, Bureau of )5tandards)—
Act &lay 28, 1924 1925 Armament, oi f&&rtifications
(transfer to Navy Depitrtment)—
Act &%lay 21, 1920 1925 Armarn&uit of fortifications
(tra, nsfer to Depart- nuent, of the Interior, Bureau of '(lines)-
Act Ju&(e 5, 1924 1925 Armament c&f fortificatioi&s,
act Fej&. 28, 1920 Arn&an&cnt of forlifica-
ttons, act Junc 1, 5, 1!ij( s, o i c;ii. Armament of f&&i. tifica-
tions, insular posses- sions lc&2 &
1924 1923
y(i!I, i»l. l 1
Si, 150. 14 ) 1, 961. 64
", )32. 00
'-' 7, 50(). 0()
' &79, 405. 00
Field artillcri. armament "' 1, 663, 322. 50 1925 1924 ' 492, 220. 90 1923 240, 914. 03
81,
95 46, 54,
913, 316, 187,
8-17. 18
85i. 1'9
147. 36 655. 72 079. 03
769. 37 944, 59i 289. 93'
8'li. 18&
81, 85&, 79
1:3, 989. 92&
195& 882. 11 i
1, 418, 003. 89
1'3, 989. '. )2, '
882. 61 i
5&(3, 624. 10&
84. (&2&
(, 500. 00
500. 00
161, 609. 20
484, 257. 64 10, 504. 42
749, 553. 13 175, 276. 31
Field artillery ar&nainet&t (transfer to Depart- ment of Connnercc, Bureau of Standards)—
Ac( '&1 &y 28, 1924 Act Alai 21, 19'0
I('ielcl artillcri ari&iam& nt !transfers t&& Dcpart, —
n&cnt of tl&c Intc rior, BuI'ctlll(, &i 3 !111('s '—
A& r j»lay "1, 1920 jrvacuntioi& (&f (. I'ci&l. '&lie&'
(ici&(«s I I'oi I &(" p'I'o(111&is, i I'1&l '
2. 16 72. 38
" 925. 00 1!)24 790. 00
922. 8-! 17. C'&
922. 84, 717. 62'
259. 17 77. 00
1 Q'»,
1 c&24 '&, 480. 0(1 2, 220. 83
77. ()r) 2, 220. Sd
77. 00'. .
7, 021. 01 11 113, 625. 14
120, 181. 49 61, 885. 99
:32'
102, 89'5 7, 021. 01, 68, 488. 51
100, 672. 75, 23& 160. 48
217. 59 99
192, 539. :3;3&
500, 00
' Transferred from same object under tyar, exc)us(v(. of 9". , tn "&'ivil service T('(&Tr '
ment and d&sab&1&ty fund p " See note 73. Eselus(ve of 8800, trausferrpd To cairn(, ohj& I un I ( finn&merce»O(i '" "I'&
service retirement and disability fund. ' p. 2'Ii See note Ir&.
»0 ic»r 27;3, 539. 56 1!)'&5 ' 1SS, 670. 00 1&)2 j 162, 008. 74
2'5, 209. 80 ('(I tifiied claims. 217. 59,
i'r«i j&&g grouiids. Arn&y (I raiisfer to Depart- I l&e&&r of Co&&in&cree, jhii 0;& i& of Si:i&&dards)—
Y(t . 'il;&y 21, 1920 I!&2) . . " 500. OOI I'i&&. 'i(l 1 I ni; noun& I&i&lls(pr&'r 1 in "c ivil spr( r(' (1'I 1('rn&('nt and disability fund, " I'v i»rive i( c. i. &no ri, . n ic(r(1 I(» 01&l, ' &hip(1 I&nll( ( ornmeree. Navyand Interior "i(& iu '('Iv(l . (i (( r, iu& r) ni, &n i d&s&i»li;( fund, " p. 298. " I'I i -. 'P&r( i i(um ~ . «n( ul&i((t n&d(r u. ;r, irl( c'i&c of 818 to "Civifserviceretire- (' r 1i , & 1 II&
' »I o v (&(. I ''
p '&!( '
I'( (C I& ( (. c(. ( nf ~ . & i( Itaocfrrred to s&iu oh(sr& under Commerce and Interior and
(v&i 'p&vup rriirp&nant;u(1 dic&h&litv fund, " p. . 298
RECEIPTS A'iV. D DISBURSEMENTSr 1925
Disbftrsemenfs, balances, efc. — Continued
[Repayments to appropriations in escess of disburseznents are printed in itafics]
211
Appropriations available in 1923
Appropriations from the general fund Fiscal Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
MILITART AGTIvITIEB — continued
1925 ',
1924 i
1923
Ordnance Department — Con. Proving-ground f a c i 1 i-
ties Certified claims. Radiodynamic torpedoes No year.
'
Construction of hangar, Aberdeen Proving Ground, Md do
Benicia Arsenal, Benicia, C alif do
Frankford Arsenal, Phila- delphia, Pa do
Picatinny Arsenal, Dover, N. . J do
Rock Island Arsenal, Rock Island, Ill do
Rock Island bridge, Rock Island, Ill
$245, 258. 43'
. 72
2. 88
93& 869. 58, '
34. 52
145, 976. 58
6, 175. 09, 387. 00'
$108. 24
r 29, 640. 00
858. 23 858. 23~
280. 08
21, 541. 65 5, 886. 98
387. 00
280. 08
$108. 24 $108. 24 824o, 258. 43
. 72
2. 88
93, 011. 35
34. 52
145, 696. 50
8, 098. 35 288. 11
Special repairs, Rock Is- land Bridge, Rock Is- land, Ill 1923
San Antonio Arsenal, San Antonio, Tex No year.
Sprin eld A r s e n a I, I . pringfield, Mass do
Watertown Arsenal, Wa- tertown, Mass do
Watervliet Arsenal, West Troy, N. Y do
Certified claims.
Repairs of arsenals 1925 1924 1923 1922 1921
Certified claims.
Storage facilities at armor- ies and arsenals No year.
Terminal storage and ship- ping buildings do---
Tanks 1925 — 26 1924-25 1923-24 1922-23
Tanks (transfer to De- partment of Com- merce, Bureau of Standardsl-
Act May 21, 1920 1923 — 24 Testing machines 1925
1924 1923
8, 275. 00
3. 43
2, 708. 59
14, 793. 95'
10, 695. 65
7 146, 537. ()9 39, 861. 87
44. 42'
340, 869. 54
84, 768. 33 ' 66, 207. 39 I 137, 207. 77
51. 90
1 598, 800. 00
604. 84
2 500. 00l
' 175, 910. 00
4, 239. 59
25. 00
4, 002. 14 51. 90
411, 348. 66 123, 923. 54 27, 912. 60
71. 08 48. 16
604. 84
2, 500. 00
18& 487. 91 83& 575. 23 27, 047. 84 27, 267. 35
129& 217. 11
27, 815. 63
4, 239. 59
25. 00
4, 054. 04'
563, 675. 40(
2, 500. 00
18, 487. 91
267, 107. 53
$4, 035. 41
11, 949. 27 71. 08 43. 16
44. 42
7, 990. 66
3. 43
2, 708. 59
14& 768. 95
6, 693. 51
187, 451. 34 22, 614. 45
322, 381. 63 92, 334. 77 57, 720. 49 38, 940. 04
' 935. 00
r 3, 558. 75 1, 084. 89
r 24, 892. 50
Claims for damage to and loss of private property by explosions and fire, plant of T. A. Gillespie Co. , Morgan, N. J No year.
&E 29, 008. 71
sclusive of amount transferred to "Civil service retirement and disability fund, " p. 298.
700. 00 9, 165. 19 3, 383. 01
812. 39'
112. 00
700. 00
13, 360. 59
112. 00
272. 50
235. 00 15, 727. 31
175. 74
5, 863. 65~ 23, 033. 06
212 RECEIPTS AND DISBURSEMENTS& 1925
Disbursements, balances, etc, — Continued
[Repayments to appropriations in excess of disbursements are printed in italics]
Appropriations from the general fund Fiscal Balances Julv
1, 1924 Appropriations
A. ppropriations available in 1925
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
MILITARY AcTIvITIzs — continued
Ordnance De part ment — Con. Permanent and indefi-
nite— Replacing ordnance and
ordnance stores 1925 — 26 1924-25 1923 — 24 1922-23 1920-21
Certified claims.
" $711, 396. 45 ' 572, 362. 09 7 476, 967. 38
$192. 15
4894, 779. 58 178, N8. 08 355, 443. 44 109, 037. 12
815. I&0 192. 15
$367, 930. 26 615. 40
$894, 779. 53 884, 614. 47 216, 918. 65
Replacing ordnance and ordnance stores(trans- fer to Navy Depart- ment)—
Act May 21, 1920 1924 — 25 Special funds—
Ordnance material, proceeds of sales (War) No year.
Sale of property, Philippine govern- ment do
Total, Ordnance De- ps, rtment
Chemical jit arfare Service: Salaries, Office of Chief of
Chemical Warfare Serv-
" 3, 216. 00
797, 459. 46 122, 571. 09
3, 580. 00
8, 122, 324. 80 7, 925. 095. 41
3& 014. 79
65, 457. 54
3, 580. 00
f608, 91&0. 8$
3, 014. 79
65, 457. 54
3, 580. 00
5& 112& 431. 25
201. 21
500, 000. 00 354, 573. Pl
2, 679, 775. 36 8, 255, 213. 60
'ce I 1925 1924 1923
9. 00 276. 25
' 20, 241. 00 20, 235. 00 87. 48
7. 09 283. 34
6, 00 36. 42
Chemical Warfare Service, Army No year.
1925 1924 1923 1922
1920-21 Certified claims.
114. 08
' 148, 845. 22' se 7 997. 46
7 895, 159. 00
32, 726. 00
I&9, 991&. 68 621, 026. 51 117, 618. 33
5, 732, 96 166. 1&0 817. 61
15. 49
20, 200. 49
2, 264. 50 166. 40 217. 61
32, 710. 51
50, 108. 70 274, 132. 49 31, 226. 89
Chemical Warfare Service (trsnsfer to Depart- ment of the Interior. Bureau of Mines)—
Act Msy 21, 1920
Total, Chemical War- fare Service
1924 ' 347. 78
157, 589. 79 948, 126. 00i
343. 34
694, 014. 66
343. 34
714, 558. 49
4. 44
35, 642. 36 355, 514 94
Chief of Infantry: Infantry School, Fort Ben-
ning, Ga 1925 1924 1923
8, 721. 28 3, 907. 14
7 37, 217. 00 31, 001. 68 7, 922. 75'
132. 35 3, 774. 79
6, 215. 32 798. 53
Tank Service 1925 1924 1923
3, 679. 85 4, 468. 02
' 26, 615. 00 25, 050. 34 1, 505. 92
118. 'M
39, 056. 78
26, 437. 54 4, 586. 74
1, 564. 66 2, 173. 93
Total, Chief of In- fsntr 20, 776. 29 . 63, 832. 00 65, 494. 32 8, 361. 53 10, 752. 44
e retirement and disability fund, " under Navy.
: Exclusive of amount transferred to "Civil servic p, Qs " Ereiu»ve of 33, 2tr& transferred to same object
» See note 78. u I l„d 25'92 tu d I m Army investigation of activated coal
1923. "
RECEIPTS AND DISBURSEMENTS, 1925
Disbursements& balances, efc. — Continued
[Repayments to appropriations in excess of disbursements are printed in italics]
213
Appropriations from the general fund F iscal
Balances July 1, 1924 Appropnat&ons
Appropriations available in 1925
Disbursements by years
Total disburse- ments in 1925
Amount carried , 'Balances June to surplus fund 30, 1925
MILITARY ACTlvITIEs — continued
Chief of Cavalry: Cavalry School, Fort
Riley, Kans 1925 1924 1923
Total, Chief of Cav- alry
Chief of Field Artillery: Field Artillery School,
Fort Sill, Okla 1925 1924
Field Artillery Schools 1923 Instruction in Field Artil-
lery activities 1925 1924 1923
Total, Chief of Field Artiller v
Chief of Coast Artillery: Salaries, Office of Chief of
Coast Artillery 1925 1923
Coast Artillery School, Fort Monroe, Va 1925
1924 1923
Coast Artillery war in- struction 1925
1924 1923
Fire control at fortifica- tions 1925
1924 1923
Certified claims.
$757. 18 526. 73
1& 283. 91
4& 209. 31
996. 00
1, 802. 18 510. 43
7, 517. 92
825, 50
349. 45 36. 84
265. 90 34. 71
s' 53, 683. 07 1& 074. 74
' $19, 331. 00
19, 331. 00
' 19, 230. 00
5, 000. 00
24, 230. 00
t 22, 054. 50
& 28, 073. 50
1, 000. 00
128, 000. 00
9. 68
$18, 322. 86 ?21. 16
18, 653. 92 3& 991. 00
2, 855. 09 1, 700. 67
22, 054. 50 81. 15
27, 880. 46 326. 41
976. 38 248. 93
51, 421. 85 42& 222. 29
939. 51 9. 68
$19, 044. 02
19, 044. 02
22, 644. 92 l&8. 74
4, 555. 76
27, 156. 94
22, 033. 35
28, 206. 87
1, 225. 31
$526. 73
526. 73l
1, 039. 74
510. 43
1, 550. 17
846. 65
36. 84
34. 71
135. 23
$1, 008. 14 36. 02
1, 044. 16
576. 08 218. 31
2, 144. 91 101. 51
3& 040. 81
193. 04 23. 04
23. 62 16. 97
76, 578. 15 11& 460. 78
Fire control at fortifica- tions (transfer to Navy Department)— Act May 21, 1920
Fire control in insular possessions
Submarine mines
1924 ss 4 575 67
1925 1924 1923 1922
14, 413. 77 2, 840. 95
1925 1924 9, 032. 09 1923 539. 21
180, 500. 00
f 24, 567. 50
4, 575. 67
57, 851. 53 8, 424. 44
539, 21
l4, 422. 17 14, 287. 46
7. 74
94, 593. 33
4, 575. 67
66, 815. 18'
28, ?Oi. 89'
2, 840. 95 7. 74
122, 648. 47 607. 65
10, 145. 33 126. 31
Submarine mines in insu- lar possessions 1925
1924 1923
2, 608. 93 1, 160. 70
3, 000. 00 1, 151. 57 2, 608, 21
3, 759. 78 1, 160. 70
1, 848. 43 . 72
Total, Chief of Coast Artillery 91, 441. 53 387, 205. 18 249, 911. 38 5, 062. 82 223, 672. 51
xdusive of amount transferred to "Civil service retirement and disability fund, " » Includes $145. 33 returned from same object under Navy. 9 398. » See note 81.
214 RECEIPTS A. ND DISBURSEMENTSr 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in italic&]
Appropriations available in 1925
Appropriations from the general fund Balances July
I, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
MILITARY Ao TIvi Ti Es — continued
Military Academyi Buildings and grounds iVo year Equipment fund do Improvement of athletic
field, United States Military Academy (re- imbursable) do
Maintenance, U n i t e d States Military Acad- emy do
1925-26 1925
1924-25 1924
1923-24 1923
1922-23 1922 1921 1919
Certified claims
$649. 18 (83)
1, 100. 20, 854.
691. 4, 562. ' 643.
00 32 66, 49) 45'
11, 591. 43i
34 15P PPP Pp
$111, 310. 00 1, 100. 00
& 539, 390. 00
4, 938. 93
$100, 000. 00
ss 95, 324. 15
459, 029. 86 492. 77
16, 977. 00 413. 15 1417. 61
71, . 81, 98. 98
4, 938. 93
$100, 000. 00
$4, 980. 10 643. 45
74. 34 93. 98
$649. 18
50, 000. 00
15, 928. 00 1, 100. 00
80, 360. 14 607. 23
3, 877. 32 278. 51
11, 591. 43
lilemorial Hall, W e s t Point, N. Y No year
New cadet mess hall and drawing academy, United States Military Academy do
Pay of Military Academy 1925 1924 1923 1922
Less repayments trans- ferred to "Civil service retirement and disabil- ity fund, " p. 298
l. 75,
"93, 753. 81
209, 431. 34, 160, 206. 86, '
(")
653, 486. 29
57. 85, '
350. 000. PPI 3 1, 665, 140. 24
88, 561. 39 1, 428, 811. 65
87, 295. 18 711. 51
576, 589. 93
88, 561. 39
1, 514, 895. 32
160, 918. 37'
1. 75
355, 192. 42 236, 828. 59 122, 136. 16
Total Military Acad- emy 653, 428. 44 2& 671, 879. 17 2, 280, 046. 64 166, 710. 24 878, 550. 73
Pay of National Guard for armory drills
Ammunition for field artil- lery, Organized Militia
Certified Arming, equipping, snd
training the National Guard
Certified
1925
claims.
1925 1924 1923 1922 1921 1920 1918
claims.
Militia Bureau: Salaries, Militia Bureau 1925
1924 1923
1, 788. 75 I, 895. 28'
" 1, 332. 000. 00
3 124, 371. 00 123& 890. 00 8lf5. 85 $8. 68
123, 596. 18
815. 87' 815. 87 815. 87
7 16, 723, 185. 00 8, 921, 753. 83'
ss 3, 587, 957. 18 21. 00
10, 637. 75
6, 746. 35
13, 499, 4, 737,
36, 16,
10,
390. 80 154. 29 195. 85 rro. 57 804. 09 018. 27
9. 18 746. 35 6,
18, 264, 921. 72'
10, 200& 000. 00 8, 560, 502. 73 8, 560, 502. 73i
1& 943. 90
33 57 09 48 18
3& 551, 761. 16, 791. 7, 804.
619. 9.
481. 00 2, 034. 00
2, 971, 497. 27
3, 223, 794. 20 4, 184, 599 54
'ce retirement and disability fund, " 8&
ent of athletic Geld, D, S. rfilit:&ry 4&
nsferred to "Civil service retirement
Exclusive of amount transferred to "Civil servi I&. 298.
&4 Balance of 3150, 000 transferred to "fmprovem Academy (reimbursable). " " See note 83.
n Balance of 5142. 15 and 85L85 repayments tra and disability fund, " p. 298.
Transferred from "Pay of Military Academy, 1922. " See note 86. Transferred from "Arming, equipping, and training the National Qusrd, 1923" See note 88.
BECEIPTS A. ND DISBUBSEMENTSr 1925
I Disbursements, balances, etc. — Continued
[Repayments to appropriations in exocsa of disbursements are printed in ffoffcsf
215
Appropriations from the general fund ye Fiscal
Balances July 1, 1924 Appropriations
Appropriations available in 1925
Disbursements by years
Total disburse- ments in 1925
Amount carried Balances June to sur plus fund 30, 1925
MfLfTAftr AcTfvxTfzs — continued
J&filifia Bureau — Continued. Arms, uniforms, equip-
ment etc. , for field serv- ice, I&fationsl Guard 1925 — 26
1925 1924 1923
Encampment and maneu- vers, Organized Militia
Act July 8, 1912. Equipment of Coast Artil-
. lery, armories, Organ- ized Militia No year.
Field Artillery for Organ- ized Militia do
Permanent and indef- inite—
Arming and equipping the militia do
$1& 435, 235. 25 350, 794. 45
38, 050. 19
54, 625. 41
3, 248. 30
25& 346. 11
$2, 850, 000. 00 486& 488. 67
1& 242& 986. 07 1 077 515 03
109, 962. 46
14, 907. 32
l. 00
$2& 404& 980 89
14, 907. 32
l. 00
$240, 831. 99
38, 050. 19
3, 248. 30
$25, 482. 67 1, 607, 013. 93
357, 720. 22
39, 718. 09
25, 345. 11
Total, Militia Bu- esu r 15, 752, 694. 75 29, 915, 776. 97 29, 369, 725. 6(i 3, 861, 060. 03 12, 437, 686. 03
Organized Reserves: Citizens' Military Train-
ing Camps 1925 — Dec. 31, 1925 Civilian military training
Camps 1924 — Dec. 31, 1924 1923 1922 1918
Certified claims.
559, 575. 15 45, 547. 89
49. 04
519, 560. 53 6, 845. 03
81. 08 k 88
49. 04
2, 333, 820. 00 2, 021& 497. 25 2, 021& 497. 25
38, 702. 86 81. 98 9. 33
312& 322. 75
40, 014. 62
Military supplies snd equipment for schools snd colleges 1925
1924 1923
Organized Reserves 1925 1924
Quartermaster supplies, equipment, etc. , Re- serve Officers' Train- ing Corps 1923 — Dec. 31, 1923
1922 — Dec. 31, 1922 1921 1920
Certified claims.
Reserve Oflicers' Train- ing Corps 1925 — Dec. 31, 1925
1924 — Dec. 31, 1924
783. 35 357. 56
378, 860. 96
208, 866. 58 263, 929. 76
2, 419& 502. 48
5, 000. 00
3& 280, 132. 00
413. 31
3, 818, 020. 00
921. 23 169. 17
2, 622, 715. 11 148, 056. 22
4, 178. 72 I, 876. 68
oO. 68 86. 88
413. 31
1, 225, 871. 40 2, 112, 250. 09
526, 363. 29
1, 090. 40
2, 770, 771. 33
3, 227. 84
3, 338, 121. 49
357. 56
265, 206. 39 50. 68' 36. 88
4, 078. 77 614. 18
657, 416. 89 230, 804. 74
204, 687. 86
2& 592, 148. 60 307, 252. 39
Total, Organized Reserves 3& 877, 423. 73 9, 437, 434. 35 8, 661, 071. 60 304, 445. 68~ 4, 349& 340. 80
National Board for Promo- tion of Rifle Practice:
International s h o o t i n g competition 1923, Dec. — 31, 1923
National trophy and med- als for rifie contests 1925
1924 1923
73270 — 26 — 15
9, 392. 90
1, 114. 11 428. 11
7, 500. 00
3, 378. 97
6, 167. 54 68. 08
337. 50
3, 378. 97
6, 436. 95 90. 61
6, 013. 93
1, 332. 46 1, 182. 20
216 RECEIPTS AND DISBURSEMENTSr 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in itelicsl
Appropriations from the general fund
Appropriations available in 1925
Appropriations 1, 1925
Disbursements by years
Total disburse- ments in 1925
Amount carried to snrplns fund
Balances June sft 1925
MILITART AcTIvITIEs — continued
National Board of Promo- tion of Rifle Practice— Continued.
Ordnance equipment for rifle ranges for civilian in:. truction 1925
1924 1923
8100. 100.
$10, 000. 00 $4, 424. 08 100
$5, 575. 92
Quartermaster supplies snd services for rifle ranges for civilian in- struction Xo year.
1923
Rifle ranges for civilian instruction Xo year.
Total, Xstionsl Board for Promotion of Rifle Practice
' 96, 886. 66 1, 285. 67
119, 757. 92
229, 065. 37
9-1, 860. 00
112, 360. 00, '
91, 842. 94 i)f71. 08
8, 905. 52
91, 381. 91
8, 905. 52
114, 627. 43
1, 746. 70
1, 937. 31
99, 903. 72
110, 852. 40
224, 86(L 63
Total, Military Activi- ties
NOXXIILITABY ACTIVITIES
VNDEB QVABTEENAETEB cosrs e
Repairs, Arlington M e- morisl Amphitheater snd Chapel
Burial of indigent patients, Army snd Ysvy Hos- pital, Hot Springs, Ark
1923
1925 1924 1923
Care, etc. , of Confederate burial plate 1925
1924 1923
Confederate mound, Oak- wood Cemetery, Chi- cago, Ill 1925
1924
Natiorial Cemeteries: Antietsm Battle Field:
Preservation 1925 1924 1923
108, 167, 257. 42
2, 981. 17 57. 25
100. 00 10(L 00
161. 51 299 50
25O. 00
268, 105, 355. 20
6, 500. 00,
1, 250. 00
500. 00
4, 843. 06 2, 961. 48
924. 67 1'2l. 95
375. 250. 00
57. 25 7, 804. 54
1, 046. 62 299. 50
— — — — I
625. 00
252, 087, 035. 60 28, 854, 668. 39 95, 330, 90tL 63
1, 656. 94 19. 69
100. 00 100. 00
325. 33 39. 56
125. 00
Confederate Stockade Cemetery, Johnstons Island, Ssndusky Bay, 0 hio 1925,
1924 1923
15' 00 200.
350. 00 200. 00
200. 00
150. 00 15IL 00
1925 1924 1923 1922
1921 and prior. Certified claims.
Disposition of remains of officers, soldiers, snd civil employees
64, 986. 21 48, 214. 10
7 96, 286. 25
627. 53
79, 835. 59 24, 281. 87
471. 14 220, 613. 81
8117. 1 625. 73
4?, 742. 9 92, 551.
814. 13 1.
16, 450. 66 40, 704 34
L 68
Exclusive of amount transferred io "Civil service retirement and disability fund, " p. 299.
325, 014. 01~
RECEIPTS AND DISBURSEMENTS, 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in f(slier]
21(
Appropriations available in 1925
Appropriations from the general fund Fiscal Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
NONMILITARY ACTIviTIES — continued
National Cemeteries — Con. Funeral expenses of Lieut.
Louis Brumelet, Eighty- first Heavy Field Ar- tillery, French Army No year.
Headstones for graves of soldiers 1925
1924 1923 1922
Certified claims.
Headstones for graves of American soldiers in Europe No year.
~ Monuments or tablets in Cuba and China do
1925 1924 1923
National cemeteries 1925 1924 1923
Ps, y of superintendents of of national cemeteries 1925
1924 1923
Repairing roads to na- tional cemeteries 1925
1924 1923
Repairing road, Natchez National Cemetery, Mis- sissippi . 1924 — 25
1923
$507. 50
114, 060. 62 11, 756. 21
548, 550. 00
1& 190. 00
450. 00 26. 93
98, 652. 91 4& 991. 48
3, 568. 36 213. 94
17, 985. 40 628. 37
36, 292. 00 2, 508. 51
' $70, 456. 00
24, 34
1, 300. 00
7 409, 188. 25
7 80, 970. 00
16, 000. 00
$26, 966. 70 101, 798. 47
122. 57 61. 99 24. 34
448. 33 50. 00
316, 971. 71 96, 775. 78
77(. 01
74, 400. 95 3, 541. 53
175. 77
9, 618. 50 17, 738. 29
32, 349. 27 2, 508. 03
$128, 850. 09
498. 33
413, 673. 48
78, 118. 25
27, 356. 79
34, 857. 30
$11, 633. 64 61. 99
26. 93
5, 065. 49
38. 17
628. 37
. 48
$507. 50
43, 489. 30 12 262 15
548, 550. 00
1, 190. 00 851. 67 400. 00
92, 216. 54 1, 877. 13
6, 569. 05 26. 83
6& 381. 50 247 11
3, 942. 73
Total, National Cem- eteries 958, 948. 65 996, 718. 08' 1, 018, 044. 41 159, 287. 61 778, 334. 71
Gettysburg National Mil- itary Park No year.
1925 1924 1923
Guilford Courthouse Na- tional Military Park 1925
1924 1923
Certified claims.
Shiloh National Military 1925 1924 1923
National Military Parks: Chickamauga and Chatta-
nooga National Military Park No year.
1. 925 1924 1923
624. 13
' 47. 07 7 367. 11
9, 389. 04
3, 508. 56 7 88. 29
511. 20 79. 18
(se) 7 60. 18
7 57, 888. 00
7 53, 718. 75
7 9, 619. 33
10. 00
7 74, 385. 00
818. 88 57, 734. 78
658. 00 83. 01
1, 108. 50 47, 165. 44
3, 347. 67 15. 60
9, 490. 00 382. 09
16. 60 10. 00
74, 323. 94 es 118. 96
56 851 96
49, 426. 21
9, 866. 49
74, 210. 98
284. 10
72. 69
94. 78
60. 18
936. 96 153. 22 700. 07
10, 491. 54 6, 553. 31
160. 89
129. 33 129. 11
61. 06 45. 71
&Exclusive of amount transferred to "Civil service retirement snd disability fund, " p. 299. s& Balance of $6 13 snd $6725 repayments transferred to " Civil service retirement and disibility fund, " P. 299.
218 RECEIPTS AND DISBURSEMEKTSx 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in italics]
Appropriations available in 1925
Appropriations from the general fund Fiscal year Balances July
1, 1921 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
N ON MILITARY AGTIVITIEs~ontinued
National Mihtary Park@- Continued.
Vicksburg National Mili- tary Park No year.
1925 1924 1923
Less repayments trans- ferred to "Civil service retirement and disability fund"
T o t a I, National Military Parks
UNDER SIGNAL CORPS
$3, 3?5. 34
97. 97 6. 31
18, 154. 38
67. 25
18, 087. 13
7 $26, 404. 00
222, 025. 08
$94. 33 26, 303. 69
gk 08 88. Oi
$26, 265. 98
216, 621. 62
$89. 32
601. 07
$3, 281. 01 100. 31 147. 00
22, 889. 52
Replacing Washington- Alaska submarine cable No year.
Washington-Ala ka mili- itary cable and tele- graph systems 1925 — 26
1924-25 1923-24 1922-23
Washington - Alaska mili- tary cable and tele- graph systems (transfer to Department of Com- merce, Bureau of Stand- ards)—
Act lIay 28, 1924 1925 — 26
140, 938. 98
28, 548. 85 7, 006. 04 8, 583. 74
s' 147& 195. 23 122, 884. 67 23, 072. 76
1, 434. 58 99. 88
147, 491. 89
" 1, 995. 00 538. 85 538. 85
750, 000, 00 830, 887. 46 830, 887. 46
8, 483. 86
60, 051. 52
24, 310. 56 5, 476. 09 5, 571. 46
1, 456. 15
Total, Nonmilitary under Signal Corps
UNDER MEDICAL DEPART- MENT
Appliances for disabled soldiers 1925
1924 1923
Artificial limbs 1925 1924 1923
Trusses for disabled sol- diers 1925
1924 1923
XIedical and surgical history of the World War 1925
1924 1923
Hospital facilities and services, War Depart- ment No year
185, 077. 61
204. 47 207. 26
7, 836. 64 265. 67
643. 42 594. 93
384. 26 220. 26
1. 25
899, 190. 23
750. 00
36, 100. 00
1, 000. 00'
' 18, 408. 00~
459. 37 36. 20
34, 301. 55 2, 171. 28
344. 31 44. 25
17, 292. 26 218. 25 84. 80
978, 918. 20
495. 57
36, 472. 83
388. 56
17, 476. 12
8, 483. 86
207. 26
265. 67
594. 93
254. 65
96, 865. 78
290. 63 168. 27
1, 798, 45 5, 665. 36
655. 69 599. 17
1, 115. 74 166. 01
1. 25 Exclusive of amount transferred to "Civil service retirement and disability fund, " p. 299.
' Exclusive of 52&, 000 transferred to same object under Commerce and 51, 704. 77 to "Civil service retirement and disabiliy fund, " p. 299. " Transferred from same object under IVar, excluding 95 to "Civil service retirement and disability fund, " p. 299.
RECEIPTS AND DISBURSEMENTS, 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in italics]
219
Appropriations from the general fund Fiscal
Appropriations available in 1925
1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried Balances June to surplus fund 30, 1925
NONMILITART ACTIVITIES — Continued
llfedical Department — Con. Medical and hospital
services, War Depart- m ent
Medical and hospital services, War Depart- ment, improvements, Fitzsimons General Hospital
Less balances and re- payments returned to ' Medical and hos-
pital services, Vet- erans' Bureau, 1923"
1925 1923
1923
$203, 156. 00 $1, 523. 02
18, 000. 00
29, 881. 18
31, 556. 23
tf18& 088. 81 tf18& 088. 81
$203, 156. 00 (93)
Total, Nonmilitary under Medical Department 9' 1, 675. 05 259, 414. 00 42, 799. 87 204, 478. 51 $10, 460. 57
UNDER CORPS OF ENGINEERS
P ubli c B ui l di ng 3 and Grounds, under Chief En- gineer:
iThe'appropriations for. activities in the District of Columbia, carried under the above heading, with the unexpended balances as of Msr. 31, 1925, were transferred and placed under the "Off&ce of public buildings snd public parks of tbe National Capital, " p. 57, by the aot o( Feb. 28, 1925 (43 . Stat. , p. 983)]
Improvement and care of public grounds 1925
1924 1 1, 235. 00 125. 67
9. 95' 116. 42
(95) (99)
Care and maintenance, Lincoln Memorial 1925
1924 1923
Care and improvement, Zachary Taylor Me- morial Grounds 1925 — 26
Care and maintenance, Washington Monument 1925
1924 1922-23
220. 00 1, 167. 97
450. 35 740. 17
1 13, 385. 00
10, 000. 00
7 17, 870. 00
8 504 46 580. 50
13, 612. 84, 190. 79,
7, 973. 96
(95)
(") (95)
10, 000. 00
(95) (95) (95)
Extraordinary repairs and replacement of elevator and machinery, Wa, sh- ington Monument
Improvements, birthplace of George Washington, Wakefield Va
1925
1925 1924 1923
(95) 37. 35
30, 000. 00
571. 00 567. 98 158. 85
13, 422. 05
519. 33 37. 35
(95)
3, 02 48. 65
Inspection of battle fields in and around Freder- icksburg and Spotsyl- vania Court House, Va 1925 — 26
Repairs to building where Abraham Lincoln died 1925
1924 1923
(95) 11. 62
3, 000. 00
7 1, 739. 00
25. 43
391. 65 &. 85'=
25. 43
384. 30
2, 9(4. 57
(95) (95)
(")
' Exclusive of amount transferred to "Civil service retirement and disability fund, " P 299.
n Balance returned to "Medical and hospital services, Veterans' Bureau 1923. " "Debit balance.
95 Balance transferred to same title under Office parks of the National Capital, " p. 57.
45 Balance transferred to "Civil service retirement
of public buildings and puMir
and disabihty fund, " p. 299.
220 RECEIPTS AND DISBURSEMENTS7 19 5
Disbursements, balances, efc. — Continued
[Repayments to appropriations in excess of disbursements are printed in ifsfics]
Appropriations available in 1925
Appropriations from the general fund year Balances July 1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1923
Amount carried to surplus fund
Balances June 30, 19M
NONMILITARY ACTlvITIES — continued
Public Buildings and Grounds, under Chief Engineer — Continued.
Reflecting pool,
Vilest
Po- tomac Park No veer.
Less balances and appro- I7riations transferred to 'Office of public build-
ings and public parks of the National Capital" and $9. 25 repayments to "Civil service retire- ment and disability fund" p. 299.
Total, Public Build- ings and Grounds, under Chief Engi- neer
7 $13, 492. 38
16, 119. 84
8, 980. 16
7, 139. 68
$2, 160. 00
79, 960. 00
41& 594. 38
38, 365. 62
$10, 000. 22 $10, 000. 22
32& 441. 71
(55)
$37. 35 $13, 026. 24
Miscellaneous, under Cor ps of Engineers:
Maintenance and repairs of Aqueduct Bridge, D. C No year.
Construction and mainte- nance of roads, bridges, and trails, Alaska, " 1925 — 26
1924-25 1923-24 1922-23
Certified claims.
Emergency shipping fund construction of barges and totvboats, Upper Mississippi River No year.
Expenses, California De- bris Commission 1925
1924 1923
Prevention of deposits, harbor of New York 1924
1923
Survey of northern and northwestern lakes 1924
1923 Certified claims.
Permanent and i n d e fi- nite—
Special funds— Wagon roads, bridges,
and trails, Alaska fund No year.
Funds contributed for improvement of roads, bridges, and trails, Alaska, " do
557, 103. 69 3. 10
4, 827. 69
183, 479. 44
7 282. 29 74. 60
7 3, 846. 99 907. 38
732 22 7 205. 94
173, 889. 32
19, 175. 68
900, 000. 00 55, 000. 00
75. 00
7 16, 750. 00
4. 20
127, 590. 68
79, 078. 45
18. 18
152, 952. 17 612, 103. 69
168. 88 4, 810. 69
75. 00
2, 050. 00
15, 744. 43 282. 29
1, 116. 41
19. 40 876. 18
4. 20
150& 972. 91
97, 736. 73
18. 18
769& ?82. 72
2, 050. 00
16, 026. 72
1, 116. 41
150, 972. 91
97, 736. 73
17. 00
4. 60
907. 38
482. 06
'9. 29
747, 047. 83
161. 93
181, 429 44
1, 005. 57
2, 730. 58
12. 82
150, 507. 09
517. 40
943, 758. 34 retiremsat and disability fua 1, "
e of public buildings and public
& Exclusive o(amount trsosf . r:d to "Civilservic p. 299.
u Balance trans!errei to same title under "Otic parks ot the National Capital, " p. 3 .
ro "Title heretofore state sds brid"es aad trail '" Title heretofore state ost roads, bridges, and
d as Construct&on and mnnteaaace or mthtsry aa i post s, Alaska"
d as "F&mds contributed for improvement of military sad trolls, AlasKar&
RECEIPTS AND DISBURSEMENTS7 1925
Didburserixents, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in italics]
221
Appropriations available in 1925
Appropriations from the general fund Fiscal Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
NoNMILITARY ACTIVITIEs — continued
Miscellaneous under Cor ps of Engineers — Continued.
Less repayments trans- I
ferred to "Civil service retirement and disabil- ity fund, " p. 299
Total Miscellaneous, un&ter Corps of En- gineers
RIVERS AND HARBORS
$2. 90
943, 755. 44 $1, 178, 498. 33 $1, 037, 420. 78 $1, 411. 04 $1, 083, 421. 95
17(tprosing harbor at- Breakwater from lttiount
Desert to Porcupine Island, Me No year
Gloucester, Beverly, Salem, Lynn, Plymouth, and Provincetown, and Mystic, Maiden, Wey- mouth, Fore and Back Rivers, and Dorchester Bay and Nep onset River, Mass do
Nantucket, Mass do Plymouth, Mass do Plymouth and Province-
town, Mass do Duck Island, Branford,
New Haven, Milford, Bridgeport, Southport, Norwalk, Five Mile River, Stamford, and Greenwich, Westport, Harbor and Saugatuck River, breakwaters at New Haven and Housa- tonic River, Conn do
Stonington and New Lon- don and Mystic and Thames Rivers, Conn. , and Pawcatuck River, R. I, , and Conn do
Black Rock Channel and Tonawanda Harbor, N. Y do
Jamaica Bay, N. Y do Mamaroneck, N. Y do New York N. Y do Port Jefferson, Mattituck,
Huntington, Glencove. , Flushing Bay, Canarsie Bay, and Sag Harbor, N. Y do
Saugerties, N. Y No year. Sheepshead Bay N. Y do Tarrytown, N. Y do Arthur Kill N. Y. and N. J do Erie, Pa. , Dunkirk, and
Bu6'alo, Black Rock Channel, and Tonawan- da Harbor, and Niagara River N. Y do
Inland waterway between Rehoboth Bay and Del- aware Bay, Del do
" Exclusive of suxount transferred to "Civil servi p, 299.
7 93. 56
7 24, 055. 98 ' 8, 011. 16
' 80. 13
' 35, 689. 46
(99)
(99)
150, 004. 60 . 25
7 304, 446. 87
58, 287. 54 3, 000. 30
. 25 (99)
7 743. 42
ability fund, " ce re'. iremcnt snd dis
$93. 56 93. 56
55. 98 8, 011. 16
8. 18
70. 88
55. 98 8, 011. 16
8. 18
70. 88
24& 000. 00
(99)
9. 25
31, 890. 53 31, 890. 53 3, 798. 93
1. 80 (99)
89, 997. 15 . 25
253, 096. 51
89, 997. 15,
253, 096. 51
60, 007. 45
51, 350. 36
29, 997. 80
1. 00 . 25
29, 997. 80
1. 00 . 25
28, 289. 74 3, 000. 30
l. 00
743. 42 743. 42
1. 81 1. 81 (99)
"Balance transferred to "Civil service retirement snd disability fund, " p. 299.
222 RECEIPTS AND DISBURSEMENTSx Ig25
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursexnents are printed in italics)
Appropriations available in 1925
Appropriations from the general fund year Balances July I, 1924 Appropriations
Disbursements by years
Total disburse- xnents in 1925
Amount carried to surplus fund
Balances June 50, 1925
NONMILITARY ACTIVITIES — continued
Improving harbor at — Con. Inland waterway from
Delaware River to Ches- apeake Bay, Del. and Md No year
Rockhall, Queenstown, Claiborne, Cambridge, Chester, Choptank, War- wick, Pocomoke, Ls Trappe, Wicomico, and Manokin Rivers, snd Tyaskin Creek, Md do
Rockhall, Queenstown, Claiborne, Tilghman Is- land, Cambridge, and Crisfield& Elk and Little Elk, Chester, Corsics, Choptsnk, Tucks, hoe, Warwick, La Trap pe, Tred Avon, Wicomico, Manokin, and Poco- moke Rivers, Slaughter, Tyaskin, and Broad Creeks, Twitch Cove snd Big Thoroughfare River, and Lower Thor- oughfare, Deal Island, Md. , Nanticoke River, Del. and Md. , and Broad Creek River, Del do
Norfolk, Va do Waterway on coast of Vir-
gxxna — — — — — - — do Beaufort and Morehead
City, Beaut'ort Inlet, waterway from Psmlico Sound to Beaufort Inlet, waterway connecting Core Sound and Beau- fort Harbor, and waterway, Beaufort to Jacksonville, N. C do
Harbor of refuge, Cape Lookout, , N. C do
Manteo Bay, Scuppernong, Pamlico, Tar, South, Bay, Neuse, and Trent Rivers, Fishing, Con- tentnea, Swift, and Smith Creeks, and Wa- terway connecting Swan Quarter Bay with Deep Bay, N. C do
Charleston, S. C do Winysh Buy, S. C do Winyah Bay, Waccamaw,
Little Peedee, snd Great Peedee Rivers, S. C do
Hillsboro Bsy, Fls do St. Lucie Inlet Fla do
$146. 79 $146. 79 $146. 79
(ee)
5. 33 . 80
5. 33 . 30
v5. 83 r. 30
(ee)
$92. 07 7, 361. 07 7& 361. 07
2& 500. 00
r 7, 453. 14
I 7, 976. 59 5, 476. 59 2, 500. 00
25. 00 171, 552 72
10, 348. 02 35& 467. 51
51. 24
10, 873. 02 1 207, 020. 23
r 51. 24
10, 348. 02 35, 467. 51
51. 24
2. 01 10, 000. 00 26, 500 00
r 37. 02 10& 000. 00 26, 500. 00
(ee) r 59, 997. 85
(ee)
35. 01 85. 01
I Barataris Bsy, Ls do Brazos Island, Tex do Cleveland, Ohio do Toledo, Port Clinton,
Ssndusky, Huron, Ver- milion, Lorain, Cleve- land, Fairport, Ashts- hula, and Conneaut, Ohio do; 18 300. 00
Exclusive of amount transferred to "Civil service retire&nant snd dis p. 299.
59, 997. 85
4, 8OO. OO 18, 500. 00 13, 500. 00 ability fund, " '4 Balance transferred to "Civil service retirement and disability fund, " P 299 ~
RECEIPTS AND DISBURSEMENTS, 1925
Disbtsrsemenfs, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in ifalicsl
223
Appropriations available in 1925
Appropriations from the general fund Fiscal Balances July
I, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount cerned to surplus fund
Balances June 30, 1925
NoNMILITAII r AGTIvITIEs — continued
1rnprof&t'rtff harbor af — Con. Chicago, Ill No year, Chicago and Calumet,
Ill. , Chicago and Illi- nois Rivers, Ill. , Calu- met River, Ill. , and Ind. , Indiana and Michigan City Har- bors, Ind do
Grand Marais, Marquette, Marquette Bay, and Ontonagon, H a r b o r s and Keweenaw Water- way, Mich. ; Ashland and Port Wing Har- bors, Wis. ; Duluth- Superior Harbor, Minn. and Wis. ; Agate Bay and Grand Marais Har- bors, Minn do
Mackinac, Cheboygan, Rogers City, Alpena, Harbor Beach, and Monroe; S a g i n a w , Black, Clinton, and Rouge Rivers, Mich do
Duluth, Minn. , and Su- perior, Wis do
Los Angeles, Calif do San Diego, Calif do San Francisco, Oakland,
Richmond, Monterey, and Humboldt, Red- wood, and Petaluma Creeks, Napa River, San Pablo Bay, Mare Island Strait, and Sui- sun Channel, Calif do
Suisun Channel, Calif do Nehalem Bay, Oreg do Tillamook Bay and Bar,
0 reg do Grays Harbor and Che-
halis River, Wash do Seattle, Wash do Honolulu, Kahului, and
Hilo, Hawaii do Honolulu, Kahului, Hilo,
and Nawiliwili do Indefinite — Special f unds-
Funds contributed f or improvement of-
Beverly Harbor, Mass do Plymouth Harbor,
Mass do Galveston channel,
Tex. , sea wall ex- tension do
Brazos Island Har- bor, Tex do
Sabine-Neches Water- way, Tex do
Gulfort Harbor, Miss do Crescent City Har-
bor, Calif do Richmond Harbor,
Calif do Yaquina Bay, Oreg do Nome Harbor, Alaska do
$21. 97
72. 92
' 481. 29
73, 768. 76
10, 075. 00
22, 031. 23
7415. 17 7385. 92
724. 13
7 2& 606. 47
7 759. 27 (66)
(66)
7 39, 911. 10
51, 000. 00
' 43, 977. 67
178, 500. 00 7 50, 000. 00
377. 29
7 26, 274. 26
7 2, 500. 00
$21. 97 $21. 97
2. 92 2. 92
481. 29' 481. 29
3, 768. 76
10, 000. 00 . 18
31. 23
3, 768. 76
10, 000. 00 . 18
31. 23
415. 17 360. 92
415. 17 360. 92
1, 100. 00 1& 100. 00
100. 00' 100. 00
4. 81
1. 81',
$. 81
1. 81
39, 771. 14 39& 771. 14
230, 000 00
175, 000. 00
45, 000. 00
25, 000. 00 2, 500. 00
43, 900. 00
353, 500. 00' 50, 000. 00
45, 277. 29'
26, 000. 00' 25, 000. 00
5, 000. 00
43, 900. 00
353, 500. 00 50, 000. 00
45, 277. on
26, 000. 00 25, 000. 00
5, 000. 00
$245, 000. 00 230, 000. 00
$?5. 00 (66)
22, 000. 00
25. 00 724. 13
1, 506. 47
659. 27
(66)
(66)
139. 96
51, 000. 00
15, 000. 00
77. 67
100. 00
274. 26
1, 366& 087. 48 7 Exclusive of amount transferred to "Civil service retirement and disability fund, "
P. 300. 66 Balance transferred to "Civil serVice retirement and disability fund, " p. 300.
BECEIPTC AND DISBUBSKlKEXTS! 1925
Dt'sb ursefnents, balances, etc — Continued
[Bepavments to appropriations in eseess of disbtns( ments are printed in ifeficr]
Appropriations avaIIabfe in 1&~
Appropriations from the genera fund
Appropriations I
Disbursements bv yea!s
I I
Total disburse- i Amount carried ments in tsss I to surplus fund
I
Balances ytnu( Sst 1SSS
ffo!~ABY Acrrvrrzzs — continued
Ir(t prot(tvtg harbor at — Con. Less repayments to sundry
accounts transferred to " Civil service retire- ment and dLvability fund" 817. 83
Total, Harbors 1, 366, 069. 65, 8492. 500. 00 81. 318. 084. 62' I 3540, 485„03
Irnprooing rtt tre: % eymouth, Iiass Xo rear. Connecticut, Cann do Bronz, N. Y do East, X. Y do Harlem, X. Y do Hudson, X. Y do Cohsnsey, X. J do Cooper, Salem, Cohansev,
snd tiaurice River, Woodbury, blantus, I
Raccoon, Oldmans, and Alloway Creek, X. J do
Maurice, N. J do Delaware, Pa. and N. J do Alleghenv, Pa do Flood control, AUegheny
and Alonongahe!s rivers do Monongahela, Pa do Schuylkill, Pa do Flood control, North
Branch Susquehanna R'. ver, Pennsylvania snd iAew York do
Appoquinimink, Smyrna,
(~) 1 14, 422. 37
450. 00 ' l4, 734. 88
24. 985. 00
1 35, 9o, I
40. 7( (95) (tw)
136I 725. 07, 1 17, 446. 44
835. 95 3o. 95,
. 80.
i 18. 20 S1. 95
18. 20 81 9o
23!
450. 00 10. 88
450 10
00! 88!
I
13, 569. 23 13, 569.
4ll 77
136, 725. 32 17& 446. 44 (t(e)
853. 14
24, 9L!. 00
14, 745. 73
' (, 990. 00
Letpsic, Ltt tie, St. Jones, 5Iurderkill, !(Iis- pillion, and BrnadkiU, Del do
Potomac and Anacostia Rivers, D. C. , Occo- qusn, Aquia, Upper Ma- chodoc, and Nomini Creeks, Va do
James, Va do James, Xsnsemond, Pag-
an, and Appomat tow, Va do
Blacl-water, Va. , and (Ic- herrin snd Roanoke, X. C do
Xorthesst, Black, and Cape Fear, X. C do
100, 247. 46
56, 000. OOI
' I, 488. 34
' 553. 33
13, 359. Ill
Waterway from Norfolk, Va. , to Sounds of iXorth Carolina
SarItee. Wateree, and Con- garee, S. C
St. Johns River, Lake Cre=c eat and Dunns Creek, and Oklswahs River, Fla
Removing the water hya- cinth
Black Wa( r:nr. Warrior, and T, rii! i IIec. Ala
FI:ii. i Xo. " . 'I "(-I. . !c Shna!sI A;a
Tombigbee, Ala. and (Iiss 1 Ezctusive of amount tran&et!ed to '
p 300.
do
22. 636. 4(t do
(vv) do
do
do
' (, 01(. 588. 76I 6, 541, 590. 00 I
do do
Civil service rei(ram at and disability fund, "
7, 500. 00 7, 500. 00
1. 59
89. 28 3, 790. 04'
553. 33
89. 28 3, 790. 04
553. 33
(") g6, 457. 42
56, 000. 00
1, 4' 34
989. 68
2, 664. 27 2, 664. 27
13, 64K 74
20, 022. 20
I
14. 71 14. 74
9, 557. 976. 42 9, 5S7, 976. 42 8. '0 8. j0
3, g7 l, 202. 34 6. 40
+ Balance tr!a!ferr 4 to "Civil service raure n!nt a&1 disability fund. " p. S00
RECEIPTS AND DISBVRSEMENTSz 1925 225
Disbursements, balances, etc. — Continued
[Repaymentsto appropriations in excess of disbursements are printed in ifo988]
Appropriations available in 1925
A propriations from the general fund Fiscal P year Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
NONMILITARY AGTIvITIEs — continued
fznproving rivers — Con. Boyou Lafourche, La No year. Bayou Terrebonne, La do Bayous Vermilion and
Mermentau, La do Bogue Chitto, Bogue Falia
Bayous Manchac, Amite, Chefuncte, and Tickfaw, La do
Waterway from Franklin to Mermentau, La do
Waterway from Missis- sippi River to Sabine River, La — do
Trinity, Tex do Ohio do Ohio, below Pittsburgh,
Pa do Minnesota, Minn do Redwood Creek, Calif do Sacramento and Feather,
Calif do Sacramento, Feather, San
Joaquin, and Moke- lumne Rivers, and Stock- ton and Mormon Chan- nels, Calif do
Coquille, Coos, Siu slaw, and Yakima Rivers, and Coos, Tillamook, and Nehalem Bays, Oreg do
Siuslaw, Oreg do Columbia at Three Mile
Rapids, Oreg. and Wash do Mouth of Columbia, Oreg.
and Wash do Flood control, Puyallup
River, Wash do Skagit, Wash do Snohomish, Wash do Swinomish Slough, Wash do W a t e r w a y connecting
Puget Sound with Lakes Union and Washington do
Examinations, surveys, and contingencies of rivers and harbors do
Experimental towboats for Mississippi River and tributaries do
Mississippi do Mississippi from mouth of
Ohio River to Minne- apolis, Minn do
Mississippi, between Brainerd and Grand Rapids, Minn do
Mississippi, between St. Paul and Minneapolis and Brainerd and Grand Rapids; Mississippi and Leech Rivers, and reser- voirs at headwaters of Mississippi River do- — —-
Missouri do Ship channel connecting
the waters of the Great Lakes between Chicago, Duluth, and Buffalo do
' Exclusive of amount transferred to "Civil servi ' Balance transferred to "Civil service retiremen " Balance transferred to "Maintenance and impr
(") (98)
$809. 81 . 51
1, 7178. 89
$809. 81 . 51
1, 71z8. 89
68. 56
889. 72 ' $3, 700. 09 889. 72
(98) 7 88, 776. 91 100, 000. 00
38, 572, 88 38, 572. 88
5, 854. 06 818. 05
7 886. 24 371. 24 871. 24
500. 00 500. 00 ' 910. 59
1. 00 1. 00
1O, OOO. OO 10, 000. 00 7 18, 272. 14 397. 01
7 3, 965. 00
7 28, 556. 69 2, 140. 17 2, 140. 17
4, 900. 00 8, 037. 13 4, 708. 07
7 $4, 992. 00 4, 900. 00 8, 037. 18 4, 708. 07
7 10, 947. 18 7 11, 703. 07
7 4, 146. 32
2, 577. 07 2, 577. 07 7 2, 577. 07
7 586, 641. 61
9, 448. 59 d8, . 805. /78
9, 448. 59 98, 806. 48
74, 715. 15 485. 07
7i. 50 71'. 50
100. 00 100. 00 189. 91
26, 701. 00 (98)
4, 628. 19j 4, 628. 19 5, 581. 22 ce retirement and dis
t and disability fund, '
ovement of existing ri
ability fund" p, 300. p. 300.
ver and harbor works. "
275, 000. 00 290, 575. 84 2'90, 575. 84
$74. 50
289. 91
953. 03
(99) $. 51
(99)
(QQ)
2, 810. 37
204. 03 100, 000. 00
5, 354. 06 318. 05
15. 00
410. 59
1. 00
3, 272. 14 897. 01
8, 965. 00
26, 416. 52
92. 00 2, 910. 05 7, 000. 00 4, 146. 32
571, 065. 77
65, 266. 56 24, 240. 55
26, 701. 00
226 RECEIPTS AND 'DISBURSEMENTS, 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbur emeute are printed in italics]
Appropriations available in 1925
Appropriations from the general fund year Balances July I, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
!
Balances June 30, 1925
NONMILITARY AcTIvITIEs — continued
Improving rivers — Con. Emergency flood control,
Mississippi River No year. Flood control, Mississippi
River, and Sacramento River, Calif do
Flood control, Mississippi River do
Flood control, Sacramento River, Calif do
Protecting levees not under Government con- trol on Mississippi River, its tributaries, and outlets during flood emergency do
Modifications and read- justments of contracts, river and harbor im- provements do
Claims for damages by col- lision, river and harbor work do
Maintenance and improve- ment of existing river and harbor works do
Maintenance and improve- ment of existing river and harbor works (trans- fer to Navy Department, act May 21, 1920) do
Refund to lessees of land or water power, Muskingum River, Ohio do
Permanent and indefinite— Examinations and sur-
veys at South Pass, Mississippi River 1925
1924
$16, 042. 01
7 10, 299, 259. 21
499, 539. 84
2, 122. 13
607, 027. 69
I, 574. 92
'65, 521, 812. 48
' 621, 924. 00
181. 66
(ee)
$10, 000, 000. 00
500, 000. 00
I, 052. 43
5, 808. 75
40, 042, 100. 00
' 9, 925. 00
$18. 50 $18. 50
6, 000. 00 6, 000. 00
2, 412. 69 2, 412. 69
7, 383. 67 7, 383. 67
1761 000. 00 176, 000. 00
9, 823. 78
11 918 794 69 11 918 794 69
249, 559. 30 249, 559. 80
$13. 50
10, 042. 01
8, 380, 464. 52
749, 980. 54
2, 122, 13
605, 667. 43
$42, 100. 00 57, 789, 709, 59
445, 924. 00
181. 66
101. 22
Gauging waters of the Mississippi and its tributaries 1925
1924 1923
7 150. 00 150. 00
7 9, 550. 00 9, 365. 00
9, 823. 78
150. 00
185, 00 150. 00
Maintenance of chan- nel, South Pass, Mis- sissippi River
Operating snag and dredge boats on upper Mississippi, Illinois, and Minnesota Rivers
Operating snag boats on the Ohio River
1925 1924
1925 1924 1923
1925 I
1924 1923
(tt6)
' 4, 793. 13 1, 829. 78
' 3, 723. 59 7 17. 20
'99, 800. 00
' 24, 850; 00
7 49, 925. 00
99, 000. 00
-'22, 669: 45' 324. 34'
42, 353. 62 2, 339. 34
6. 00
9, 365. 00
99, 000. 00
22, 993. 79'
44, 698. 96,
800, 00
2, 180. 55 4, 468. 79
1, 829. 78' ------------
7, 571. 38 1 384. 25
11. 20
1 Ex11urcr1 O[ 5 I I te I I570 transferred to "Civil service retirement and disabilitr fund, " p. 300; '. tt J. !1 'I! iJ . . Jme object under Navy Department, aad includes $2021. 25 transferred frotu, «c«u:Jt ss tello Jr
Iulrr Jv1111; It Jr1JU t. . 1f '1111'11«. Ls $209. 31 lt Jx «u i cra1;l«1o and Jfermentau, La I, 743. 39 It 1:11" Ct;1! tJJ, Ho, uc Folio, Bayous XIancbac, Amite, Cbefuacte, aad
T1( sf:11v, 1. . 1 sa 55
r Includes $445, 924 transferred from same object under War, during ftacat year I ' Exclusive of amount transferred to "Civil service retire. nent and dixxbittty I"ad p. 300. " Balance transferred to "Civil service retirement and disability funJL P ~.
RECEIPTS A10D DISSUIfSEMENTSr 1925
Dtsbttrsemenfs, balances, etc. — Continued
[Repayments to appropriations in-ercess of disbursements are printed in ffsficrl
Appropriations from the general fund year
Appropriations available in 1925
tppropriations
Disbursements Total disburse- m~~ts in 1925
Amoant csnied Balances Jane to surplus fund 30, ]%~
ifoNMthrrARy ac Tf vx TFEB — continued
1925 1924 1923
Removing obstructions in Mississippi, Atcha- fslsya, snd Old Rivers 1925
1924
Removing sunken ves- sels or craft obstruct- ing or endangering navigation No year.
Increase of compensa- tion, Rivers and Harbors 1922
Certified claims.
Irsprovinff rivers — Con. Permanent and indefl-
nite — Continued. Operating snd care of
canals snd other works of navigation Xo year.
Permanent Interna- tional Commission of Congresses of
Naviga-
tionon
$445. 46
84, 734, 485. 16. '
3, 000. 00
7 99, 400. 00
7 224, 909. 06
84, 734, 485. 16 $4, 734, 485. 16
1, 900. 00 g00. 18
999. 88I
99, 400. 00 88/ 57
99, 165. 43
213, 582. 86 213, 582. 86,
166. 88 500. 38
334. 06,
$445. 46
11, 326. 20'
166. 32
$1, 100. 00 900. 12
(ss)
Special funds- Msintensnce snd opera-
tion of dams and other improvements of navigable waters No year.
Return of funds con- tributed for river snd harbor works do
Funds advanced for im- provement of Fox River, Wis do
Funds contributed for improvement of-
Missouri River at Cannon Ball, N. Dak do
Missouri River st Kansas City, Mo do
Missouri River st Msndan, X. Dsk do
Waterway from Mis- sissippi River to Sabine River, Ls do
Mississippi River in the upper St. Francis Levee Dis-
39, 878. 97 58, 185. 14 98, 064. 11
110, 639. 43 s 110, 639. 43 110, 639. 43
40, 000. 00 45, 000. 00
787. 17' 787. 17
12, 000. 00 12, 000. 00
(')
54. 83
7, 866. 17 7; 866. 17',
' 655. 16 50, 000. 00 50, 600. 33 50, 600. 33
85, 1167. 1' 86, $67. 1~
000. 00
235. 06
404. 19
420, 343. 13
199, 682. ?9
2, 249, 513. 75,
199, 682. ?9
2, 249, 513. 75
0 5?, 950. 58. 25?, 950. 58 251, 481. 42 g 65, g 55 I (ssl)
s Balance transferred to "Return of funds contributed for river and harbor works. " s Erclusive of 312, 090. 05 transferred as follows:
Return of funds contributed for river and harbor storks 311. 496, 04 Civil-service retirement and disability fund, p. 301 59k 01
~ Erdusive of amount transferred to "Civil service retirement aad disability fund, " p. 300.
rs Balance transferred to "Civil service retirentent snd disability fund, " p. 300.
trict, Mo do Mississippi River,
Y a z o o, Miss. , Delta Levee Dis- trict, Miss do ' 7 35, 086. 98 165,
Flood control, Missis- sippi River do 5 142, 621. 82 2, 527,
Flood control, Sacra- mento River, Calif do 9, 432. 00 500, 000. 0
Noyo River, Calif do ' Trsnsfened from the following accounts:
Frmds contributed for improvement of- Flood contrcl, Mississippi River 311, 496. 04 Mississippi River ia the upper St. FrsncL~ Levee District, Missouri 35, 467. 14 Missouri River st Cannon Ball, N. Dak - 727. 17 Missouri River at Kansas City, Mo 5, %3. 91 Missouri River st hisndan, 'A. Dak 7, 36a 17
228 RECEIPTS AND DISBURSEMENTSr 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements sre printed in italics]
Appropriations available in 1925
Appropriations from the general fund year Balances July ]& 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carr&ed to surplus fund
Balances June 30, 1925
NONMILITARY ACTIVITIES — Contnlue(l
Improving rivers — Con. Special f unde — Con.
Funds contributed for improvement of — Con.
Sacramento and Feather Rivers, Calif No year.
U m p q u a River Oreg do
Entrance to Coquille River, Oreg do
$3, 840. 10
5, 000. 00 7, 000. 00 12, 000. 00
$30, 000. 00 $30, 000. 00 $80, 000. 00
12, 000. 00
$3, 840. 10
Less repayments of $380. 32 to sundry accounts trans- ferred to "Civil-service retirement and disability fund" and $95. 580. 74 to sundry accounts trans- ferred per notes
Total, Rivers
Total, Rivers and Har- bors
86, 242, 765. 63
95, 961. 06
86, 146, 804. 57 66, 054, 282. 98
87, 512, 874. 22 66, 546, 782. 98
78& 110, 958. 31
79& 429& 042. 98
$57, 296. 40 74, 032, 832. 84
57, 296. 40 74, 573, 317. 8(
192o 1924
1923-24 1923
Inland and Coastwise Water- mays Service:
Capital stock, Inland Waterways Corporation No year.
Transportation facilities, inland and coastwise water ways
12, 655. 33 58, 770. 66 45, 206. 45
7 29, 257. 50 28, 910. 95 12, 236. 91 58, 758. 73
3, 000, 000. 00 1, 500, 000. 00 1, 500, 000. 00
99, 906. 59 45, 206. 45
1, 5001 000. 00
346. 55 418. 42
11. 93
Total, Inland and Coastwise Wster- ways Service 116, 632. 44 3, 029, 257. 50 1, 599, 906. 59 45, 206. 45 1, 500, 776. 90
Monumentsr Memorial archway at
Vicksburg, Miss No year. National memorial cele-
bration and peace ju- bilee, Vicksburg, Miss do
Macdonough memorials, Lake Champlain, X. Y. and Vt do
Monument in memory of Francis Scott Key and others, Fort Mc- Henry, Baltimore, Md do
Reerection of statue of Abraham Lincoln do
Total, 'Alonuments
54. 33
5, 583. 04
38, 893. 30
97. 57
1, 010. 51
45, 688. 75
3, 000. 00
3, 000. 00
34, 000. 00 34, 000. 00
34, 000. 00
54. 33
5, 583. 04
97. 57
1, 010. 51
6, 745. 45
7, 893. 30
7, 893. 30
1 Exclusive of amount transferred to "Civil service retirement and disability fund, " p. 301.
RECEIPTS 'AND DISBURSEMENTSx 1925
Disbursements& balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in italics]
229
Appropriations available in 1925
App opdstions from the general fund "esa year Balances July 1, 1924 Appropriations
Disbursemonts by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
NoNMILITARY ACTIVITIEB — continued
National Homes for Disabled Volunteer Soldiers:
National Home for Dis- abled Volunteer Sol- diers—
Central Branch 1925 1924 1923 1917
$980. 92 11, 602. 16
$1, 063, 950. 00 $1, 063, 165. 44, 7,
' 80' 76'
57. 51 $11, 602. 16
57. 51
$784. 56 8, 285. 68
Hospital facilities, Na- tional Home for Dis- abled Volunteer Sol- diers, Central. Branch, new hospital No year.
. Hospital facilities, Na- tional Home for Dis- abled Volunteer Sol- diers, Central Branch, officers' and nurses' quarters do
Danville Branch 1925 1924 1923.
Eastern Branch 1925 1924 1923
Marion Branch 1925 1924 1923 1922
Certified claims.
1, 558. 62
610. 90
1, 039. 04 34& 735. 66
1, 047. 52 14, 619. 02
7. 33 14, 577. 40
510, 750. 00
344, 772. 00
745, 650. 00
30. 30
508, 957. 23 81&, 895. 88
89. 88
343, 283. 26 81, 080. 09
744, 092. 85 8, 885. 78
25. 16 8. 16
30. 30
$1, 055, 803. 17
484, 622. 08
322, 253. 17
741& 820. 43
34, 774. 99
14, 619. 02
14, 552. 24 2. 16
1, 558. 62
610. 90 1, 792. 77
25, 334. 86
1, 488. 74 22, 077. 61
1& 557. 15 2, 333. 05
Hospital facilities, Na- tional EIome for Dis- abled Volunteer Sol- diers, Marion Branch, additional building No year.
Medical and hospital services, National Home for Disabled Volunteer Soldiers, Marion Branc
Mountain Branc 1924 1923
Certified claims.
149. 63
50, 739. 68
644. 55 15, 045. 92
707, 000. 00
1, 447. 55
782. 81 705, 350. 80
7&& 880. 7&0
9. 68 1, 447. 55
782. 81
15, 055. 54
149. 63
1, 649. 20 4, 964. 95
Medical and hospital services, National Home for Disabled Volunteer Soldiers, Mountain Branch
Northwestern Branch 1923 1925 1924 1923
4, 507. 80
1, 097. 09 22, 203. 59
836, 590. 00 2, 125. 29
834, 673. 69 6& 809 68
20. 85
702, 468. 33
2, 125. 29
828, 484. 86 22, 182. 74
is) 1, 916. 31 7& 306. 77
Hospital facilities, Na- tional Home for Dis- abled Volunteer Sol- diers, Northwestern Branch, officers' and nurses' quarters No year.
pacific Branch 1925 1924 1923
753. 61
1, 452. 73 9, 020. 96
1, 057, 600. 00 1, 056, 198. 43 1& 609. 97
101. 11 1, 054, 689. 571
8, 919. 85
753. 61 1, 401. 57 3, 062. 70
' Balance returned to "Medical snd Hospital services, Veteran's Bureau, 1923. "
230 RECEIPTS AND DISBURSEMENTSr 1925
Disbursements, balances, etc. — Continued
(Repayments to appropriations in excess of disbursements sre printed in fteffcsJ
Appropriations available in 1925
F Appropriations from the general fund year Balances July 1, 1924 A p proprist iona
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30& 1925
NONMILITARY ACTIVITIES — continued
National Homes for Disabled Volunteer Soldiers — Con. Hospital construction,
National Home f or Disabled Volunteer Soldiers, Pacific Branch No year. $1, 500, 000. 00 $1, 500, 000. 00
Medical and hospital services, National Home for Disabled Volunteer Soldiers, Pacific Branch
Southern Branch 1928 1925 1924 1923
$11, 144. 37
889. 99 6& 439. 53
608& 900. 00 $3, 770. 93
607, 702. 83 7& 167r. 89
$3, 770. 93
$6& 439. 53
(s) 1, 197, 17 8, 054. 28
Western Branch
Clothing
Certified
1925 1924 1928
1925 1924 1923
claims.
305. 45 15, 490. 26
1& 421. 57 52& 317. 61
602, 580. 00
161, 200. 00
26. 29
601, 133. 49 10,
' 877. 81
160, 881. 47 18, 7&7&8. 59
26. 29
600, 538. 54
590, 456. 28 15, 490. 26
52, 817. 61
1, 446. 51 10, 982. 66
368. 53 19, 864. 16
Medical and hospital services 1923
Certified claims. 84, 563. 81
563. 38 597. 45 568. 38
142, 415. 17
Medical and hospital services, Veterans' Bureau (transfer, act June 7, 1924)
Salaries and incidental expenses
Compensation of civilian employees, National Homes for Disabled Volunteer Soldiers
Increase of compensa- tion, National Home for Disabled Volun- teer Soldiers
National Sanitarium for Disabled Volunteer Soldiers, Hot Springs, S. Da)I
1925
1925 1924 1923
1925
1924 1923
1925 1924 1923
138. 00 2, 959. 89
34, 471. 37
1, 167. 78 5, 010. 99
1& 599, 527. 42
61, 700. 00 61, 513. 48 9& 780. 18
85, 890. 07
281, 870. 00 279, 922. 16 1, 198. 08
960, 000. 00 960, 000. 00
1, 160. 88
51, 783. 36
960, 000. 00
85, 890. 07
1, 599, 527. 42
2, 959. 39
34& 471. 37
5, 010, 99
186. 52 9, 918. 12
25, 690. 07
1, 947. 84 2, 360. 75
State or Territorial homes for disabled soldiers and sailors 1925
1924 1923
100, 000. 00 148, 231. 04
645, 945. 24
700, 000. 00 700, 000. 00 14& 817. 88 20, 670. 00
278, 729. 14
705, 852. 67 122, 561. 04
i14, 817. 33
~ Balance returoed to "Medical and Hospital services, Veterans' Bureau, 1923. "
hRC~ Aidan biaiUESRimigrS, 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriatfona in excess of disbursements are printed in ffetfcr]
Appropriations available in 1925
Appropriations from the general fund Fiscal Balances July
1, ISZ4 A ppropriatione
Disbursements by years
Total disburse- ments in 1020 to surplus fund
ancee June 30& 1925
Amount carried Bal
NONMILITARY AGTIvITIEs — con.
National Home for Disabled Volunteer Soldiers — Con.
Less balances on "Medical and hospital services, 1928" returned to "Medical snd hospital
. services, Veterans' Bu- reau, 1928" $143, 679. 18
Total, National Homes for Disabled Volunteer Soldiers 502, 266. 06i$11, 744, 156. 94 $8& 502& 016. 56 $1, 960, 543. 82 $1, 788, 862. 62
1925 1925 1924
p'ar Claims and Relief Acts: Claims reported by the
Court of Claims under Bowman and Tucker Acts, etc. , Wsr No year.
Claims for damages to property in Virginia, War with Spain do
Investigating claims of American citizens for damages, insurrection in Mexico do
Judgment, Louis Lesvitt, . Court of Claims, Wsr do
Judgments, Court of . Claims, War do
Judgments, United States courts, Wsr do
Payments of claims for loss of firearms, etc. , taken by United States troops during labor strikes in 1914 in Colo- rado Certified claims.
Payment of volunteers, Cayuse Indian War of 1847 snd 1848 in Ore- gon No year.
Payment for damages to private property by gun- firing do
Payment to- Heirs, etc. , of persons
killed on Mexican bor- d er do
Della James, widow of Alfred J. James, killed by explosion do
Annuity to- Jennie Carroll John IL Kissinger
7, 605. 09
847. 00
8, 165. 67
607, 548. 57
-23. 50
1, 108. 88
56. 72
5, 000. 00
2, 645. 00
54. 25
1, 500. 00 11 200. 00
7361 655. 81 1& 401& 106. 41
45, 289. 87 515, 740. 25
$480. 00
2, 068, 553. 35
549, 748. 86
23. 50
690. 00
1, 500. 00 1, 200. 00
54. 25
480. 00
2, 063, 553. 35
549, 748. 86
23. 50
690. 00
1, 500. 00
7, 125. 09
347. 00
8, 165. 67
607, 543. 57
74, 208. 87
11, 281. 26
1, 108. 88
56. 72
5, 000. 00
1& 955. 00
Mabel H. Lszear 1925 1924
Award of National Wsr Labor Board in favor of certain employees of Bethlehem Steel Co No year.
Reimbursement to officers snd men of the Army for losses fighting fires on national forests do
78270 — 26 — 16
125. 00
2, 257. 91
1& 500. 00
1, 600, 000 00
1, 500. 00 1'25. 00
1, 254. 25
1, 625. 00
2, 257. 91
1, 600, 000. 00
-RECEIPTS AND DISBUBSEMENTSp 1925
Disbursemsrtfs, balances, cfc. — Continued
[Repayments to appropriations in excess of disbursements are printed in ifsffcs]
Approprisrlons available in 1919
Appropriations from the general fund year Balances July 1& 1994 Appropriations
Disbursements by years
Total disburse- Amount carried ments in 19ZS to surplus fund
Balances June + 1999
NOXMILITART ACTIVITIES — COll.
F' ar Claims artd Relief Acts — Continued.
Relief of- AIrs. AI. J. Adams Xo year F. J. Belcher, jr. , trustee
for Ed. Fletcher do Gerard E. Bess do E. C. Caley do G. W. Campbell do C. C. Carson do AI. Castanola &k Son do James T. Conner do Heirs of Theodore De-
hon do John T. Eaton do Arthur Frost do Stansfield A. and Eliza-
beth G. Fuller do Juana F. Gamboa do Andrew A. Gieriet do Jennie Beasley Glisson do AIrs. John D. Hall do Fannie M. Higgins do Roger Sherman Hoar do AIrs. John P. Hopkins do Philip Hudspeth do Bernice Hutcheson do Heirs of Agnes Ingels do James F. Jenkins do J. Jessop and Sons do Louis Jones, for injuries do Fred E. Jones Dredging
C 0 do Emma Eiener do Owners of steamship ' Ix. in-Dave" do J. R. IGng do Robert Laird, sr do Lieut. E. J. lac Allister do Heirs of Casimira AIen-
doza do Rubie M. Alosley do Thomas Nolan do Ogden Chamber of
Commerce do William J. Oliver Manu-
facturing Co. , and William J. Oliver do
Lena Garagnon Owens do Pacific Commissary Co do W. F. Payne do Persons for damages by
fire at Rock Island Arsenal do
Persons for damages by errplosions at Frank- ford Arsenal, Pa da
Persons for injuries and damages due to mu- tinous soldiers at Houston, Tez do
Persons suffering dam- age due to condemna- tion of land for Camp Benning, Ga do
Elizabeth H. Rice do Estate of Walter
Rich do V. E. Schermerhorn do L, A. Scott do
$540. 00 192. 00 16. 00
190. 44
500. 00
960. 00
134. 00 2, 587. 50
61, 50
2, 850. 00
3, 819. 50
13. 35
44. 49
3, 204. 00 552. 51
2, 767. 45
$3, 000. 00
21, 838. 00
734. 22 4, 000. 00
560. 00
90, 00 1, 593. 00
484. 75 2, 500. 00 2, 248, 10 3, 000. 00
150. 93 5, 000. 00
1, 000. 00 21, 000. 00
750. 00
13, 457. 64 1, 500. 00
3, 500. 00 478. 51 112. 11 116. 88
1, 500. 00 5, 000. 00
651. 68
170, 757. 86
10, 841, 73 250. 00
46, 000. 00
42, 233. 78
5, 000. 00
3, 578. 62
2&
2&
3&
5,
560. 00 960. 00
90. 00 593. 00 484. 75 500. 00 248, 10 000. 00 150. 93 000. 00
2, 587. 50 1, 000. 00
21, 000. 00 ?50. 00
13, 457. 64 1, 500. 00
3, 500. 00 478. 51 112. 11 116. 88
1, 500. 00 5, 000. 00 2, 850. 00
651. 68
168, 050. 71 3, 819. 50
10, 841. 73 250. 00
36, 000. 00
450. 00', 552. 51
42, 233. 78
5, 000. 00 2, 767. 45 3, 578. 62
$3, 000. 00
21, 838, 00 540. 00 192. 00 16. 00
190. 44 734. 22
4, 000. 00
$3 000 00
21, 838. 00 540. 00 192. 00
16. 00 190. 44 734. 22
4, 000. 00
560. 00 960. 00
90. 00 1, 593. 00
484. 75 2, 500. 00 2, 248, 10 3, 000. 00
150. 93 5, 000. 00
2, 587. 50 1, 000. 00
21, 000. 00 750. 00
13, 457. 64 1, 500. 00
3& 500. 00 478. 51 112. 11 116. 88
1, 500. 00 5, 000. 00 2, 850. 00
651. 68
168, 050. 71 3, 819. 50
10, 841. 73 250. 00
36, 000. 00
450. 00 552. 51
42, 233. 78
5, 000. 00 2, 76?. 45 3, 578. 62
$500. 00
134. 00
61. 50
2, 707. 15
L
13. 35
44, 49
10, 00fL 00
2, 764 06
RECEIPTS AND DISBURSEMENTS, 1925
Disbursements& balances, etc. — Continued
[Repayments to appropriations in excess of disbursements sre printed in ffsffco]
Appropriations available in 1925
A propristions from the general fund P Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
f4oNMILITAR Y ACTIvITIEB — con.
I[far Claims and Relief Acts— Continued.
Relief of — Continued. Eva B. Sharon No yea Daniel A. Spaight do Mary F. Spaight do Charles Spencer do Standard American
Dredging Co do Stone Towing Line do Eugene K. Stoudemire do Sufferers from famine
in China do Thomas F. Sutton do Elizabeth Tabele do Thomas A. Tabele do Cornelia M. A. Tower do Turner Construction Co do Frank Vumbaca do Samuel S. Weaver do Jessie M. White do
Transportation for refugee American citizens from Mexico do
Total, War Claims and Relief Acts
$267. 25 5, 000. 00 2, 812. 70
3, 020. 72
5, 568. 11 278. 42
1, 140. 50 102. 96
419. 00
1, 640. 70
842, 984. 25
$667. 33
1, 519. 15 1, 500. 00
3, 000. 00 27, 029. 65
720. 00 2, 500. 00
4, 538, 477. 67
$267. 25 5, 000. 00 2, 812. 70
667. 33
$267. 25 5, 000. 00 2, 812. 70
667. 83
1, 500. 00 1& 500. 00
278. 42 1, 140. 50
102. 96 8, 000. 00
273. 42 1, 140. 50
102. 96 3, 000. 00
3, 012, 424. 18
419, 00 419. 00 720. 00 720. 00
2, 500. 00 2, 500. 00
$1, 640& 70
3, 898. 61
$3, 020. 72 1, 519. 15
5, 568. 11
27, 029. 65
2, 365, 139. 18
1925 1924 1923 1922 1921 1920 1919 1918
Trust funds: Permanent and inde6-
nite— Pay of the Army, de-
posit fund No year. Soldiers' Home perma-
nent fund do Estates of deceased sol-
diers, United States Army
(8)
4, 196, 175. 52 '601, 668, 18
2, 431. 30 5, 447. 55
117. 19 'o 45. 63
(11) (11) (n) (11)
789, 268. 64 789& 268. 64
. 22
. 45
45. 68
46. 30
4, 008, 575. 06
2& 431. 08 5, 447. 10
117. 19
Effects of Alphonse Stre- bler, deceased, U. S. Army No year.
Amount due Private A. Phillips, payment by Capt. Rumsey Camp- bell for money turned over to him do
Preservation, birthplace of Abraham Lincoln do
Total, Trust Funds
50. 15,
1, 981. 91 2, 040. 00
4, 198, 242. 58~ 611, 749. 85
2, 500. 00 2, 500. 00
791, 814. 94
50. 15
85. 00
1, 521. 91
4, 018, 177. 49
' Account stated on p. 197. h&eludes 811, 810. 87 transferred from the following accounts of "Estates of deceased
soldiers, U. S. Army": 1922, 5121. 74; 1921, 8152. 19; 1920, 8518. 29; 1919, 810, 993. 15, snd 1918. 82&, 50.
a Exclusive of 8121, 74 transferred to "Soldiers' Home premsnent fund. " » Appropriations transferred to "Soldiers' Home permanent fund. "
RECEIPTS AND DISBURSEMENTS& 1925
1Nabursernenfs, balances, efc. — Continued
[Repayments to appropriations in excess of disbursements are printed in itslice]
Appropriations frotn the general fund year Balances July 1, 1924 Appropriations
Appropriations available in 1925
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Bgdauces Junc 50, 1925
NONMILITART ACTIVITIES — con.
Miscellaneous Nonmilifaryf Statement of receipts and
expenditures in Cuba and the Philippine Is- lands No year.
Replacing Washington- Alaska submarine cable
Washington-Alaska mili- tary cable and telegraph systems
Permanent and indefi- nite—
Soldiers' Home, interest account No year.
Special fund— Expenses, sale of sur-
plus Government property do
Total, Miscellan- eous Nonmili- t ary
$99. 39
(12)
31, 706. 34
215, 590. 47
247, 396. 20
16'. 88 18. 88
122, 589. 12 124, 422. 97
$122& 589. 12 $124, 439. 85 $124, 439. 85
$99. 39
29, 855. 61
215, 607. 35
245, 562. 35
Total, Nonmili- tary Activities 95, 577, 367. 96 90, 190, 225. 40 96, 819& 874. 76 $2, 447, 990. 17 86, 499, 728. 43
Total, Military Activities 108, 167, 257. 42 268, 105, 355. 20 252, 087, 035. 60 28, 854, 668. 39 95, 330, 908. 63
Total War De- partment ex- cluding pana- ma Canal »
PANAMA CANAL
MAINTENANCE AND OPERATION
203, 744, 625. 38 358, 295, 580. 60 348, 906, 910. 36 31, 302, 658. 56 181, 830, 637. 06
Civil Governinent, Panama Canal and Canal Zone No year.
Construction and equipment, Panama Canal do
Maintenance and operation, Panama Canal do
Sanitation, Canal Zone, Panama Canal do
Payment to certain em- ployees of the G vern- ment for injuries, Isth- mian Canal do
Increase of compensation, Panama Canal 1924
1923
85, 724. 62
172, 509. 97
8, 285, 996. 95
223& 116. 91
1, 500. 00
20. 00 33. 32
' 988, 458. 36 971, 543. 61 971, 543. 61
91, 584. 21 91, 584. 21
1 5, 826, 413. 76 7, 329, 653. 24 7, 329, 653, 24
' 580, 432. 02 657, 836. 03 657, 836. 03
33. 32
102, 639. 37
80, 925. 76
6, 782, 757. 47
145, 712, 90
1, 500. 00
127. 36
Total, Panama Canal, maintenance and operation
Total, War Depart- ment, including Panama Canal
8, 768, 901. 77
212, 513, 527. 15
7, 395, 304. 14
365, 690, 884. 74
9, 050, 509. 73
357, 957, 420. 09
33. 32 7, 992, 662. 66
&gg g66 299. 92 31, 302, 691. 88
7 Exclusive of amount transferred to "civil service retirement and disability fund, " 9' Includes warrants for allotments of Army pay paid by the United stem p. SOL Bureau under the war risk insurance sct. 9' Accounts stated on p. 218.
BECEIPTS AND DISBUBSEMEÃTS 1925
Dt'ebersemertfs, baJartces, efc. — Continued
[Repayments to appropriations in excess of disbarsements are printed in ifelice]
Fiscal Appropriations from the general fund year
Balances July 1, 1924 Appropriations
Appropriations available in 1 925
Disbursements by years
Total disburse- meats in 1925
Amount carried to surplus fund
Balances June 30, 1925
DISTRICT OF COLUMBIA
Nova. — Appropriations made for the fhcsl year 1925, in the District of Columbia appropriation sct, and in other sets, sre payable wholly from the revenues of the District of Co- lumbia, snd in addition 99, 000, 000 is sapmpristed out of any money in the Treasury not otherwise appro- priated for the sapport of the Dis- trict of Columbia. Appropriations for the fiscal years 1921 to 1924, in- clusive, are payable 50 per cent from the revenues of the District of Co- lumbia, sad prior decal year accounts 50 per cent from such revenues. Ex- ceptions to the shove provisions are indicated by footnotes.
1Nsfrt'cf of Columbia: Executive Office, District
of Columbia Salaries, Offices of the Dis-
trict of Columbia
1925
1924 1928 1922
$596. 69 7, 752. 77
r $201, 629. 75', $201, 817. 25
7& 61&5. 08 119. 69
8. 79
$201, 817. 25
7, 768. 50
$7, 872. 46 8. 79
$812. 50
8, 241. 71
Increase of compensation, District of Columbia 1924
1928 189. 17 158. 87
88, 86L 1&8
l&9. 87 88& 411. 80
208. 74 23, 500. 60
Increase of compensation, District of Columbia 14 1924
1923 1, 018. 74
Joint Select Committee on Fiscal Relations of Dis- trict of Columbia
Assessor's Office, District of Columbia
Auditor's Oflice, District of Columbia
Board of Examiners, Steam Engineers, Dis- trict of Columbia
Care of District Building, District of Columbia
Maintenance, District Building
Maintenance, Municipal Building
Central garage, District of Columbia
Collector's Office, District of Columbia
Coroner's Office, District of Columbia
Department of Insurance, District of Columbia
Engineer Commissioner's Office, District of Col- umbia
License Bureau, District of Columbia
Minimum Wage Board, District of Columbia "
Municipal Architect's Of- ffce, District of Colum- bi 's
Oflice of Corporation coun- sel, District of Colum- bia
1928
1925
1925
1925
1925
1924
1928
1925
1925
1925
1925
1925
1925
1924 1928
1925
1925
6, 888. 48-
818. 15
670. 88
5, 000. 00 1, 484. 65
' Exclusive of amount transferred to "Civil service retirement an
r 115, 846. 50
73, 417. 50
450. 00,
r 92, 740. 99
r 4, 270. 50
r 67, 470. 97
r 16, 081. 00
r 17, 418. 50
r 247& 912. 40
r 86, 874. 50
r 80, 010. 82
r 32, 646. 27 d disability fuad, "
8& 780. 5l&.
115, 846. 50
73, 417. 50
450. 00
92, 740. 99
+7. 18
185. 16
4, 270. 50
67, 470. 97
16, 031. 00
17, 418. 50
247& 912. 40
36, 874. 50
30, 010. 82
82, 646. 27
p. 501. &4 Payab
8, 780. 51i 1, 013. 74
6, 388. 48
2) 780. 54
115, 846. 50
78, 417. 50
450. 00
92& 740. 99
ljlr7. 18
185. 16
4, 270. 50
67, 470. 97
16, 081. 00
17, 418. 50
247, 912. 40
86, 374. 50
795. 54
1, 484. 65'
1, 260. 88
5, 000. 00
80, 010. 82,
82, 646. 27 le wholly from the re vcnues of the District of Columbia.
REG3GPTS END DISBURfKMEKTS 1925
Disbvrsefnsrtts, balances, stc. — Continued
[Repayments to appropriations in excess of disbursements are printed in ifefice]
Appropriations from the general fand Fiscal, y
Appropriations available in 1923
Lppmpriations 1, 1924
Disbursements by years
Total disbaise-, amount carried ments in 1925 to sarplns fand
Balances Jane 30, 1923
District of Col ufrtNa — Continued. Office of Superintendent of
Weights, Measures, and Markets, District of Columbia
Public emplovment serv- (& is 1ce
Public Utilities Com- mission
1925
1925 1924 1928
f925 1924 1923 1919 1918
835. 94
1, (0(. 00 3. 86
9, 008. 50' 9, 008. 81. 8L
r 40, 894. 00 40, 894. 1, 026
805. 10. 8.
r $40 991 00 $40& 991 00 $40, 991. 00'
50 10[ 0 5
8, 956. 35I
00 92 6 8 0 ' 0' 65'
$56. 99,
308. 99 10.
s31 10
Rent Commission (wholly District of Columbia)
Rent Commission, District of Columbia, sct May26, 1924 (60 — 40)
Rent Commission (60 — 40) Surveyor's Office, District
of Columbia Employees' compensation
fund (wholly District of Columbia)
1924-25
Xo year. 1923,
1925
Xo vear. '
1925
' 2 9, 342. 41
' 44, 611. 44
r 65, (82. 11
10, 000. 00 5, 000. 00
27, 602. 34
29, 342. 41 q&0
65, 782. 11
10, 000. 5, 000.
41, 602. 64
27, 602. 84
29, 3422. 41 . ~(0 . 40l
65, 782. 11,
15, 000. 00
17, 009. 10
Emplovees' compensation fund (60 — 40)
Employees' compensation f und
Salaries, Free Public Li- b rsry
Expenses, Free Public Li- b rary
Xo rear
1922
1925 1924
1925 1924
216. 44
1, 321. 79
i 144, 568. 20
65, 150. 00
216. 44
144, 488. 08, 6o. 88
65, 149. 25 800. 7
216. 44
144, 422 20
64, 848. 55
1, 321. 79
x(1 12
(o 300. 70
Site for Branch Free Public Library (60 — 40)
Site, IAount Pleasant Branch Library (6~0)
Contingent and mis- lsneous expenses
Xo year
do
1925 1924 — 25
1924 1928 1922 1921 1920 1918
1, 639 70
1, 000. 00 4, 171. 65
! 2, 076. 40
134, 200. 00.
288. 00 4, 893. 73
56. 40 73. 90
0
181& 210. 68 1, 000. 00 1, 6J&0. 6 8, 888. 8
188. 8 56. 4 72. 5 8. 50
188. 00
1, 639. 70
135. 00
2, 989. 3(
6 100. 29 5, 469. 29 4, 893 (1
189. 29--------------
1, 40 3. 50
Emergency fund 1925 4, 000. 00 1923 I 3, 000. 00, : I
4, 000. 00 127, 113. 21
3, 000. 00
Interest snd sinking fund, District of Columbia (wholly District of Columbia)
EIarking historical places 1925 1925 1924 1928 j
500. 00, 100. 00
300, 000
60
4, 000. 00
300, 000. 00
40. 00
Refund of erroneous col- lections 1925 I
1924, 1923 I 46(.
3, 000. 00; 1, 500. 00
60. 00
3, 000 1, 500
8/7 00, 7
'
4, 252. 21 715. 25
i Ezcfasive of amount transferred to "Civil service retirement and disability fund, "p 301. ii account for 1924 payable wholly from the revenues of the District of Columbia, 1923 payable 60 per cent.
EECEIPTS AND DISBVBSEMENTSr 1925
Disbursements, balances, efc. — Continued
(Repayments to appropriations in excess of disbursements are printed in italics]
237
Appropriations avanable in 1925 Fiscal
Appropriations from the general fund year Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
District of Oolttmbia — Continued. Removal of dangerous
buildings 1925 1924 1923
Repairs of buildings in- jured by fire 1923
Special equipment, Offices of assessor and collector of taxes, District of Co- lumbia 1925
Traific lines and signals, District of Columbia '4 1925 — 26
1924-25
$8, 700. 00 835. 00
3, 853. 15
$500. 00
10, 000. 00
50, 000. 00 15, 000. 00
$500. 00 8, 248. 01
10. 00
10, 000. 00
15, 000. 00 14, 649. 06
$8, 738. 01
1'. 89
10, 000. 00'
29, 649. 06
$845. 00
3, 897. 04
$451. 99
35, 000. 00 350. 94
an's p 1924 1923 1922 1921 1920 1919 1918
National Conference of Commissioners on Uni- form State Laws, Dis- trict of Columbia 1925
Wharf between M and N Street SW. (50-50) No year. !
Wharf between M and N Streets SW. (60-40) do
Increasing water supply, District of Columbia (wholly District of Co- lumbia) do
Increasing water supply, District of Columbia (60 — 40) do
Improvements and re-
95. 08
1, 700. 00
1, 299, 143. 28
99& 252. 16 2, 887. 62
250. 00 250. 00
95. 08
1, 692. 96
1, 299, 143. 28
4. 50 4. 50 . 75
8. 69
92, 8, 8&
585. 66 886. 94 81'. 57
4. 50 4. 50 . 75
8. 69
7 4, 023, 100. 00 875, 000. 00
250. 00
95. 08
1, 692. 96
875, 000. 00
1, 299, 143. 28
5, 754. 56 2, 343. 57
7. 04
3, 148, 100. 00
6, 666. 50
Purchase of construction materials (reimbursa- ble) (50-50)
Street cleaning
Collection and disposal of ref s us se
No year. 1925 1924
1925 1924
526. 00
9, 846. 92
59, 946. 97
7 498, 770. 56
7 898, 506. 32
196. 90 489, 245. 09
9, 846. 92
887, 876. 25 41, 306. 57
87, 393. 59
196. 90
499, 092 01
929, 182. 82'
329. 10 9, 525. 47
10, 630. 07 18, 640. 40
Streets 1923 1922 1921
1920 and prior. 1918
Street and road improve- ment and repair, Dis- trict of Columbia 1925 — 26
1925
Street improvements 1925 — 26 1925
1923-24 1923
12, 789. 14 408. 32
2& 940. 04
23. 10
800, 000. 00 ' 1, 305, 151. 60
399, 750. 00 r 605, 288. 09
639. 97 33. 84
2. 00
160, 000. 00 1, 289, 880. 24
70& 000. 00 509, 229. 18
10, 217. 04 1$, $f&1&. 88)
7, 758. 11&.
639. 97 33. 84
2. 00
1, 449, 880. 24
574, 982. 00 14, 872. 54
10, 692. 18
23. 10
640, 000. 00 15, 271. 36
329, 750. 00 96, 058. 91
2, 572. 10
Elimination of Lamond grade crossing, Dis- trict of Columbia 1925 — 26 59, 000. 00 5, 000 00I
disability fund, " p. 301. ' Exclusive of a&nount transferred to "Civil service retirement and " Payable wholly from the revenues of the District of Columbia.
7, 078. 88
5, 000, 00 54, 000. 00
RECEIPTS AND DISBURSEMENTS& 1925
Disburserrtertts, balances, etc. — Continued
[Repayments to appropriations ln excess of disbursemeats sre printed in ifsffce]
Appropriations avaBable ia 1925
Appropriations from the general fund year Balances July 1, 1924 Appropriations
Disbursements by years
Total dhburse- ments in 1925
Amount carried to surplus fund
Balances June 50, 1925
Maintenance of Highway Bridge across Potomac River 1924
1923
Maintenance of bridge across Anscostia River 1924
1923
District of Columbia — Continued. Widening of Nichols
Avenue SE. , District of Columbia (wholly District of Columbia) No year.
Alleys (wholly District of Columbia) do
Payments for lots, Poto- mac River Flats (50 — 50) do
Reclamation of Anacostis River Flats (wholly District of Columbia) do
Reclamation of Anscostia River Flats (60 — 40) do
Acquiring title to squares 612 and 613, District of Columbia (50 — 50) do
Bridge across Potomac River at Georgetown, D. C. (60-40) do
Repair snd maintenance of bridges, District of Columbia 1925
Maintenance of Francis Scott Key Bridge, Dis- trict of Columbia 1924
1923
$73, 398. 87
r 230. 93
25, 172. 70
6, 060. 00
"9, 357. 95
2& 000. 00 1, 000. 00
2, 832. 07 1, 420. 85
$4, 500. 00
6'9, 46'9. 00
r 54, 247. 75
9, 357. 95
54 247. 75
2, 684. 63 860. 08
898. 78 866. 05
r 172, 860. 00 167, 660. 00
24, 572. 70
$9& 4b'9. 00
167, 660. 00
24, 572. 70
9, 357. 95
54, 247. 75
1, 824. 54
$1& 000. 00
2, 280. 94
256. 05
$4, 500. 00
. 82, 857. 87
230. 93
5, 200, 00
600. 00
6, 060. 00
2, 000. 00
147. 44
293. 79
Small parks 1925 1924 1923
Trees and parkings 1925 1924
National Zoological Park, District of Columbia 1925
1924 1923
4, 000. 00 13, 000. 00
1, 902. 13
466. 01 62. 87
5, 000. 00
' 74, 953. 50
r 149, 086. 76
1, 000. 00 2, 500. 00
13, 000. 00
74, 769. 86 888. 88
148, 515. 72 463. 05 81. l7
649. 84
16, 500. 00
74, 431. 54
94. 04
4, 000. 00 1& 500. 00
183. 64 2& 240. 45
571. 04 2. 96
Increase of compensation, National Zoological Park, D. C 1924
National Capitol Park Commission, District of Columbia (wholly Dis- trict of Columbia) No year.
Connecting parkway be- tween Rock Creek snd Potomac Parks, Dis- trict of Columbia (wholly District of Co- lumbia) do
1925
534. 68
7 74, 925. 97 100, 000. 00
72, 000. 00 50, 000 00
600, 000. 00 449, 462. 52
148, 947. 60
449& 462. 52
857. 14
150, 537. 48
2, 925. 97 50, 000. 00
Connecting parkway be- tween Rock Creek snd Potomac Parks, District of Columbia (60 — 40) No year.
Increase of compensation, Rock Creek snd Poto- mac Parkway Commis- sion, District of Colum- bia 1923
f Exclusive of amount transferred to "Civil servl
1 1, 503. 09
4. 37 ce retlremeat aad disa bility fuad, " p. 301.
1, 503. 09
122, 000. 00
1, 503. 09
4, 37
BECZIPTS AND DISBVRSEhfENTS, 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in ffaffcx]
Appropriations available in 1923
APProPrIstfons from the general fund ear Fiscal
Balances July 1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
District of Columbia — Continued. Salaries, Public Buildings
snd Grounds, District of Columbia
Salaries of employees, Public Buildings snd Grounds, District of Columbia
Salaries, park police, Dis- trict of Columbia
Uniforms snd equipment, srk police, District of olumbis
Motor vehicle allowance, park police, District of Columbia
Increase of compensation, District of Columbia (Engineer Corps — Wsr)
Increase of compensation, Engineer Department of Army, District of Co- lumbia
Contingent expenses, Public Buildings and Grounds, District of Columbia
1925
1924 1923
1925
1925
1925
1923
1924
1925 1924 1923
7$2, 651. 26 1, 403. 72
6, 796. 70
61, 730. 15
100. 00 125. 13
7$60, 560. 00
121, 502. 21
10, 550. 00
2& 880. 00
800. 00
$60) 291. 93
878. 66
120, 497. 14
10, 267. 65
2, 664. 68
1, 898. 68
800. 00 1&79. 89
$60, 291. 93
2 664. 68
1, 898. 68',
320. 11'
878. 56
120, 497. 14
10, 267. 65
$1, 403. 72
6, 796. 70
125. 13
$268. 07
3, 029. 82
1, 005. 07
282. 35
215. 32
63, 022. 83
579. 89
Improvement and care of public grounds, District of Columbia 1925 — 26
1925 1924-25
1924 1923
Certified claims.
Li ting public grounds, istrict of Columbia 1925
1924 1923
Survey of boundary, Vir- ginia snd District of Columbia
Sewers 1925 1925 1924 1923 1922
Sewage-treatment works (60-50)
Electrical department No year,
1925 1924 1923 1922 1920
Sewage-disposal system 1925 1924
1'2l, 140. 19 1 865. 43 2, 528. 60(
10, 000. 00 ' 533, 340. 00
7. 56
' 14, 944. 49 1, 440. 60
' 43, 450. 00
163, 510. 15 517. 52
5, 000. 00 7 1, 115, 439. 80
5, 000. 00 80, 000. 00
8, 593. 45 7 696, 878. 84
57, 074. 37 14, 375. 35
. 76
6, 584. 94 470, 304. 63
10, 959. 19 8, 088. 68
7. 66 7. 56
32, 526. 02 1, 200. 45
4, 811. 15 1, 018, 481. 96
162, 780 15 1, ~. 81 8, 606. 61
50, 000. 00 4, 991. 45
71&8. 78 644, 923- 66
42, 293. 19 10, 133. 04
186. 88 . 76
484, 820. 23
33, 726. 47
4, 811. 15
1, 176, 211. 19I
54, 99k 45I
711. 8. 78.
1& 440 60
1, 962 3, 605
83 61'
4, 242. 31 136. 88
49, 979. 75 10, 181. 00
2, 536. 16
3, 415. 06 13 055. 62
4, 893. 96
10 923 98 13, 744. 04
188. 85 96, 957 84
730. 00
30, 000. 00 8. 55
9, 337. 23 51, 955. 18 14, 781. 18
Storehouse, electrical de- partment (50 — 60) No year.
Community centers " 1925 1924 1923
8, 999. 58
1, 503. 50
7 32) 902. 62 32, 699. 38 881. 88 $91. 81
697& 213. 77
31, 985. 74; 1, 995. 31
8, 999. 58 203. 24 221. 83
ce retirement and dis ability fund, " ct of Columbia,
p. 301. ' Exdusive of amount transferred to "Civil servi
" Payable wholly from the revenues of the Distri
'(( Transferred from 1 » Exclusive of 321, 1
tirement and disabili re
924 account. 40. 19 transferred to 1924-20 ty fund, " p. 301.
account aud 0337 to "Civil service
240 RECEIPTS AND DISBURSEMENTSr 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in italics]
Appropriations available in 1926
Appropriations from the general fund year Balances July 1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1926
Amount carried to surplzN fund
Balances June 30, 1926
District of Columbia — Continued. Playgrounds '4 1925
1924 1928
Maintenance, etc. , of play- grounds 1918
Sites for playgrounds 1925 1924
Public schools 1925 — 26 1925
1924-25 1924 1923 1922 1921
1920 and prior. 1918
Teachers' retirement ap- propriated fund (60 — 40) 1925
1924 1923 1921 1920
Buildings and grounds, public schools (wholly District of Columbia) No year.
1925
$3, 688. 41
70, 197. 52 145, 818. 66
27. 50 30. 89
z $147, 492. 00
52. 30 21, 300. 00
450, 000. 00 z 7, 221, 951. 44
"25, 000. 00 66, 261. 00 52, 058. 79
13. 05 79. 28 2. 15
60, 000. 00 5, 600. 00 1, 526. 29 1, 626. 59
82. 69
z 2, 802, 497. 32 37, 500. 00
$144, 810. 88 8o. 80
8, 818. 89
52. 80 14, 800. 00
/z99. 80
45, 000. 00 7, 058, 806. 76
25, 000. 00 57, 251. 28 64, 961. 61
788. 88 13. 05 79. 28
2. 15
60, 000. 00 5, 600. 00 1, 526. 29 1, 626. 59
82. 69
1, 000, 000. 00 37, 500. 00
$136, 567. 04
52. 30
13, 800. 80
7, 244, 885. 85
68, 785. 57
$11, 906. 70
80, 852. 05 728. 28
30. 39
$2, 681. 17 25. 50
7, 000. 00 499. 20
405, 000. 00 168, 644. 68
79, 207. 24 52, 058, 79
27. 50
1, 802& 497. 32
1925
Buildings and grounds, public schools (60 — 40) No year.
Buildings and grounds, public schools (50 — 50) do
Buildings and grounds, public schools, surplus revenue f und, District of Columbia (wholly District of Columbia) do
Chain Bridge Road School (60 — 40) do
Addition to Garrison School (60 — 40) do
Land adjoining Garrison School (60 — 40) do
New Eastern High School (60 — 40) do
Junior High School, north of Taylor and east of Fourteenth Street (60- 40) do
Addition to Lovejoy School (60-40) do
Addition to Wheatley School (60-40) do
Education of deaf, dumb, and blind, District of Columbia
Education of colored deaf
911, 917. 72
281. 94
36, 149. 06
281. 30
2, 681, 500. 00
39, 500. 00
874, 627. 69
879. 15
1, 037, 500. 00
874, 627. 69
879. 15
19. 78 19. 78
80 00
35, 000. 00
80 00
35, 000. 00
8, 888. 88
8, lz59. 88'
39, 500. 00
8& 888. 88
8b; 85
8& lz59. 88
39, 500. 00
199, 970. 00 199& 970. 00
279. 15
37, 290. 03
2, 431, 530. 00
19. 78
576. 53
80. 00
1, 149. 06
2, 838. 28
296. 55
8, 459. 33
mutes 1925 1924 2, 500. 00 1928 389. 59
1, 500. 00 339. 59
1, 000 00
1, 500. 00 Instruction of blind chil-
dren 1925 1924
~
5, 500. 00 1928
i
1 513 20 1, OOO. OO 500. 00 4&
1, 513. 20 4, 500. 00
for under "Education of deaf, dumb snd blmd District of Columbia z Exclusive of amount transferred to "Civil service retirement and disability fund, " z& provided p. 301. in 1926.
z& payable wholly from the revenues of the District of Columbia.
RECEIPTS AND DISBURSEMENTS, 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are printed in ifa lies]
Appropriations available in 1925
Approprhtions from the general fund Fiscal year Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carr&ed to surplus fund
Balances June 30, 1925
District of Columbia — Continued. Metropolitan police 1925
1924 1923 1921 1920 1919
$80, 473. 86 78, 250. 32
'$2, 654, 222. 50
59. 10 150. 09
3. 40
$2& 496& 528. 42 49, 271. 23
8, /77. 1J 59. 10
150. 09 3. 40
$86, 727. 46
$157, 694. 08 31, 202. 63
1923 1925 1924 1923
Buildings, Metropolitan police (60 — 40) No year.
Buildings, Metropolitan police (50-50) do
Policemen and firemen's relief fund 1925
Maintaining public order, etc. , Mystic Shrine con- vention, District of Co- lumbia "
Militia 105. 00
7, 543. 50 8. 79
"457, 000, 00
45, 540. 00
58. 09
457, 000. 00
8, 010. 80 42, 916. 25
3, 500. 00
$2, 537& 535. 10,
56. 09~
457, 000. 00
8, 010. 80
6. 32
2, 115. 30
8. 79
53. 09
2, 623. 75 4, 043. 50
Fire department 1925 1924-25 1923-25
1924 1923 1921 1920
"4, 996. 70 " 4, 767. 09 ta 19, 205. 36 " 6, 068. 05
7 1, 940, 402. 00
5, 000. 00
4. 00 2. 13
1, 779, 107. 43 4, 996. 70 4, 767. 09
12, 528. 19 5, 744&. 974
4. 00 2. 13
46, 416. 25
1, 795, 660. 60
11, 812. 99
161, 294. 57
11, 677. 17
Sites, buildings, and fur- nishings, fire depart- ment (wholly District of Columbia) No year.
Health department 1925 1924-25
1924 1923 1922 1921 1919
2, 101. 19 7, 093. 66
7 117, 997. 28 7 206, 368. 93
'4 2, 000. 00
18. 08 4. 00
60, 000. 00 206, 368. 93
2, 000. 00 2, 101. 19 7» 599. 56
518. 79 18. 08 4. 00
60, 000. 00
11, 693. 19 512. 79
57, 997. 28
Child welfare snd hygiene service
, Condemnation of insani- tary buildings
Maintenance, public cre- mstori m 'um
1925 1924
1925 1924 1923
1925 1924 1923 55. 62
7 17 745. 62
' 2, 899. 50
7 1& 961. 00 1, 000. 00
17, 742. 62 8& 088. 58
2, 399. 50 115. 77 76. 78
1, 961. 00 1, 000. 00
169. 48
205, 379. 88
15, 720. 10
2, 207. 01
2, 791. 52
76. 72
225. 10
3. 00 2& 022. 52
115. 77
Public convenience sta- tions (50 — 50) No year.
Maintenance, public con- venience stations, Dis- trict of Columbia 1925
Care and maintenance, public convenience sta-
1924 1928
24, 900. 64
11. 64
23& 000. 00 23, 000. 00
1748. 81 7&7. 9o
23, 000- 00
59. 59
24, 900. 64
148. 21
Increase of compensation, Judiciary, D. C
Juvenile Court 1924 1925 1924
7 49, 463. 67 5. 77
60. 90 49, 463. 67
69. 7&9
196. 16
60. 90
49, 394. 18I
61. 57
75. 26
' Bxclusfve of amount treanferred to" Civil service retirement and disability fund, " " Pafabfe wholly from the revenues of the District of Columbia. " h&c&udes 567, 000 transferred from trust fund account, p. 247.
&4 yransferred from 1924 account. » Transferred from 1923 account. » See note 20. » See note 21.
RECEIPTS AND DISBURSEMENTS& 1925
Disbursements, balances, efc. — Continued
[Repayments to appropriations in excess of disbursements are printed in ifsBcel
Appropriations available in 1925
Appropriations from the general fund Fiscal year
Balances July 1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 50, 1925
District of Columbia — Continued Municipal Court 1925
1924 $3, 441. 12 ' $66, 471. 87 $66, 471. 87
1, 523. 00 $67, 994 87
$1, 918. 12
Police Court 1925 — 26 1925 1924
Courts, District of Colum- bia 1923
1922 1920 and prior.
1, 041. 50
5, 883. 29
19, 130. 00 " 78& 221. 45
5, 000. 00
961. 65 1. 50
120. 75
19, 130. 00 78& 221. 45
4, 668. 50
8, 807. 88
120. 75
102, 019. 95
8, 086. 68
$8, 090. 62 1. 50
1, 373. 00
961. 65
Salaries, Supreme Court, District of Columbia
Fees of jurors, Supreme Court, District of Col- umbia
Fees of witnesses, Supreme Court, District of Co- lumbia
Miscellaneous expenses, Supreme Court, Dis- trict of Columbia
Pay of bailiffs, etc. , Su- preme Court, District of Columbia
Probation system, Su- preme Court, District of Columbia
Printing and binding, Su- preme Court, District of Columbia
Salaries and expenses, Court of Appeals, Dis- trict of Columbia
1925 1924 1923
1925 1924 1923 1922
1925 1924 1923
1922-23
1925 1924 1923 1922
1925 1924 1923
1925 1924 1923
i
1925 1924 1923
1925 1924 1923
21. 94 67. 77
10, 365. 00 1, 480. 00
759. 80 7, 620. 32
3. 71 258. 09
752. 34
364. 01 13. 19,
1, 002. 56 16. 85
56, 660. 00
75, 000. 00
40, 000. 00
40, 500. 00
50. 62
34, 520. 00
1 8, 609. 50
4, 275. 00
47, 140. 00
56, 644. 44
75, 000. 00 16& 664. 00
9. 00
40, 000. 00 779. 78
7. 25 1. 25
40, 500. 00 1, 08l. 88
54. 01
34, 520. 00 706. 84
8, 609. 50 76. 89
4, 084. 31 940. 41
46, 609. 93 169. 48
56, 644. 44
58, 445. 00
39, 228. 72
39, 516. 13
33& 814. 66
8& 530. 54
3, 143. 90
46, 450. 45
67. 77
10, 356. 00 1, 480. 00
752. 55 7, 619. 07
. 32 258. 09
752. 34
2. 67
13. 19
16. 85
15. 56 21. 94
16, 564. 00
779, 78
1, 037. SS
705. 34
7B. 29
190. 69 1, 304. 42
530. 07 1, 1B2. 04
Care of Court of Appeals building, District of Co- lumbia
Salaries of employees, Court of Appeals Build-
7, 640. 00 1925
ln g (st'1 J
1923 I 25. 00&
' Exclusive of amount transferred to "Civil service retirement and disability fund, " p. 501. » Provided for under "Care of Court of Appeals building" in 1925.
7, 640. 00 7, 640. 00
25. 00
jtECE1PTS AN1J bISBUBSEMEETS& 1925
Disbursements, balances, etc. — Continued.
[Repayments to appropriations in excess of disbursements are printed in ffslfca]
Appropriations available in 1925
Appropriations froxn the general fund piscsl year Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
Court of Appeals reports Salaries of employees,
courthouse, District of Columbia
1924
1925 1924 1923
Repairs and improve- ments, courthouse, Dis- trict of Columbia 1925
1924 1923-24
1923
Reconstruction of court- house, Washington, D. C. (50 — 50) No year.
Support of convicts 1925 1924
District of Columbia — Continued. Miscellaneous expenses,
Court of Appeals Build- ing, District of Colum-
la b' 1925 1924 1923 $20. 01
110, 00
40. 00 83. 00
100. 00 37. 88
71. 61
18& 341. 79
$24, 756. 00
2, 500. 00
190, 000. 00 25, 000. 00
87k 4
24, 756. 00 61. 50
2, 500. 00 85. 68 9. 63
128& 215. 03 38, 804. 40
[[7k 4
24, 694. 50
2, 423. 95
167, 019. 43
$20. 01
83. 00
37. 88
$79. 74
110. 00
101. 50
85. 68 90. 37
71. 61 61, 784. 97
4, 537. 39
Support of prisoners
Death chamber and appa- ratus, jail, District of Columbia
Screening doors and win- dows of jail
Writs of lunacy
1925 1924 1923
1925
1924 1925 1924 1923 1922
6& 223. 50 1, 788. 99
750. 00
25. 00 . 94
43. 76
' 95, 747. 00
10, 000 00
1 7, 668. 50 43. 75
171. 47
95, 747. 00 6, 000. 00 1, 108. 18
2, 000. 00
80. 00 7, 668. 50
67. 75 157. 83
100, 638. 88
2, 000. 00
80. 00
2, 897. 11
14. 58 43. 75
223. 50
8& 000. 00
770. 00
1. 00
Medical charities, District of Columbia
Relief of the poor 1925 1925 1924 1923
Judgments, District of Columbia (60-40) No year.
Judgments, District of Columbia (wholly Dis- trict of Columbia) do
Burial of indigent soldiers, District of Columbia 1925
1924 1923
325. 00 12. 00
3, 035. 20 1, 432. 70
4, 434. 62
17, 004. 97
500. 00
158, 000. 00 11, 500. 00
4, 434. 62
17, 004. 97
45. 00 90. 00
158, 000. 00 10, 000. 00
202. 73 8& 110. 85
7, 894. 08
4& 434. 62
17& 004. 97
135. 00
158, 000. 00
8, 092 48
12. 00
3, 542. 95
455. 00 235. 00
1, 500. 00 2, 832. 47
Transportation of paupers
Pire alarm boxes for cer- tain institutions
Salaries and expenses, Board of Charities
1925 1924 1923
1924
1925 1924
111. 46 376. 88
261. 04
978. 91
2, 000. 00
r 31, 268. 21
2, 000. 00 768. 58 50o. 06
716. 67
31, 267. 39 494 82
725. 41
716. 67
880. 99 881. 94--------------
977. 71
. 82 484. 09
Board of Children' s Guar
' dta
' ns 1925
1924 1923
1, 933. 81 ' 727. 72
r 214, 072. 50 2, 000. 00
213, 700. 30 3, 891. 31 1, $01r. o8
31& 762. 21
216, 187. 08
372. 20 42. 50
2, 132. 25
& Zxcfusfveof amount of transferred to" Civil service retirement snd disability fund, " p. 301. a provided for under "Care of Court of Appeah building" in 1925.
RECEIPTS XXD DISBURSEMBXTSr 1925
Disbrryerncnfs, baloncss, cfc. — Continued
fRepsyxnents to appmpdstions in ezcess of disbursements sre printed in ifalicsl
Appropriations from the general fund Fiscal year
appropriations svaQable in 1925
Disbmsements by years
Xppmpristions 1, 192&i
Total disbmse- amount camei ments in 1925, to surplus fund
Balances June Ig f925
Children's Hospital Columbia Hospital, Dis-
trict of Columbia
Maintenance, etc. , Colum- bia Hospital for Women, District of Columbia
1925
1925 1924
192o 1924 1928
District of Columbia — Continued. Central Dispensary and
Emergency Hospital 192o 1928 1922
$195. 00 $8, 308. 40| (")
2, 99L 15i
P)
lo, 000 00'
$8, 171. 40 2, 991. 15.
1, 08Jj. 501
15& 000. 00 97. 05
$11, 162. 55
1& 084. 50
14, 902. 951
$195. 00 $13'. 00
1, 024. 50
97. 05 88. 31
Columbia Institution for the Deaf, District of Columbia ss
Columbia PoliMchnic In- stitute
Eastern Dispensary
Florence Crittenton Home, District of Columbia
Freedmen's Hospital I
Gallinger Municipal Hos- P ital
Buildings, Gsllinger Hos- pital (60 — 40)
Garfiel Hospital
1925 1924
1925 1925 1928 1922
1925 1925 1924 1923
1925 1924 1923
Xo year. 1925 1924
8, 500. 00 11. 25
24, 049. 84 24, 551. 09
184, 463. 66
(is)
1, 500. 00( (") 6, 286. 15I
878. 85'
4, 000. (")
r 808, 76L 00
16, 117. 03
875. 001
1, 500. 00
6, 286. 15 87S. 85
2, 947. 00
293& 137. 62 19, 988. 13, 3, 427. 40
9, 999 40
. bO
87o. 00
1, 500. 00
7, 114. 50
2, 947.
816, 558. 15
9, 999. 40
1. 2 lj 1. 2o
21, 128. 69
375. 00
10, 623. 3S 4, 06L 71
16, 117. 03
174, 464. 26
. 50
Garfield Hospital, isolst- iiig ward
George Washington Uni- versity Hospital
Georgetown University HospitsL
Home for the Aged snd I nfirm
1925
1925
1925 t
1925 1924 1928
8, 897. 91 . 63
Buildings, Home for the Aged and Infirm (50— 50) Xo year. 44. 91
Site and buildings, Home for Feeble-Minded (wholly D. C. ) do
Site snd buildings, Home for Feeble-Minded (60— 40) do
Home for Feeble-Minded 1925 Hope and Help Mission 1925,
1924 8, 000. 00 1928 ! 8, 319. 56
10, 000. 00
' 96, 050. 87
30, 000. 00
' 19, 905. 00 ()
10, 00(1 00 10, 00(L 00
10, 830. 15 19, 905. 001
10, 830. . 15 19, 905. 00
96, 050. 37 3, 867. 91
/PO. 9$ 99, 467. 34
451. 57 30. 00
44. 91--------------
30, 000 00
26, 169. Sb
3, 046. 27
3, 319. 56
' Ezclusive of amount transferred to "Civil service retirement aud disability fund, " p. 30h
n Provided for under "Education of deaf, dumb, snd blind" in 1925. » Provided for under "Medical charities, 1925. "
~. S7, n additional disbmsements were made for this object under fntccfcr Departim ~
p. 95. r& pmvided fbr under "Florence Crfttenton Home, l&s. "
RECEIPTS AND DISBURSEMENTS& 1925
Disbttrsemertts, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements sre printed in ifettcr]
Appropriations from the general fund Fiscal Balances July
1, 1924 Appropriations
Appropriations available in 1926
Disbursements by years
Total disburse- ments in 1925
Amount carried to surplus fund
Balances June 30, 1925
i)istri et of Columbia — Continued. Hospital for the Insane 1925
1924 1928 1919
Industrial Home School 1925 1924 1928
Industrial Home School for Colored Children 1925
1924 1923
Buildings Industrial Home Pchool for Colored Children (60 — 40) No year.
Buildings, Industrial Home School for Colored Children (50 — 50) do
Municipal Lodging House 1925 Building, new municipal
lodging house (50 — 50) No year. . National Association for
Colored Women snd Children 1923
National Library for the Blind 1925
National Training School for Boys, contract, Dis- trict of Columbia" 1925
National Training School for Boys, District of Columbia " 1924
1923
National Training School for Girls 1925
1924 1928 1921
Buildings, National Train- ing School for Girls (50-50) No year.
Site snd buildings, Na- tional Training School for Girls (wholly Dis- trict of Columbia) do----
Site and buildings, Na- tional Training School for Girls (60 — 40) do
Reformatory 1925 1924 1923 1922 1921
Buildings, reformatory (wholly District of Co- lumbia) No year.
Buildings, reformatory (50-50) do
Providence Hospital 1925 Providence Hospital, iso-
lating ward 1925 1924
$10, 900. 95
1, 786. 50 21, 242. 85
1, 000. 00 28. 90
9, 956. 00
16& 384. 14
29& 477. 76
1. 61
10, 000. 00 3, 996. 59
1, 455. 00 389 49
440. 00
2, 000. 00
6, 084. 04 859. 29
655. 11
$1, 091, 000. 00 118, 041. 46
7 43, 976. 50
7 47, 638. 52
r 5& 983. 50
5, 000. 00
60, 000. 00
' 67, 787. 50 3, 000. 00
10. 50
23, 000. 00
r 116, 067. 50
76. 54
' 29, 999. 05
(r5)
6, 500. 00
$1, 091, 000. 00 118, 028. 18
g 00
48& 976. 50 1, 786. 50 8, 81B. BB
47, 638. 52, 1, 000. 00
806. 96
5, 988. 50
5, 000. 00
60, 000. 00
2, 089. 33
67, 787. 50 4, 455. 00 1, 808. 88
10. 50
271. 51
108, 749. 15 668. $6
1, 819. 18 166. 88 76. 54
29, 999. 05
59B. 8$
6, 500. 00 o06. 00
$1, 209, 024. 18
43, 544. 17
48, 829. 57
5, 988. 50
5, 000. 00
60, 000. 00
2, 089. 33
71, 050. 78
271. 51
106, 840. 87
29, 999. 05
69B. 84
5, 994. 00
$10, 900. 95 4. 00
23, 461. 18
882. 85
1. 61
3, 996. 59
1, 541. 71
168. 49
2, 078. 42 133. 23
$13. 33
9, 956. 00
16, 384. 14
29, 477. 76
7, 910. 67
28, 000. 00
2, 000. 00 7& 818. 35 6, 716. 50
1, 253. 35
506. 00
rvice retirement and disability fund, " p. 301.
object under "Judicial, " p. 131.
& Exclusive of amount transferred to "Civil se n Provided for under "Medical charities, 1925. ' " Additional disbursements were made for this
RECEIPTS AND DISSVRSEbgitNT4&& 1925
Disbursements, balartcss, sic. — Continued
[Repayments to appropriations in excess of disbursements sre printed in ifslicsl
Appropriations available in 1925
Appropriations from the general fund year Balances July
1, 1924 Appropriations
Disbursements by years
Total disburse- ments in 1925
A. mount carried to surplus fund
Balances June 30, 1925
$245. 51
500. 00
Temporary home for for- mer soldiers and sailors, District of Columbia
Temporary home for ex- Union soldiers and sail- rs 0
1925
1924 1928 162. 25
District of ColumNa — Continued St. Ann's Infant Asylum 1928 Southern Relief Society 1925
1924 $10, 000. 00
r 7, 691. 00
$10, 000. 00 469. 41
7, 691. 00
91). 16 80. 19
$10, 469. 41
7, 691. 00
$245. 51
242. 44
$30. 59
94. 16
Tuberculosis Hospital
Nurses' home, Tubercu- losis Hospital (60 — 40)
Washington Home for In- curables
Washington Home for Foundlings
Workhouse
1925 1924 1928 1921 1919 1918
No year.
1925 1924 1928
1923 1925 1924 1928
10, 214. 37 581. 21
14, 998. 96
84. 29
3. 27
16, 497. 98 645. 41
" 120, 815. 00
68. 75 2. 00
24. 25
' 258, 911. 00 10, 000. 00
115, 942. 53 9, 008. 85
868. 0$ 68. 75
2. 00 24. 25
14, 998. 96
$5. 7$
248, 000. 00 26, 497. 98
1& 988. 80
17/ 88
124, 478. 33
14, 998. 96
272, 584. 48
1, 099. 26
84. 29
3. 27
2, 608. 91
4, 372. 47 1, 205. 52
45. 74
10, 911. 00
Buildings, workhouse (50— 50) No year.
General administration, workhouse and reforma- tory, District of Colum- bia 1925
Workhouse and reforma- tory 1924
1928
Permanent and indefi- nite—
Extension, etc. , of streets and avenues 14 No year.
1925 1924 1928 1922
Increase cf compensa- tion, District of Co-
lumbia . 1922 1921
Increase of compensa- tion, District of Colum-
bia 1919 Refunding taxes '4 No year. Special funds "—
Escheated estates re- lief fund do
Industrial Home School fund do
WIilitia fund from fines do
Emergency fund, Washington Aque- duct 1924
17, 913. 08
218. 01
170. 33
2, 774. 22
124. 22
r 13, 316. 06
70, 000. 00
31, 967. 90
137. 82
3, 769. 15
13, 316. 06
876. 78 70, 000. 00
8, 980. go 19& 988. 19
I» 088. 99
80. 88 18. '$7
. 87 31, 967. 90
170. 33
4, 889. 62
5', 000
13, 316. 06
$7, o1
48, 160. 72
. 67 31, 967. 90
170 8
4, 889. 62
&&&, 000
213. 01
876. 72
8, 950. 45 12, 923. 12
41 088. 99
20. 66 12. 47
17, 913. 08
47. 51
137. 32
1, 653. 75
124. 22
& Exclusive of amount transferred to "Civil service retirement and disability fund, " p. 302.
&4 Payable wholly from the revenues of the District of Columbia.
&4 Provided for under "Medical charities, 1925. " " Balance returned to "Water fund, District of Columbia. "
RECEIPTS AND. DISBURSEMENTS& 1925
Disbursements, balances, etc. — Continued
[Repayments to appropriations in excess of disbursements are prinled in ffoffcs]
247
Appropriations available in 1925
3 pproprfatBms from the general fund Fiscal Balances July
1, 1924 Appropriations
Disbursements by years
T otal disburse- ments in 1926
Amount carried to surplus fund
Balances June 30, 1925
Disfrict of Columbia — Continued. Permanent and indefinite — Con.
Special funds'4 — Contd. Gasoline tax road and
street fund No year. Gasoline tax road and
street improve- ments 1925 — 26
1925
$13, 468. 38 'c $26, 206. 59'
' 125, 000. 00' 636, 258. 03
$125, 000. 00 636, 253. 03
$39, 674. 97
Increase of compen- sation, Washington Aqueduct
Site for reservoir, Fort Reno, D. C
Washington Aque- duct
1924
1924
1925 1924 1923
" 195, 000. 00 s' 8, 501. 61
(35)
195, 000. 00 8, 501. 61
$761, 253. 03
$79. 99
(29)
Water fund No year. Water department 1925
1924 1923 1922
" 157, 823. 31 ss 119 623 38
's 1. 70
(37) " 924, 010. 07 ss 37' 284 47
1, 043, 633. 45 37, 284. 47 I, 9/8. il9
1. 70
198, 501. 61
1, 078, 976. 93
157, 823. 31
Increase of compen- sation, water de- partment, District of Columbia 1924
Refunding water rents, etc No year.
Trust funds '4— Miscellaneous trust
fund deposits do Outstanding liabili-
ties do Permit fund do Policemen and fire-
men's relief fund do Redemption of as-
sessment certifi- cates do
Redemption of tax- lien certificates do
Sanitary f und do Surplus fund do Teachers' retirement
fund deductions do Washington redemp-
tion fund do Washington special
tax fund do
Less repayments to sundry accounts returned to "Water fun " d"
Total, District of Columbia
xs 500 00
294, 770. 86 7 1, 067, 617. 44
3, 308. 22 66, 887. 76 84, 907. 52
41, 904. 83 4' 33, 575. 68
1, 167. 65
. 3, 089. 07 36. 17'
863. 74'
33, 798. 87
50& 286. 37
11, 554. 94
4, 837, 741. 86
15. 00
301, 703. 83
331, 310. 23
7, 442. 08
4, 880, 299. 78 41, 220, 849. 82
. 77 . 77
500. 00 500. 00
20. 80 69, 692. 42
36, 874. 67
20. 80 69, 692. 42
36, 874. 67
282, 766. 30
348, 981. 27
" 282, 766. 80
348, 981. 27
33, 797, 069 13
1, 084, 080. 43 1, 084, 080. 43
(28)
278, 307. 87
3, 287. 42 82& 102. 86
88, 605. 84
1, 167. 65
3, 039. 07 36. 17
878. 74
52, 736. 40
32, 615. 33
11, 554. 94
$497 571. 48 , 508. 49 11, 456,
' Exclusive of arne P. 302.
unt transferred to "Civil service retirement and disability fund, " " Payabfe wholly from the revenues of the District of Columbia. » Balance returned to "Water fund, District of Columbia. " "Exclusive of $125, 000 transferred to "Gasoline tax road and street improvements, 1925-26" and $636, 445. 26 to the 1925 account. ", Transferred from " Gasoline tax road and street fund, " exclusive of $192. 23 transferred
to "Civilservice retirement and disability fund, " p. 302. " See note 30. u This amount, exclusive of $1, 400 transferred to "Civil service retirement and disa-
bfhty fund, " p. 302, was transferred from " Water fund, District of Columbia. " . " Tins amount, exclusive of $498. 39 transferred to "Civil service retirement and
@~sabBfty fund, " p. 302, was transferred from "Water fund, District of Columbia. " „"$60. 08 transferred from "Water fund, District of Columbia" was transferred io "Civil service retirement and disability fund, " p. 302. " Exclusive of $119, 623. 38 transferred to "Water department, 1925, " $1. 70 to the 1922 account and includes $7, 442. 08 repayments returned from the following appropriations:
increase of compensation, Water Department, District of Columbia, 1924 $0. 77
78270 — 26 — 17
Water department, District of Colu&nbia, 1923 $1, 942. 69 Increase of compensation, Washington Aqueduct, 1924. 472. gg Emergency fund, Washington Aqueduct, 1924 5 NN. 00 Site for reservoir, Fort Reno, D. C. , 1924 25. 63
» Appropriation of $1, 165, 923. 01 transferred to the following appropriations: Refunding water rents, etc. , District of Columbia 500. 00 Washington Aqueduct, 1925 196, 400. 00 Washington Aqueduct. , 1924 4, 000. 00 Washington Aqueduct, 1923 60. 08 W &ter department District of Columbia 1925 927 678 46 Water department, District of Columbia, 1924 . 37, 284. 47
&4 Transferred from "Water fund, District of Columbia. " && This amount, exclusive of $3, 668. 39 transferred to "Civil service retirement and dis-
ability fund, " p. 302, was transferred from "Water fund, District of Columbia. " 44 Exclusive of $57, 000. 00 transferred to annual account for 1925, p. 241. » Includes $255, 766. 30 paid by warrants on account of investments. Face amount
of investments was $1, 139, 190, as of June 30, 1925.
BBCEIPTS AIID DISBUBSMH5NTS& 1925
Disburscrtcrtfg, haktftccs, etc. — Continued
[Bepaym~ to approprfstfous in erc&sa of dh?bursements sra printed in ifahcrl
appropriations from the general fand year
appropriations available in 1925
Bslsllces July Disbmsements, ! Total disbarse-
by years '
ments in 1925 Lmoant carried to surplas land
SPECIAL ACCOI. XTS
PURcnasE oy ORLIGa TIONs oz FoREIGN GovERNMENTs
Purchase of obligations of foreign governments 'Xo year $38 , 091, 629. 05 $38, 591, 629. 05
INTEREST
Permanent and indefinite: Interest on the public
debt Xo rear. $882 215&20584)$882&014&95003'$882&014&90003] $200, 255. 81
SINKING I&UND PREMIUM
Permanent and inde6nite: Premium on the public
debt Xo rear. 358, 336. 01 358, 336. 01 358, 336. 01
Total, ordinary "' !1, 367, 672, 732. 04 3, 075, 010, 508. 80! a2, 464, 168, 872. 77 1&056&756&494. $92 j. 757, 873. 49
u &*elusive of pablic debt and Postal Servi&n. 'i Inc?udes 242, 617, 666. 69 paid by warrants on account of investments of trust funds as follows:
United States Government life insurance fund 522, 552, 709. 44 Civil service retirement and disability fend 9, 745, 622. 94
District of Columbia teachers' retirement fund dedactions 2255, 76?I 20 I&oreign Service retirement and dissbi1ity fund Nt, ?Nisi
See adjustment of warrant disbursements to basis of actual cash erpenditmcs from the genend fand, p. 275.
RECEIPTS AND DISBUESEMENTSx 1925
1Nsbttrsemenfs, balances& efc. — Continued
PUBLIC DEBT DISBURSEMENTS CHARGEABLE AGAI&NST ORDINARY RECEIPTS
Appropriations from the general fund Fiscal year
Balances July 1, 1924 Appropriations
Appropriations available in 1925 Net cash disburse-
ments, 1925 Disbursements at
par, 1925 Amount carried to
surplus fund Balances June
30, 1925
Total
Total ordinary dis- bursements includ- ing public debt dis- bursements charge- able against ordi- nary receipts
228, 974. 22
PUBLIC DEBT, PRINCIPAL
(Chargeable against ordinary receipts)
Public debt disbursements chargeable against ordi- nary receipts:
Sinking fund No year. $3. 69 Purchases of Liberty
bonds from repayments of principal by foreign governments do
Obligations retired from net earnings derived by the United States from Federal intermediate credit banks 152, 271. 20
Redemption of bonds, etc. , received as interest payments on obligations of foreign governments do
Redemption of bonds, etc. , received as repay- ments of principal by foreign governments do
Retirements from gifts, forfeitures, and other miscellaneous receipts do
Redemptions of bonds and notes from estate taxes do
Obligations retired from Federal reserve bank franchise tax receipts do 10. 46
309, o12. 71 386, 100. 00 386, 100. 00
528, 313. 30 « 680, 513. 30 680, 513. 30
185, 970, 500. 00 135, 970, 500. 00 135, 970, 500. 00
22& 823, 000. 00 22, 823, 000. 00 22, 823, 000. 00
208, 403. 95 208, 403. 95 208, 403. 95
47, 550. 00 47, 550. 00 47, 550. 00
113, 646. 58 « 113, 646. 58 113, 646. 58
466, 309, 346. 36466, 538, 113. 83 466, 538, 113. 83
2, 930, 706, 986. 60
«$306, 308, 419. 82 «$306&308, 400. 00 $306, 308, 400. 00 $23. 51
101. 58
71. 20
10. 46
206. 75
«Exclusive of 8358, 33588 for "Premium on the Public Debt. " "Includes 8528, 313. 30 for Gold Reserve against United States Notes. a For Gold Reserve against United States Notes.
250 RECEIPTS AND DISBUBSEMENTSr 1925
Disbttrserrtertfs, balrsncss, sfc. — Continued
PUBLIC DEBT PRINCIPAL (PAYABLE FROM PERMANENT INDEFINITE APPROPRIATIONS)
Appropriations (exclusive of retirements chargeable
against ordinary receipts)
Net cash dis- bursements, 1925, excluding retire-
ments chargeable against ordinary
receipts
Excluding retire- rnents chargeable aga&nst ord&nar y
receipts
Disbursements st psr, 1925
For retirements chargeable against ordinary receipts
as above
Total induding retirements
chargeable against ordinary receipts
PUBLIC DEBT PRINCIPAL (IN DEFINITE)
First Liberty loan, 3/2 per cent No year. First Liberty loan converted at 4/I4
per cent do Second Liberty loan converted at
4+4 per cent do One-year notes of 1863 do Third Liberty loan do Fourth Liberty loan do Victory Liberty loan do Loan of 1925 do Treasury notes (various rates) do Certificates of indebtedness do Treasury (war) savings securities do Gold Reserve against United States
Notes do Redemption of bank notes do Funded loan of 1907 do Loan of 1908 — 1918 do Compound interest notes do Refunding certificates do Fractional currency do
$30. 00 93& 274& 400. 00
$30. 00 93, 274, 400. 00
$30. 00 93, 274, 400. 00
6, 938, 050. 00 117, 051, 150. 00
1, 084, 889, 100. 00 1, 998, 761, 000. 00
50, 860& 514. 74
6, 938, 050. 00 117 051 150 00
1, 084, 889, 100. 00 1, 998, 761, 000. 00
50, 860, 514. 74
6, 938, 050. 00 117, 051, 150. 00
1, 084, 889, 100. 00 1, 998, 761, 000. 00
50, 860& 514. 74
, 240. 00 220. 00 80. 00
774. 41
, 240. 00 ' 220. 00' 80. 00
774. 41'
68, 974, 392. 00 1, 350. 00
22, 240. 00 220. 00
80. 00 774. 41
68, 974, 392. 00 68, 974, 392. 00 1, 360. 00 1, 350. 00
22' 22'
$3& 050. 00
2, 050. 00
28, 400. 00
18, 548, 200. 00 14, 350. 00 3, 800. 00
288, 502, 700. 00 158, 793, 500. 00
103. 95
641, 959. 88
$3, 050. 00
2, 060. 00
28, 400. 00 30. 00
111, 822, 600. 00 14, 360, 00
6, 941, 850. 00 117, 051, 160. 00
1, 373, 391, 800. 00 2, 157, 554, 500. 00
50, 860, 618. 69
641, 969. 88 68, 974, 392. 00
1, 350. 00 22, 240. 00
220. 00 80. 00
774. 41
Total 3, 420, 773, 301. 15 3, 420, 773, 301. 15 3, 420, 773, 301. 15 466, 538, 113. 83 3, 887, 311, 414. 98
RECEIPTS AND DISBURSEMENTS, 1925 251 Audited empenditures — Service of the Post Once Department
[Repayments to appropriations in excess of disbnrsements are printed in italics]
Service of the Post Office Department (as reported by the General Accounting Office)
1925 1924 1925 1922
Stated from July 1, 1924, to June 30, 1925, service of the Qscsl year— Total expenditures audited during the Steat year
Certided claims 1925
POST OFFICE DEPARTMENT& WASHINGTON& D. C.
Salaries, Post Office Department Increase of compensation, Post Office
Department Salaries:
Office of the Postmaster General Post Office Department buildings Office of the First Assistant Postmaster
General Office of the Second Assistant Post-
master General Office of the Third Assistant Post-
master General Office of the Fourth Assistant Post-
master General Office of the solicitor for the Post Office
Department Office of the chief inspector Office of the purchasing agent Bureau of Accounts
$199, 134. 99 209, 870. 62
360, 632. 88
240, 193. 45
630, 400. 16
336& 654. 36
50, 732. 26 123 596. 05 31, 148. 46 31, 885. 78
$73, 351. 85
13, 533. 99
$73, 351. 85
13, 533. 99
199, 134. 99 209, 870. 62
360, 632. 88
240, 193. 45
630, 400. 16
336, 654. 36
50, 732. 26 123, 596. 05 31, 148. 46 31, 885. 78
Total salaries Contingent expenses, Post Oflice De-
partment: Stationery Fuel, repairs, etc Telegraphing Miscellaneous items—
Miscellaneous items Motor vehicles Street car fare Telephone service Law books, etc Traveling expenses, purchasing
agent Furniture and filing cabinets
Printing snd binding, Post Office De- partment (includes Official Postal Gui e de
' e)
Hest, light, and power, Post Office Building, Washington, D. C
Claims for damages, act of Dec. 28, 1922
Total, Post Office Department
FIELD SERVICE, POST OFFICE DEPARTMENT
Once of the Postmaster General
2, 214, 249. 01 86, 885. 84
22, 359. 52 49, 621. 50
4, 938. 55
1& 051. 68 6, 667. 12
943. 44
35, 921. 80 2, 978. 10
540. 00 10, 036. 32
1, 767. 74
14, 417. 90 16. 57
952. 25 18. 10
985, 839. 64
39, 015. 33 25, 943. 57
3, 399, 392. 92
197, 439. 67
2, 600. 10
313, 005, 85
200. 74 5, 981. 10 2, 013. 18
2, 301, 134. 85
23, 411. 20 56, 288. 62
5, 881. 99
50, 339. 70 2, 994. 67
540. 00 10, 988. 57
1, 785. 84
200. 74 7, 994. 28
1& 183, 279. 31
41, 615. 43 25, 943. 57
3& 712& 398. 77
Electric power, light, etc Rewards to postal employees for inven-
tions Freight, express, or motor transportation
of equipment, etc. (includes freight on stamped paper and mail bags)
Personal or property damage claims Post-office inspectors:
Sslsri s 'es Traveling expenses Miscellaneous expenses, division head-
quarters Clerks, division headquarters
Payment of rewards: Rewards Information
Special assistant to the Attorney General I
Printing snd binding, Postal Laws and i
Regulations Travel expenses, etc. , Postmaster Gen-
eral
6, 370. 91
340. 00
249, 413. 58 3, 378. 38
1, 730, 564. 29 404, 481. 91
11, 010. 19 256, 744. 91
10, 755. 00 4, 490. 31
236. 88
1, 216. 67
1, 680. 00
20, 324. 19 8, 812. 31
130. 00 33, 060. 25
2, 201. 96
14, 110. 00 5!)8. 97 243. 75
20. 15 i
& Fiscal year 1920.
$47. 17 1, 511. 00
88. 50
20. 67
24, 352. 65
43, 724. 72
2 $40, 075. 00
$5oo. oo I
7, 587. 58
2, 020. 00
269, 784. 94 14, 201. 69
1, 730, 694. 29 437, 513. 66
13, 212. 15 256, 765. 58
91, 092. 65 3, 946. 34
243. 75
43, 724. 72
257. 03
252 RECEIPTS AND DISBURSEMENTS, 1925
Audited expenditttres — Service of the Post Office Department — Continued
[Repayments to appropriations in excess of disbursements sre printed in ttsttcs]
Service of the Post Office Department (as reported by the General Accounting Office)
1925 1924 1923 1922
Stated from July 1, 1924, to June 30, 1925, service of the fiscsl yesr—
Certified claims
Total expenditures audited during the fiscal year 1925
Office of the First Assistant Postmaster General
Compensation to postmasters Compensation to assistant postmasters Printers, mechanics, and skilled laborers Clerks, first and second class post offices:
Clerks, fir'st and second class post offices
Temporary clerk hire— Regular service Mail-handling costs
Watchmen, messengers, and laborers Clerks, contract stations Separating mails Unusual conditions at post offices Clerks, third-class post offices Rent, light, and fuel:
Regular service Claims
Miscellaneous items, first and second class post offices
Village delivery service Detroit River postal service Car fare and bicycle allowance:
Car fare and bicycle allowance Special delivery car fare
City delivery carriers: City delivery carriers Temporary city delivery carriers City delivery carriers, new offices
Street-car collection service Special delivery fees Pneumatic-tube service Vehicle service Travel expenses, etc. , First Assistant
Postmaster General
OPce of the Second Assistant Postmaster General
$47, 359, 658. 49 6, 182, 445. 61
96, 755. 01
122, 948, 251. 72
9, 556, 186. 37
5, 888, 866. 65 1, 449, 183. 11
678, 767. 71 89, 808. 95
6, 159, 215. 44
13, 502, 606. 10
893, 696. 73, 1 , 572, 918. 57
18, 000. 00
970, 784. 76 10, 296. 84
84, 265, 235. 87 ',
9, 074, 378. 44 138, 701. 69 i
7 133 254 03 I
511, 667. 52 '
15, 369, 962, 09
21. 50
$199, 642. 20 3, 682. 96
858. g. lj
82, 783. 45
86, 211. 67 50& 216. 17
5, 763. 53 1, 921. 82 7, 742. 80
19, 041. 58 17, 511. 23
465, 718. 19
84, 083. 04 20, 874. 52
6& 281. 08 191. 15
49, 854. 42 27, 946. 98
4, 605. 72 19. 25
1& 779. 49 7, 444. 71
261, 286. 18
$1, 194. 42 855. 09
836. 94
742. 58
488. 04 '9. 16 447. 50
1, 699. 89 449. 94
8, 732. 74 1, 261. 86
166. 64 8. 81
8, 019. 92 '
2, 885. 23 88$. 89
12. 16
62, 507. 58
$1, 451. 59 $47, 561, 946. 70 6, 186, 933. 66
96, 401. 57
1, 816. 80
11. 20
1, 192. 78
180. 00
2, 414. 66
126. 00 34. 94
3, 774. 36 149. 14
5. 44 1, 865. 83
620. 97
9, 644, 957, 37 50, 216. 17
5, 895, 079. 42 1, 451, 095. 77
688& 150. 29 110, Q419. 92
6, 177, 356. 61
13, 979, 471. li9 1, 261. 86
928, 022. 41 I, 593, 836. 34
18, 000. 00
985, 035. 76 10, 487. 49
84, 321, 699. 88 9, 102, 185. 22
143, 307. 41 19. 25
7, 135, 051. 12 520, 978. 06
15, 694, 326. 77
21. 50
3, 413. 98 123, 035, 286. 09
Star-route service — Alaska Power-boat service (includes ship, steam-
boat, and way letters) Railroad transportation and mail mes-
senger service: Railroad service Mail-messenger service (includes serv-
ice in lieu) Airplane service between New York and
San Francisco Railway Mail Service — Salaries Railway postal clerks — Travel allowances Railway Mail Service:
Traveling expenses Miscellaneous expenses
Electric and cable car service Foreign mail transportation:
Steamship service Aircraft service Sea post service Representative, Universal Postal Con-
gress in Europe Balances due foreign countries Assistant superintendent, Division of
F ore i go M a i le Travel expenses, etc. , Second Assistant
Postmaster General
124, 816. 99
1, 275, 397. 16
27, 152. 90
201, 903. 93
7, 974. 06
8, 633, 464. 80
2, 544, 412. 31 48, 908, 281. 07
2, 968, 287. 58
31, 479. 69
15, 474. 77 4& 751. 70
34, 586. 15
2, 848. 31
24, 554. 00 78. 59
53, 587. 92 962, 507. 96 550, 469. 17
8, 632. 98 80, 8/6. 56 1, 436. 04 88, 245. 54 1, 687. 86
6, 454, 380. 25 40, 440. 00
111, 191. 25
1, 000, 818. 38 1, 929. 00
985. 91
162, 882. 29
1, 000. 00 307, 789. 42
2, 437. 48
889. 62
641, 524. 85
107. 00 & F(seal year 1921,
178, 137. 59 $118, 616. 08
88, 669, 121. 18 10, 999, 815. 54
872. 74
151, 469. 89
1, 477, 674. 08
9. 08 12. 34
119. 00
2, 306. 57
154, 201. 11
2, 584, 450. 16 48, 913, 123. 70
3& 002, 942. 73
57, 220. 90 983, 097. 44 637, 659. 14
7, 617, 580 92 42, 369. 00
112, 177. 16
1, 000. 00 I, 400, 269. 05
2, 437. 48
946. 62
48, 036. 38 99, 719, 947 16
409. 44 8, 668, 202. 24
RECEIPTS AND DISBURSEMENTS, 1925
Audited espenditttres — Service of the Post Oflice Department — Continued
[Repayments to appropriations in excess of disbursements are printed in ffaffcs)
Service of the Post Office Department (as reported by the General Accounting Office)
1926 1924 1923 1922
Stated from July 1, 1924, to June 30, 1923, service of the Decal year—
Certified claims
Total expenditures audited during the fiscal year 1925
Once of the Ttrird Assistant Postmaster General
Manufacture of postage stamps and stamped paper:
Manufacture of postage stamps Manufacture of stamped envelopes
and newspaper wrappers Manufacture of postal cards
Distribution of stampesl envelopes and newspaper wrappers
Indemnities, domestic mail
$1, 685, 455. 07
4, 682, 146. 94 903, 368, 76
20, 926. 94
$58, 903. 57
374, 996. 59 163, 738. 80
1, 916, 762. 34 1, 205, 911. 18 $73, 916. 70 ' $4, 267. 59
15, 086. 52
$1, 744, 358. 64
6, 057, 143. 53 1, 057, 107. 55
20, 886. 29
$1, 328. 21 3, 223, 492. 23
Indemnities, international registered, mail
Travel expenses, etc. , Third Assistant Postmaster General
Unpaid money orders more than one year old
Oftt ce of I& ourth Assistant Postmaster General
5, 709. 70
753. 93
138, 041. 38
9, 386. 98
101. 30
6, 499. 69 '1, 370. 74 i
3, 098. 61 26, 066. 72
855. 23
138, 041. 38
Stationery Post office equipment and supplies:
Equipment snd supplies (includes office appliances) Equipment and furniture for post
office quarters Twine snd tying devices Shipment of supplies Labor-saving devices:
Devices Mail bags and equipment:
Mail bags, etc Star-route service Rural Delivery Service Travel expenses, etc. , Fourth Assistant
Postmaster General Adjusted losses snd contingencies, postal
funds
760, 615. 79
1, 012& 185. 12
129, 950. 66 426, 201. 79
59& 462. 19
373, 889. 69
1, 339, 170. 12 11, 597, 100. 29 92, 625, 649. 56
240. 31
54, 856. 89
31, 747. 27
185, 661. 96
5, 519. 11
83, 463. 82
75, 341. 34
440, 139. 92 1, 088, 729. 66
535, 895. 45
ik 60
410. 48
158. 79
342. 67
364. 88 88. 14
1, 438. 65
792, 363. 06
234. 84
136, 469. 77 426& 201. 79 143, 319. 64
510. 23
449, 573. 70
1& 779, 674. 92 12& 685, 918. 09 93& 163) 493. 89
224. 81
54, 856. 89
2, 841. 00 1, 200, 268. 60
Total Field Service
Total expenditures, service of the Post Office Department
615, 888, 305. 68 18, 700, 845. 99
619, 287, 698. 60 19, 013, 851. 84
621, 480. 58
621, 480. 58
187, 436. 62
187, 436. 62
226, 037. 24 635, 624, 106. 11
226, 037. 24 639, 336, 504. 88
Postal expenditures, as above Grants from the Treasury
I ess deductions for "Civil service retirement and disability
Amount paid from postal balances
Deduct (excess of expenditures over receipts).
Total postal expenditures from postal revenues
$33, 266, 977. 47 fund" 10, 266, 977. 47
t $23, 000, 000. 00 16, 745, 027. 29
$639, 336, 504. 88
39, 745, 027. 29
599, 591, 477. 59
' Fiscal year 1921. ' Fiscal year 1920. ' &xcius&ve of other payments from the general fund of the Treasury on account of the postal Service amounting to 3313, 723. 41. See pp. 132, 133. Salaries and contingent ex- penses for the Post Office Dep'artment beginning with the fiscal year 1924 were paid from Postal Revenues.
RECEIPTS AND DISBURSEMENTS, 1925
Recapitulation of Disbursements, Balances, etc. , Fiscal Year 19o5
"Disbursements" ss used in thisstatement, sre on the basis of warrants issued (net), snd include unexpended balances to the credit of disbursing officers at the end of the year but not expenditures under such unexpended balances at the beginning of the year. See adjustment of warrants disbursements to basis of actual cash expenditures from the general fund, p. 273. ]
[Repayments to appropriations in excess of disbursements are printed in italics]
Appropriations available in 1925
Appropriations from the general fund
Balances July 1, 1924 Appropriations
Total disbursements in 1925
Amount carried to surplus fund
Balances June 30& 1923
FOR CURRENT EXPENSES AND CAPITAL OUTLAYS
LEGISLATIVE
(Details on pp. 40 to 47)
United Siates Senate: 1925 No year (continuous) Prior years
$1, 587. 78
267, 709. 22
$8, 393, 808. 80 25, 465. 00
100, 000. 00
$2, 659, 530. 48 21, 959. 62 61, 317. 18 $118, 717. 57
$735, 866. 15 8, 505. 38
18?, 674. 47
Total 269, 297. 00 8, 519, 273. 80' 2, 742, 807. 23 118, 717. 57 927, 046, 00
House of Representatives: 1925 No year (continuous) Prior years
2, 000. 00 121, 333. 54
9, 782, 719. 90 51, 8?2. 84 44, 881. 12
6, 822, 802. 68 51, 872. 34 58, ?8L 81& 122, 941. 65
2, 959, 917. 27 2, 000. 00
102, 084. 35
Total 123, 333. 54 9, 879, 473. 36 6, 815, 913. 68 122, 941. 65 8, 068, 951. 62
Legislative, mtscellaneous: 1925 No year (continuous)
Total
38, 686. 11
88, 686. 11
62, 000. 00 151, 062. 50
213, 062. 50
55 705 95 28, 495. 88
84, 201. 78
6, 294. 05 161, 252. 78
167, 546. 83
Architect of the Capitol: 1925 Prior years
Total
260, 261. 95 1, 335, 803. 50
58& 958. 70
260, 261. 95 1, 889, 762. 20
1, 046, 764. 45 257& 776. 82
1, 804, 541. 27
22, 012. 46
22, 012. 46
289, 039. 05 34, 431. 37
823, 470. 42
Botanic Gardenr 1925 Prior years
Total
Library of Congress: 1925 No year (continuous) Prior years
23, 091. 00
23, 091. 00
20, 502. 60 18, 515. 70
99, 612. 00
99, 612. 00
1, 212, 188. 80 88, 850. 00
99. 38
91, 664. 60 10, 440. 01
102, 104. 61
1, 206, 528. 25 57, 000. 00
3, 762. 29
6, 210. 58
6, 210. 58
7, 192. 83
7, 947. 40 6& 440. 41
14, 887. 81
5, 615. 55 52, 352. 60
7, 660. 46
Total 39, 018. 30 1, 301, 088. 18 1, 267, 285. 54 7, 192. 38 65, 628. 61
Government Printing Opcer 1925 Prior years 1, 102, 447. 65
2, 508, 728. 00 3, 453. 17
1, 521, 427. 851 304, 961. 12 558, 514. 68
982, 300. 15 242, 425. 02
Total 1& 102& 447. 65 2, 507, 181. 17 1, 826, 888. 97 558, 514. 68', 1, 224, 725. 17
Total, Legislative— 1925 No year (continuous) Prior years
1, 587. 78 61, 188. 71
1, 798, 359. 06
18, 389, 811. 00 817, 249. 84 202, 892. 87
13', 404, 419. 16 159, 327. 79 579, 496. 08 835, 589. 27
4, 986, 979. 62 219, 110. 76 580, 666. 08
EXECVTIVE OFFICE
(Details on p. 48)
1, 856, 185. 55 18, 909, 458. 21 14, 148, 243. 08 835, 589. 27 5, 786, 756. 46
Executive 01jjce: 1925 No year (continuous) Prior years
Total
10, 860. 78 47, 015. 42
57, 876. 20
450, 670. 50'
450, 670. 50
424, 491. 13 26, 179. 37 3, 395. 61
28, 762. 88
&8, 3&7. 8& 20, 855. 87 429, 852. 97
7, 465. 17 8, 108. 88, 20& 355. S7
RECEIPTS ANIJ DISBURSEMENTS& 1926
Recapitulation of Disbursements, Balances, etc. , Fiscal Year 1995
[Repayments to appropriations in excess of disbursements are printed in italics]
255
Appropriations availablc in 1925
Appropriations from the general fund Balances July 1, 1924 Appropriations
Total disbursements in i Amount carried to
1926 surplus fund Balances June
30, 1926
INDEPENDENT OPPICES
(Details on pp. 49 to 62)
Alaska relief funds: No year (continuous)
Alien Property Custodian: 1925 Prior years
Total
American Battle Monuments Commission: 1925 Prior years
Total
Arlington Memorial Amphitheater Com- mission:
No year (continuous)
Arlington Memorial Bridge: No year (continuous)
Board of Mediation and Conciliation: Prior years
Bureau of Efliciencyr 1925 Prior years
Total
Civil Service Commission: 1925 Prior years
Total
Commission of Fine Arts: 1926 Prior years
Total
Employees' Compensation Commission: 1925 No year (continuous) Prior years
Total
$30, 023. 62
48, 989. 45
48, 989. 45
73& 734. 50
73, 734. 50
473. 67
6, 888. 50
6, 888. 50
81, 025. 38
81, 025. 38
811. 29
311. 29
20. 00 139& 449. 71
139, 469. 71
$19, 629. 34
222, 500. 00
222, 500. 00
25, 000. 00 474, 860. 65
499, 860. 65
500, 000. 00
5. 42
153, 000. 00
158, 000. 00
997, 035. 00 2. 31
997, 087. 31
5, 264. 50
5& 264. 50
2, 649, 010. 00
500. 00
2 649 510 00
$15, 921. 85
200, 687. 64 81. 98
200, 666. 66
25, 000 00
25, 000. 00
8. 15
10, 000. 00
5. 42
147& 558. 42 8, 091. 1'
144, 537. 00
971, 124. 31 10, 114. 55
981, 238. 86
5, 238. 00 1lp6. 51
5, 091. 49
2, 467, 514. 87 889. 50
135, 008. 10
2, 601, 628. 47
$47, 449. 94
47, 449. 94
2, 091. 16
2, 091. 16
65, 778. 56
65, 778. 56
58. 29
58. 29
3, 015. 56
3, 015. 56
$33, 731. 11
21, 812. 36 1, 561. 49
23, 373. 85
548, 595. 16
548, 595. 15
476. 82
490, 000. 00
5& 441. 58 ' 7, 818. 76
13, 260. 34
25, 910. 69 5, 134. 58
31, 045. 27
26. 50 899. 51
426. 01
181, 495. 13 909. 50
1, 931. 05
184, 336. 68
Federal Board for Vocational Education: 192 6 Prior years 1, 883& 079. 18
7, 821, 000. 00 . 45
6, 646, 101. 33 78, 810 83 1, 009, 679 24
674, 898- 67 794, 589. 56
Total
Federal Oil Conservation Board: 1926-26
1, 883, 079. 18 7, 321& 000. 45
50, 000. 00
6, 724, 912. 16 1, 009, 679. 24 1, 469, 488. 23
50, 000. 00
Federal Poiver Commission: 1925 No year (continuous) Prior years
44, 885. 12 11, 468. 51
10, 842 20 4, 381. 14
9 317. 00
, 935. 21, 18, 782. 211------ —--------- 4
1, 525. 20 30, 484. 05
6, 533. 30
Total 56, 858. 68 15, 223. 34 33, 034. 42 38 542 55
Federal Reserve Board: No year (continuous) 141, 572. 84I 1, 869, 374. 71 1, 676, 733. 21 334, 214. 34
256 RECEIPTS AND DISBURSEMENTS& 1925
Recapitulation of Disbursements; Balances, etc. , Fiscal Year f988 — Continued
[Payments to appropriations in excess of disbursements sre printed in tfslfcs]
Appropriations available in 1925
Appropriations from the general fund
Balances July I, 1924 Appropriations
Total disbursements in 1925
Amount carried to surplus fund
Balances June 3I), 1925
INDEPENDENT oFFIcE — con'lilnueti
Federal Trade Commission: 1925 Prior years
Total
General Accounting OfIL cel 1925 Prior years
TotaL
United States Housing Corporation: 1925 No year (continuous) Prior years
Total
Interstate Commerce Commission: 1925 No year (continuous) Prior years
Total
Interstate Governmental Commission, Colo- rado River:
Prior years
National Advisory Committee for Aero- nautics:
1925 Prior years
Total
Perry's Victory Memorial Commission: 1925
$28, 979. 50
28, 979. 50
531, 450. 84
531, 450. 84
1, 957. 00 305, 377. 18
307, 334. 18
68, 207. 87 311, 198. 79
379, 406. 66
179. 72
16, 829. 96
16, 829. 96
$999, 350. 00
999, 350. 00
3, 769, 852. 00
3& 769, 852. 00
882, 415. 00 18. 57
500. 00
882, 933. 57
4, 959& 388. 30 I, 137, 872. 54
47. 01
6, 097, 307. 85
464, 227. 37
464, 227. 37
99, 185. 00
$995, 073. 68 8, 98o. I)9
991, 148. 19
3, 645, 240. 95 24, 008. 14
3, 669, 249. 09
675, 855. 89 1& 871. 57 4& 348. 46
682, 075. 92
4, 540, 324. 62 1, 206, 029. 78
105, 914. 82
5, 852, 269. 22
374, 342. 20 8, 463. 76
382, 805. 96
50, 000. 00
$3, 799. 26
3, 799. 26
348, 619. 51
348, 619. 51
91& 240. 06
91, 240. 06
67, 262. 01
67& 262. 01
179. 72
1, 161. 16
1, 161, 16
$4, 276. 32 291 105. 73
33& 382. 06
124, 611. 05 158, 823. 19
283, 434. 24
206, 559. 11 104. 00
210, 288. 66
416, 951. 77
419, 063. 68 50. 63
138, 068. 97
557, 183. 28
89, 885. 17 7, 205, 04
97, 090. 21
49, 185. 00
Railroad Administration and Transporta- tion Act:
No year (continuous) 462& 211& 284. 46 23, 643& 619. 60 18$& 671& 788. 68 440, 000, 000. 00 180, 426, 636 59
Railroad Labor Board: 1925 Prior years
Total
Smithsonian Institution: 1925 No year (continuous) Prior years
Total
National Museum: 1925 Prior years
Total
Oflice of Public Buildings and Public Parks of the National Capital: '
1925 No year (continuous) Prior ears Rrs
46, 175. 16
46, 175. 16
1, 000, 000. 00 20, 661. 92
1, 020, 661. 92
5, 305. 26
5, 305. 26
125, 000. 00 114, 371. 89 278, 090. 11
517, 462. 00
321, 000. 00 27. 78
321, 027. 78
258, 911. 48 60, 000. 00
1. 56
318, 913. 04
535, 815. 12 81. 76
535, 896. 88
2, 504, 223. 73
25, 408. 03
2, 529, 631. 76
301, 659. 47 10, 988. 21
312, 647. 68
197, 709. 03 60, 000. 00
4, 096. 73
261, 805. 76
528, 533. 60 1, 702. 89
530, 236. 49
2, 441, 503. 06 4, 000. 00
8O, O7O. Og
2, 415, 433. 00
2, 089. 59
2, 089. 59
7, 303. 71
7, 303. 71
2, 768. 46
2, 768. 46
287, 155. 39
287, 155. 39
19, 340. 53 33, 126. 14
52, 465. 67
61, 202. 46 1, 000, 000. 00
9, 263. 04
1, 070, 466 49
7, 281. 62 915, 67
8, 197 19
187, 720 67 110 371 89 46, 4)2. 8)
344, 605 37
The OSre of Superinte"dent of the State, War, and Navy Department Buildings and the Oflice of Public Buildings and grounds under the Chief of Fngineers, U. 8. Allay& p. 219, were consolidated under the above title by act of Feb. 25, 1925 (43 Stat. , p. 933),
RECEIPTS AND DISBURSEMENTS) 1925 257
Recapitulation of Disbursements, Balances, etc. , Fiscal Year 1Mb — Continued
lRepsyments to appropriations in excess of disbursements sre printed in ftalics]
Appropriations from the general fund
Appropriations availab)e in 1925 Total disbursements in
1925 Amount carried to
surplus fund Balances June
30, 1925 Balances July 1, 1924 Appropriations
INDEPENDENT oFFIGE8 continued
United States Coal Commission: Prior years
United States Food and Fuel Administra- tions:
No year (continuous) Prior years
Total
$12, 210. 11
4. 20
4. 20
$6, 606. 74
6, 606. 74
$6. 75
6, 606. 74
6, 606. 74
$123. 27 $12, 080. 09
4. 20
4. 20
United States Shipping Board: 1925 No year (continuous) Prior years
56, 208, 656. 23 1, 156, 124. 41
80, 841, 090. 50 3, 287, 430. 35
80, 880, 439. 05 11, 080, 153. 18 43, 577. 74
81&, 901. 08 80, 153. 76
10, 651. 45 48, 322, 355. 66
1, 100, 871. 67
Total 57, 364, 780. 64 38, 578, 520. 85 41& 885, 691. 21 123, 781. 50 49, 438, 878. 78
United States Tari ff Commission: 1925 Prior years
Total
77, 088. 96
77, 088. 96
679, 740. 00
679& 740. 00 655, 677. 64 51& 494. 32
689, 184. 95 16, 492. 69 51, 494. 82
40, 555. 05 9, 101. 95
49, 657. 00
United States Veterans' Bureau: 1925 No year (continuous) Prior years
Total
War Finance Corporation: No year (continuous)
Waterways Commission: No year (continuous)
2, 800, 000. 00& 847& 827, 895. 58 78, 992, 096. 88 170, 591, 240. 75 59, 065, 315. 29 6, 188, 258. 41
140, 857, 412. 12 524, 606, 889. 74
100, 000. 00
306, 698, 746. 07 217, 956, 068. 12 168, 452. 89
6, 844, 574. 06 22, 116, 810. 20
580, 994& 388. 25 22, 285& 262. 59
1r99) 000& 000. 00 499, 000. 000. 00
43, 933, 649. 51 31, 458, 817. 07 36& 792, 184. 44
112, 184, 651. 02
100, 000. 00
Miscellaneous commissions, boards, etc. : 1 2 92 25 No year (continuous) Prior years
Total
247, 616. 21 5, 808. 87
258& 419. 58
196& 000. 00 1871 304. 70
84. 13
383, 388. 88
50, 864. 19 ] 27, 118. 39
172. 23
178, 154. 81
1& 349. 98
1) 349. 98
145, 135. 81 257, 802. 52
4, 365. 29
407, 803. 62
Total Independent Offices— 1 25 9 5&
No year (continuous) Prior years
2, 925, 000. 00 599, 161, 165. 74
64, 105, 741. 30
405, 272, 245. 78 201, 207, 478. 44
6, 689, 772. 51
861, 987, 018. 83 1)01) 409& 81&0. 18 939, 212, 030. 13
6, 687, 551. 87 24, 189, 588. 15
46, 260, 227. 45 262, 565, 954. 18
89, 918& 379. 29
666, 191& 907. 04 618, 169, 496. 73 88, 781, 770. 18 968, 401, 618. 28 848, 744, 560. 92
DEPARTMENT OF AGRICULTURE
(Details on pp. 53 to 71)
Salarie and miscellaneous: 1925 No year (continuous) Prior years
100, 000. 00 88, 548, 406. 49
8, 981& 409. 11
51, 970, 660. 50 30, 756, 955. 98
3, 642, 866. 88
44, 824, 525 87 10g, 518, 585 78
5, 884, 692. 65 2, 458, 098. 01
7, 246& 184. 63 9, 786, 776. 69 4' 735, 985. 28
Total, Department of Agriculture
DEPARTMENT OF COMMERCE
(Details on pp. 71 to 81)
97, 579, 815. 60 86, 869, 988. 81 159, 727, 804. 30 2, 458, 098. 01 21, 768, 896. 60
Once of the Secretariat 1925 No year (continuous) Prior years
Total
324. 46 184, 728. 02
185, 052. 48
1, 095, 605. 04
1, 095, 605. 04
852, 844. 79
157, 155 94
1, 010, 000. 73
14, 030. 95
14, 030. 95
242, 760. 25 324. 46
13, 541 18
256, 625. 84
258 RECEIPTS AND DISBURSEMENTS& 1925
Recapitulation of Disbursements, Balances, etc. , Fiscal Year 1885 — Cont'inued
[Repayments to appropriations in excess of disbursements sre printed in italicsl
Appropriations from the general fund
Balances July 1, 1924 Appropriations
Appropriations available in 1925 Total disbursements in
1925 Amount carried to
surplus fund Balances June
20, 1925
DEPARTMENT OF COMMERCE — continued
Bureau of Foreign and Domestic Commerce: 192 5 Prior years
Total
Bureau of the Census: 1925 Prior years
Total
$212 012. 57
212, 012. 57
223, 009. 53
223, 009. 53
$2, 805, 310. 00 1, 599. 25
2, 806, 909. 25
5, 307, 376. 00 796. 69
5, 308, 172. 69
$2, 683, 016. 75 5, 51'. 15
2, 677, 502. 60
4, 796, 424. 01 48, 762. 03
4, 845, 186. 04
$57, 517. 49
57, 517. 49
132& 929. 27
132, 929. 27
$122, 293. 26 1161, 608. 48
283, 901. 73
510, 951. 99 42, 114. 92
553, 066. 91
Steamboat Inspection Service: 1925 Prior years 106, 234. 12
1, 028, 287. 00 2. 92
978, 222. 60 46, 135. 13 34, 119. 31
50, 064. 40 25, 982. 60
Total 106, 234. 12 1& 028, 289. 92 1, 024, 357. 73 34, 119. 31 76. 047. 00
Bureau of Navigation: 1925 Prior years 32, 341. 87
490, 197. 58 3. 94
462, 034. 961 21, 413. 45 7, 881. 06
28, 162. 62 3& 051. 30
Total 32& 341. 87 490& 201. 52 483, 448. 41 7, 881. 06 31& 213. 92
Bureau of Standards: 1925 Prior years 233, 258. 84
1, 917& 677. 00 846. 00
1, 793, 416. 95 113, 296. 62 75, 672. 48
124, 260. 05 45, 135. 74
Total 233, 258. 84 1, 918, 523. 00 1, 906, 713. 57 75, 672. 48 169, 395. 79
Bureau of Iighthouses: 1925 No year (continuous) Prior years
1, 139, 980. 55 613, 438. 28
8, 903, 862. 78 573, 778. 24
2, 405. 33
8, 501, 647. 33' 636, 037. 431 2, 896. 62 276, 607. 33 240, 965. 34
402, 215, 46 1, 074, 824. 74
98, 270. 94
Total
Coast, and Geodetic Surveyt 1925 No year (continuous) Prior years
Total
1, 753, 418. 83
3, 272. 58 543, 421. 97
546, 694. 56
9, 480, 046. 35
2, 358, 898. 43 503. 34 384. 95
2, 359, 786. 72
9, 414, 292. 09
2, 208, 092. 83 487. 39
54, 325. 52
2, 262, 905. 74
243, 861. 96
297, 275. 13
297, 275. 13
1, 575, 311. 13
150, 805. 60 3, 288. 53
192, 206. 27
346, 300. 40
Bureau of Fisheries: 1925 No year (continuous) Prior years
Total
Patent OPce: '-
1925 Prior years
Total
32, 419. 10 31, 827. 28
200, 913. 44
265& 159. 82
75, 000. 00 148, 125. 25
223, 125. 25
1, 330, 345. 00
55, 055. 08
00
1, 001, 912. 08
1, 001, 912. 08
1, 204, 039. 11 402. 21
160, 634. 85 39& 647. 08
158, 724, 99 31, 425. 07 55, 686. 59
245, 836, 66
181, 459. 95 52, 168, 69
39, 647. 08 1, 365, 076. 17
50, 692. 91 940, 715. 78 233& 628. 64
895, 452. 13 45, 263. 65 50, 692. 91
Com merce, miscellaneous: No year (continuous) Prior years
Total
7, 500. 00 141, 709. 58
149, 209. 58
5, 279. 43 . 22
5, 279. 65
12, 779. 43 949. 97
13, 729. 40
52, 281. 38
52, 281. 38
88, 478 45
88, 478. 45
Total, Depart ment of Commerce— 1 2 92 25 No year (continuous) Prior years
107, 419. 10 1, 182, 904. 87 2, 639, 193. 47
26, 239, 470. 91 579, 561. 01
61, 094. 38
24, 375, 191. 46 649, 706. 46 2, 896. 62 919, 030. 34 1, 003, 012. 40
1, 971, 698 65
1, 109, 862. 80 778, 246. 11
26, 880, 126. 30 3, 859, 806, 46 3, 929, 517. 44
& By Executive order of Eisr. 17, 1925, the Patent Office, with available balan 1925. For additional transactions under the Department of the Interior, see p. 87.
25, 943, 928. 26 1, 005, 909. 02
ces and appropriations, wes transferred to the Department of Commerce, under date of Apr
RECEIPTS AND DISBURSEMENTS& 1~ Recapitulation of Disbursements, Balances, etc. , Pisca/ Year 1985 — Continued
[Repayments to appropriations in excess of disbursements sre printed in italics]
259
Appropriations available in 1925
Appropriations from the seneral fund Balances July I, 1924 Appropriations
Total disbursements in 1925
Amount carried to surplus fund
Balances June 30, 1925
DEPABTMENT OF THE INTERIOR
(Details on pp. 82 to 97)
Opia of the Secretary: 1925 Prior years
Total
$447, 724. 62
447, 724. 62
$1, 545, 139. 61 75, 000. 00
1, 620& 139. 61
$» 399, 782. 10 229, 313. 18
1, 629, 095. 28
$70, 853. 83
70, 853. 83
$145, 357. 51 222, 557. 61
367& 915. 12
General Land 01Irtcef 1925 Prior years 150, 198. 12
897, 420. 00 771, 780. 61 17, 819. 81 46, 776. 43
125& 639. 39 85, 601. 88
Total 150, 198. 12 897& 420. 00 789& 600. 42 46, 776. 43 211, 241. 27
Public-land Seroice: 1925 No year (continuous) Prior years
9) 245, 209. 90 352& 549. 50
2, 244, 085. 00 4, 586, 194. 62
1, 706. 80
2, 005& 980. 32 4, 776, 759. 41 15& 686. 67
37, 639. 70 197, 474. 60
238, 104. 68 9, 038, 958. 44
119, 142. 00
Total
Bureau of Pensions: 1925 No year (continuous) Prior years
9, 597, 759. 40
12, 732. 28 1, 698& 941. 23
28, 329, 766. 37
6, 831, 986. 42
224, 655, 297. 72 18, 415, 350. 01
63, 000. 00
6, 820, 379. 43
220, 130& 224. 39 ' 18& 627& 174. 35 199& 81&lj. !&5
213, 161. 27
5, 288, 327. 29
9, 396) 205. 12
4& 537& 805. 61 1, 487, 116. 89
23, 303, 683. 53
Total
Patent Once. s 1925 Prior years
Total
30, 04» 439. 88
144, 839. 25
144& 839. 25
243, 133, 647. 73
1, 880, 983. 31
1, 880, 983. 31
238, 558& 154. 29 5& 288, 327. 29
1, 880, 983. 31 144, 839. 25
2, 025, 822. 56
29, 328, 606. 03
Architect of the Capitol: No year (continuous)
Reclamation Sersice: No year (continuous) Prior years
Total
2, 198, 581. 48
4, 013, 537. 96 76, 575. 38
4, 090, 113. 34
5, 644, 872. 07
5, 644& 872. 07
8, 003. 20
3, 836, 520. 30 62, 772. 77
3, 899, 293. 07
352, 805. 41
71, 999. 48
7» 999. 48
1, 837, 772. 87
5, 749, 890. 25 13, 802. 61
5, 763, 692. 86
Geological Sursey: 1925 Prior years
To 1 ta
Bureau of Mincer 1925 No year (continuous) Prior years
333, 722. 00 111, 479. 98
445, 201. 98
1, 940, 822. 05 818, 705. 86
1, 362, 410. 72 88. 66
1, 362, 499. 38
2, 086, 473. 00
912. 57
1, 601, 283. 45 63, 986. 57 12) 074. 94
1& 665, 270. 02 12, 074. 94
1, 801, 231 80---------------- 757, 921. 22 655. 67 194, 813. 47 8, 866. 10
94, 849. 27 35, 507. 13
130, 356. 40
285, 241. 20 1, 182, 245. 16
615, 938. 86
Total 2, 759, 527. 91 2, 087, 385. 57 2, 753, 966. 49 9) 521. 77 2, 083, 425. 22
National Parks: 1925 No year (continuous) Prior ears
118, 636. 04 659, 036. 53
3, 235, 245 25 345. 00
1, 003, 012. 99
1, 787, 310 29 26, 429. 20
766, 080. 81 16, 485. 10
1, 447, 934. 96 92, 551. 84
879, 483. 61
Total 777, 672. 57 4, 238, 603. 24 2, 579, 820. 30 16, 485. 10 2, 419, 970. 41
Bureau of gducatirrnf 1925 No year (continuous)
or ears 62, 485. 10',
536, 143. 44
791, 559. 00 2, 599) 112. 09
72, 931. 00
231, 019. 31 2, 618, 653. 52
493, 210. 82 6, 804. 60
560, 539 69 42, 943. 67
109, 059 02
Total 598, 628. 54' 3, 463, 602. 09 3, 342, 883. 65 6, 804. 60 712, 542. 38
1 By Executive order of Msr. 17, 1925 the Patent 0 1925. For additional tsnsactions under the Depsrtinent ' Includes 89, 745, 522. 04 paid by warrants on account o
fBce, wi th svaUsble balances snd appropriations, wss transferred to the Department of Commerce, under date of Apr. 1, of Commerce see p 80 f investments of trust funds.
BECEIPTS KND DISBVRSEMZNTS& 1925
Recapitulation of Disbursements, Balances, etc. , Fiscal Year 1988 — Continued
[Repsym(mts to appropriations in excess of disbursements are printed in itswcs]
appropriations fmm the general fund
nxtxaxt TMxtxr oP Txxz xNrxtnxon — continued
Xppropristions svsBsble in 1925
Balances July 1, 1924 Xppropristious
Total disbtusements in ( amount eanied to
! 1925 surplus fund
I
Bahmees June 59& 1925
Beneficiaries: 1925 Wo year (continuous) Prior years
$922, 412. 76 121, 502. 09
$1, 452, 257. 50 426, 086. 47
127. 0
$1, 311, 056. 26 373, 707. 75 9* 86~& 11 $93, 602.
$141, 201. 24 974, 79L 48
52, 38(I 71
Total 1, 043, 914 85 1, 878, 471. 02 I, 660, 409. 90 93& 602. I, 168, 373. 43
Government in( the Territories: 1925 Prior years
Total
Alaska Railroadf 1925 No year (continuous) PI1or years
Total
Interior Civil, miscellaneous: No year (continuous) Prior years
Total
Total, Department of the Interior, including Pensions—
1 92o No year (continuous) Prior years
7, 326. 57
(. 326. 57
498, 108. 25 570, 595. 33
1, 068, 703. 5
26, 719. 67
26, 719. 67
346, 454. 20, 725, 454. 32, 326, 443.
283, 914. 00 9, 500. 00
293, 414. 00
900& 046. 81 927, 353. 19
1& 827, 400. 00
2, 316. 31 58. 7
2, 375. 03
241, 334, 831. 92 32, 601, 629. 76
1, 226, 337. 79
265, 767. 00, 10, 477. 16' 3, 42L 341
276, 244. 16: 3, 421. 3
900, 046. 81 630, 055. 53; 570, 595. 33
2, 100, 697. 67
21, 121. 56 58. 72
21, 180. 28'
234, 086, 465 65!---------------- i 31, 676, 346. 04 441, 147. 23
2, 368, 009. 03 5, 744, 686. 77
18& 14?. QQ
2, 928. Q7
21, 0(5, 07
795, 405 91
795, 405. 91
7, 914. 42
(, 914. 42
7, 594, 820. 55 21, 209, 59(l 93 25, 440, 085 03
xNnxsN (tppaxns
fDetsih on pp. 97 to 125)
53, 398, 351. 76 2?5, 162, 799. 47 268, 130, 820. 72 6, 185, 834. 54, 244, 496. 51
Salaries, current and contingent ezpensesf 1925 Prior years 403, 812. 02
l. 838, 261. 80 ~ 169. 15
1, 678, 298. 67 8, 865. 86 246, 633. 63
159, 963. 13 148, 481. 68
Total 408& 812. 02 1, 838, 430. 95 1, 687, 164. 53! 246, 633. 63 308, 444. 81
Fulfilling treaty stipulations and treaty sup- porfs:
1925 No year (continuous) Prior years
78, 416. 48 179, 248. 12
885, 638. 61, 020.
23K 0
785, 784. 19 83, 551. 3
8, 778. 51 137, 545. 03
99, 854. 06 55, 885. 14 50, 714. 66
Total 257, 664. 60 946, 896. 31 860, 562. 02 137, 545. 03 206, 453. 86
jdisceganeous supports: 1 925 No year (continuous) Prior years
5, 508. 28 54, 517. 94
789, 383. 23'
13L 491
767, 573. 97 4, 607. 80
19, Ii18. 86I 35, 442. 05
21, 809. 26 900. 48
31, 626. 24
Total 60& 026 221 789& 514 72 759, 762. 91 35, 442, 05 54, 335. 98
Trust funds: Xo year (continuous) 24, 349. 428. 9 31, 457, 304. 86 25, 267, 354. 56 30, 539, 379 22
Interest accounts: Xo year (continuous) ( 73, 043. 23 754, 679. 39 796, 104. 041 ---------I 731, 6IL58
Support of Indian Schools: 192 5 Xo year (continuous) Prior years
69, 878. 69 334, 654. 66
5, 885, 630. 17i 1, 47& 52,
14, 461. 591
5 538 064 931 16, 694. 911 5 349»
2, 685. 74' 161, 82L 42
347, 565. 24 49, 310. 22
184, 609. 09
Total 404, 533. 35 5, 901, 567. 281 5, 557, 445 58 167, 170. 50 581, 484 55
RECEIPTS AND DISBURSEMENTS, 1925
recapitulation of Disbursements, Balances, etc. , Fiscal Year 198t) — Continued
[Repayments to appropriations in excess of disbursements sre printed in ifslicr]
261
Appropriations available in 1925
Appropr)stions from the general fund
Balances July 1, 1924 Appropriations
Total disbursements in 1925
Amount carried to surplus fund
Balsnoes June 30, 1925
INDIAN AFFAIRs — continued
Miscellaneous expenses of Indian Service: 1925 No year (continuous) Prior years
$584, 946. 00 796, 650. 07
$3) 924& 046. 58 636, 091. 95 105, 903. 05
512, 808. 74 $163, 712. 36 252, 329. 68 218, 613. 93
$862, 121. 82 544, 516. 85 431, 609. 51
Total 1, 381, 596. 07 4, 666, 041. 58 3, 827, 063. 18 382, 326. 29 1, 838, 248. 18
Total, Indian Affairs— 1925 No year (continuous) Prior years
25, 861, 221. 60 1, 768, 882. 81
13, 322, 960. 03 32, 910, 571. 72
120, 903. 34
11& 831) 646. 52 1, 491, 313. 51 261 681) 121. 39 169, 061, 44 31, 921, 610. 49
242, 688. 91 800, 056. 06 847, 041. 18
27& 630, 104. 41 46, 354, 435. 09 38, 755, 456. 82 969& 117. 50 34, 259, 965. 18
Total, Department of the Interior, including Pensions and Indian Atfairs—
1925 No year (continuous) Prior years
346, 454. 28 46, 586, 676. 04 34, 095, 325. 85
254, 657, 791. 95 65, 512, 201. 48
1) 347, 241. 13
245, 918, 112. 171 ' 58, 357, 467. 43 610, 208. 67 2, 610, 697. 94 6, 544, 742. 83
9, 086, 134. 06 53, 131, 201. 42 26, 287, 126. 21
DEPARTMENT OF JUSTICE
(Details on pp. 125 to 127)
81, 028, 456. 17 321, 517, 234. 56 306, 886, 277. 54 7, 154, 951. 50 88, 504, 461. 69
Salaries and miscellaneous: 1 925 No year (continuous) Prior years
2, 950. 64 499, 122. 07
4, 268, 376. 00 25, 223. 12 35, 651. 72
4, 109, 408. 29 24, 343. 12
118, 022. 72 283, 749. 19
158, 967. 71 3, 830. 64
133, 001. 88
Total Department of Justice
JUDICIAL
(Dotal)s on pp. 127 to 181)
502, 072. 71 4, 329, 250. 84 4, 251, 774. 13 283, 749. 19 295, 800. 23
Salaries and miscellaneous: 192 5 No year (continuous) Prior years
152, 492. 78 1, 915, 863. 38
20, 304, 245. 50 4, 913. 94
619, 433. 05
18, 063, 937. 31 ---------------- 52, 223. 02 531. 05
1, 029, 173. 44 512, 384. 31
2, 240, 308. 19 104, 652. 65 993, 738. 68
Total, JudiciaL 2, 068, 356. 16 20, 928, 592. 49 19, 145, 333. 77 512, 915. 36 3, 338, 699. 52
Total, Department of Justice, eluding Judicial—
192 5 No year (continuous) Prior years
ln-
155, 443. 42 2, 414, 985. 45
24, 572, 621. 50 30, 137. 06
655, 084. 77
22, 173, 345. 60---------------- 76, 566. 14 531. 05
1, 147, 196. 16 796, 133. 50
2 399 275 90 108, 483. 29
1, 126, 740. 56
DEPARTMENT OF LABOR
(Details on pp. 182 to 134)
2, 570, 428. 87 25, 257, 848. 33 23, 397, 107. 90 796, 664. 55 3, 634, 499. 75
Once of the Secretary: 1925 Prior ears yea s
TotaL
Bureau of Labor Statisticsr 1925 Prior yea&rs
Total
155, 540. 15
155, 540. 15
6, 333. 63
6, 333. 63
672, 602. 50 . 60
672, 603. 10
282. 280. 00
282, 280. 00
586, 336. 18 76, 293. 84 50, 487. 34
86, 266. 32 28, 759. 57
662, 630. 02 50, 487. 34 115, 025. 89
7, 256. 71 3, 919. 45
11, 176. 16
275, 023. 29 3' Sgf. II, 6, 015. 32
6, 015. 32 271, 422. 15
' Indudes 89, 74l&, 522. 04 paid by warrant on account of investments of trust funds.
262 RECEIPTS AND DfSBURSEMENTSr F25
Recapitulation of Disbursements, Balances, etc. , Iiiscal Year 1985' — Continued
[Repayments to appropriations in excess of disbursements are printed in ffsffcs]
Appropriations available in 1926
Appropriations from the general fund Balances July 1, 1924 Appropriations
Total disbursements in 1926
Amount carried to surplus fund
Balances Junc 30, 1926
n EPARTMENT oF LABoR — continued
Bureau. of Immigration: 1926 No year (continuous) Prior years
Total
Bureau of Naturalization: 1925 Prior years
Total
Children's Bureau: 1 26 9 6&
No year (continuous) Prior years
Total
Women's Bureau: 1925 Prior years
Total
Employment Service: 1925 Prior years
Total
Labor, miscellaneous: No year (continuous) Prior years
Total
Total, Department of Labor— 1925 No year (continuous) Prior years
$40, 052. 28 741, 511. 45
781, 563. 73
31, 239. 29
31, 239. 29
36, 635. 03 1, 212, 712. 85
1, 249, 347. 88
5, 071. 74
5, 071. 74
17, 331. 00
17, 331. 00
502. 27
502. 27
77, 189. 58 2, 169, 740. 11
$5; 067, 105. 15 45, 676. 62
1, 333. 89
5, 114, 115. 66
780, 502. 58 15, 980. 13
' 796, 482. 71
1, 289, 339. 55 49, 895. 27
1, 339, 234. 82
105& 459. 00
105, 459. 00
224, 000. 50 26. 01
224, 026, 51
12, 129. 63 187. 67
12, 317. 30
8, 421, 289. 28 107, 701. 62
17, 528. 30
$4, 936, 096. 59 $2, 942. 37
529, 056. 94
5, 468, 095. 90
734, 252. 39 25, 915. 55
760, 167. 94
803, 128. 45 42, 399. 20
397, 580. 16
1, 243, 107. 81
103, 988. 74 4, 768. 78
108, 757. 52
218& 170. 47 3, 752. 31
221& 922. 78
12, 129. 63 174. 34
12, 303. 97
7, 666, 996. 11 57& 471. 20
1, 033, 940. 78
$40, 660. 26 118, 005. 51
158, 665. 77
16, 595. 57
16& 595. 57
504, 597. 18
504, 597. 18
241. 51
241. 51
9, 257. 51
9, 257. 51
13. 33
40, 660. 26 705, 213. 27
$131, 008. 56 42, 126. 27 95 782 89
268, 917. 72
46, 250. 19 4, 708. 30
50, 958. 49
486, 211, 10 44, 131. 10
310, 535. 51
840, 877. 71
1, 470. 26 61. 45
1, 531. 71
5, 830. 03 4, 347. 19
10, 177. 22
502. 27
502. 27
764, 293. 17 86, 769. 64
448, 114. 36
NAVY DEPARTMENT
(Details on pp. 136 to 162)
2& 246& 929. 69 8, 546, 619. 10 8, 748, 408. 09 745, 873. 53 1, 299, 167. 17
OEtlce of the Secretary: 1925 No year (continuous) Prior years
137, 570. 55 1, 464, 722. 57
3, 854, 774. 41
155& 822. 89
3, 207, 898. 37 40, 845. 74
597, 945. 90 1& 452. 83
743, 103. 73
646, 876. 04 95, 271. 98 . ~
279, 495. 83
Total
OEtice of Naval Records and Library: 1925 No year (continuous) Prior years
Total
462. 49 518. 33
44, 512. 00
970. 82 44, 512. 00
1, 602, 293. 12 4, 010, 597. 30 3, 846, 690. 01
44, 483. 41
EOR $8,
44, 373. 98
744, 556. 56
517. 61
517. 61
1, 021, 643 85
28. 69 452. 49 110. 15
591. 23
Once of Judge Advocate General: 1925 Prior years
Total
188. 35
188. 35
971 119. 50
97, 119. 50
96, 400. 00 EE8. Of&
96, 287. 94
178. 85
178. 86
719. 50 121. 56
84&. 04
RECEIPTS AND DISBURSEMENTS, 1925
Recapitulation of Disbursements, Balances, etc. , Fiscal Year 1990 — Continued
[Repayments to appropriations in excess of disbursements are printed in italics]
Appropriations from the general fund
Appropriations available in 1923 Total disbursements in
1923 Amount earned to
surplus fund Balances June
30, 1923 Balances July 1, 1924 Appropriations
NAvY DEPARTMENT — continued
Oftice of Chief of Naval Operations: 1925 Prior years
Total
$6, 501. 25
6, 501. 25i
$258, 591. 00 . $258, 300. 00, 6?g. a6 $6, 106. 25~
85, 291. 00 974. 28
258, 591. 00 252, 720. 72, 6, 106. 25 6, 265. 28
Bureau of Navigation: 1925 No year (continuous) Prior years
434, 785. 41 4, 862, 131. 44
11, 188, 615. 78 1, 419, 046. 77
276, 242, 70
8) 252, 168. 86, 2, 931 451. 87 544, 260. 32 1, 309, 5?1. 86
2, 924, 952, 45, '878, 997. 43) 1, 839, 424. 26
Total 5, 296, 916. 85 12, 878, 905. 20 11, 721, 376. 63, 873, 997. 43 5, 580, 44(. 99
Bureau of Engineering: 1925 No year (continuous) Prior years
83, 422. 41 3, 964, 142. 50
16, 867, 255. 82 14, 798, 839. 82
19, 316. 48 2, 938, 889. 64 33, 422. 41
278, 947. 24
2, 068, 416. 00
765, 622. 05
Total 8, 997, 564. 91 16, 886, 572. 25 17, 737, 729. 46~ 812, 369. 65 2, 834, 038. 05
Bureau of Construction and Repair:
Prior years 1, 737, 951. 90 15& 789, 915. 00 14, 603, 068. 41,
30. ( 1 1, 386, 009. 65 168, 511. 61 1, 136, 846. 59
183, 461. 35
Total 1, 787, 951. 90 15, 789, 945. 71 15, 989, 078. 06. , 168, 511. 61 1, 320, 307. 94
Bureau of Ordnance: 1925 No year (continuous) Prior years
718, 510. 05 3, 891, 917. 14
9, 980, 224. 58 846, 000. 00
43, 803. 41 170, 412. 80
2, 578, 849. 61 299, 267. 87
7, 987, 466. 02 458, 506. 84
1 992 758 56 940, 590. 41 562, 603. 07
Total 4& 1107 427. 19 10, 870, 027. 99' 10, 781, 728 48~ 752, 774. 71 8, 495, 952. 04
Bureau of Supplies and Accounts: 1925 No year (continuous) Prior years
11, 500& 000. 00 15, 782, 060. 21 86, 041, 624. 14
151, 554, 060. 00 8, 847, 511. 88
33, 726. 69'
150, 188, 170. 09 1, $98, ?16. 86
10, 105, 790. 48 14, 779& 802. 28
12, 915, 889. 91 26, 008, 288. 85 11, 190, 208. 12
Total 63, 278, 68& 35 160, 485, 298. 5( 158, 820, 244. 26 14, 7?9, 802. 28 50, 109, 486. 88
Bureau of Medicine and Surgery: 1925 No year (continuous) Prior years
3, 598, 690. 36 794, 589. 35
2, 315, 486. 69 816, 842. 57
8, 209. 95
1, 984, 467. 63 646, 128. 5ii 856& 983. 51, 249, 992. 01
830, 969. 06 8, 768, 909. 87
190, 878. 78
Total 4, 393, 279. 71 8, 184, 989. 21) 2, 987, 524. 70 249, 992. 01 4, 290, (52. 21
Bureau of Yards and Docks: 1925 No year (continuous) Prior years
8, 844, 667. 92 511, 646. 95
6, 548, 276 00 3, 129, 864. 48
846. 94
0, 888, 309. 15 3, 768, 755. 08 2, 624, 892. SS 5, OS(1. 884. 44
484, 988. 98 936. 06 2)b 568. S5
Total 8, 856, 814. 87 9 678 987 42, 10& 092 103 21 2 625 828 94 5. Sli, 370 14
Bureau of Aeronautics: 1925 No year (continuous)
ior ears
265& 000. 00 109, 335. 00
7, 575, 325. 74
15, 278, 640. 50
801, 958. 54
8, 241, 688. 02 51, 000. 00
1, 726, 135. 3?
7, 296, 952 48---------------- 58, 385. 00
5 828 404. 9( 827 (48 94
Total
Naval Academy: 1925 No year (continuous) Prior years
192, 8?4. 7( 18, 166. 15 66, 195. 38
1, 785, 946. 85 — — — — — — — — — — — — — — ——
28, 177. 20 20, 722. 75 215, 036. (0 10S, 565. 08
ji 978, 821. 62, 62, 066. 10
889, 797. 11
7, 949, 660. 74 15, 575, 599. 04, 13, 178, 692. 45' 827, 743. 94) 10, 018, 823. 39
Total
78270 — 26 — 18
451, 868. 21 1, 978, 821. 62, 2) 024, 160. (0 129, 287. ?8 2?"(, 236. 30
ifE(. 'Ell'W AND DISBUBSEMENTS2 1925
Recapit tria(ion of Disbursements, Balances, etc. , Ir'iscal Year IM5 — Continued
[Repayments to appropriations in excess of disbursements are printed in ifolicr]
Appropriations from the general fund
Appropriations available in 1925
Balances July 1, 1924 ' Appropriations
Total disbar emeute in 1AM
Amount confed to ~
Bahmces J~ surplus fund 30, 1925
x Avy DEpABTMErt T — continued
Marine Corps: 1925 Xo year (continuous) Prior years
Total
$21, 278, 292. 32 -- 84, 2?3, 576 15 598, 921. 85,
i 1, 691, 323. 04 1, 814, 565. 22 82, 017, 704. 59 1
820, 546, 868. 47 $1, 886, 481. 89 403, 818. 00' 4, 652, 206. 62 0, 289. 41 , 325, 226.
1 6, 538, 638. 51 25, 955, 970. 88 23, 186, 779. 89, 2, 017, 704 59 7, 290, 125. 41
Increase of the Xavyr Xo year (continuous) Prior rear=-
42, 259, 094. 5r 8, 679, 659. 02
26, 285, 802. 28 2, 500, 000. 00,
' 83, 816, 120. 00; 5, 574. 16 34, ?22, ?02. 69
4, 860, 231. 98' 1, 14, 4", 09 2
Total
Xavy, miscellaneousr Xo year (continuous) Prior years j
Total
45, 938, 753. 59 28, ?S0, 302. 28 38, 181, 851. 93
15, 756, 824. 78' 1, 885, 856. 49 850, 378. 68 2 9. 56 249.
5, 044. 16
685. 21
685. 21
36, 537, 129. ?S
I 16, 291, 122. 38 246. 66
General account of advances: No year (continuous) 3 267, 894. 94 16, 624, 251. 10 16, 421, 286. 39 ' 33, 612, 932. 43
Total, Xavy Department— 1925 Xo vear (continuous) Prior years
11, 765, 000. 00 261, 243, 111. 82 237, 560, 808. 41 88, 806, 016. 75 43, 138, 737. 47 55, 717, 860. 02 19, 861, 543. 47 69, 073, 171. 97 8, 340, 247. 67 33, 086, ?98. 22 19, S54, 874. 50
35, 44?, 302. 91 56, 360, 350. 78 19, 471, ?46. 92
POST OFPICE DEPABThfENT
Appropriations made for the Post Office Department for the fiscal year beginning July 1, 1923, in the Post '
Office Department act, approved June 19, 1912, ere pav- ',
able from postal revenues, except postal deficiencies, snd not from the general fund of the Treasury ss heretofore.
(Payable from the Treasury)
(Details on PP. 152 to 1531
169, 644, 188. 72j 307, ?1?, 096. 46 826, 865, 466. 65 89, 716, 417. 9?balll, 279, 400. 56
Salaries, efcr J Prior years
Deftciencies in the postal revenues: 1925 Prior years
Total
4. 18' 2
28, 000, 000. 00 216, 783. 58:,
23, 216, 783. 58
28, 000, 000. 00' 216, 783. 58
23, 216, 783. 08
94 -4. 18
Miscellaneous expenses, Postal Servicer 1925 Xo year (continuous) Prior vears
6S, 500. 00 56, 858. 08' 32, 540. 26
956 65
58, 405. SO 41, 588. 08 20. 00,
8& 058. 05 686. 65j
10, 094. 20 47, ?95. 26 3, 322. 05
Total
Total, Post Office Department, ez- clusive of Postal Service pay- able from postal revenues—
1920 '440 year (continuous) Prior years
0?, 814, 73'
06, 858. 08 956. 65
101, 045. 26
23, 068, 500. 00 32, 545. 26
216, 807. 76
96, 941. 83 706. 65j 61, 211. 51
10, 094 20 47, 795. 26
23, 058, 405. 80 41, 588. 08 20. 00:
213, 731. 53 710. 83
57, 814. 78 23, 31 4, 853. 02 23, 318, 725. 41 730. 33j 64, 24& 64
6 Debit balance. ee note 33, p. 152.
RECEIPTS AND DISB URSEMENTS 1925
Recapitulation of Disbursements, Balances, etc. , Fiscal Year 1M5 — Continued
[Repayments to appropriations in excess of disbursements sre printed in italics]
265
Appropriations from the general fund
Appropriations available in 1925 Total disbursements in
1925 Amount carried to
surplus fund Balances June
36, 1925 Balances July 1, 1924 Appropriations
DEPARTMENT OF STATE
(Details on pp. 154 to 166)
Salaries and expenses: 1925 Prior years
Total
$197, 660. 66
197, 660. 66
$1, 291, 751. 20 498, 150. 00
$1, 204, 915. 11 255, 461. 21
1, 789, 901. 20 1& 460, 376. 32
$&65, 971. 46 $86, 836. 09 374, 377. 99
65, 971. 46 461, 214. 08
Foreign Intercourse: 1925 No year (continuous) Prior years
977, 670. 09 5, 828, 654. 44
9, 530, 762. 2g 5, 935, 736. 07
21, 959. 16
5, 717, 345. 72 5, 991, 296. 03 2, 716, 887. 37 1, 869, 164. 74
3, 813& 416. 57 922& 110. 13
1, 264, 561. 49
Total 6, 806, 324. 53 '5 488 457 52i 14, 425, 529. 12 1, 869, 164. 74, 6, 000, 088. 19
Total, Department of State— 1925 No year (continuous) Prior years
977, 670. 09 6& 026& 315. 10
10, 822, 513. 49 5, 935, 736. 07
520, 109. 16
6, 922, 260. 83 5, 991, 296. 03 2, 972, 348. 58 1, 935, 136. 20
3, 900, 252. 66 922, 110. 13
1, 638, 939. 48
TREAsVRT DEPARTMENT
(Details on pp. 166 to 193)
7, 003, 985. 19 17, 278, 358. 72 15, 885, 905. 44 1 136. 20 461, 302. 27 6, , 935,
Office of the Secretary: 1925 No year (continuous) Prior years
132. 31 14, 691. 78
178, 488. 00~
281. 95i
177, 875. 00 49. 29
8, 598. 51 10, 525. 73,
608. 00 83. 02
11, 041. 46
Total 14, 824. 04 178& 764. 95 171, 830. 78 10, 525. 73 11, 732. 48
Oflice of Chief Clerk and Superintendent: & o2a Prior years 101, 993. 30
945, 750. 00 3, 400. Ooi
891, 904. 69 13, 264. 96 46, 931. Ill
53, 845. 31 45, 197. 23
Total 101, 993. 30 949, 150. 00i 905, 169. 65 46, 931. 11 99, 042. 54
General Supply Committee: 1925 Prior years 15, 881. 47
152, 393. 50, 142& 715. 32I 1, 188. 05i 2 , 874. 50,
9, 678. 18 14, 695. 02
Total
Offeree of Commissioner of Accounts Deposits:
1925 Prior ears
Total
and
15, 881. 47
341. 74
341. 74
152, 393. 50
17, 725. 50
17, 725. 50
141& 527. 27
17, 725. 50 . 50
17, 726. 00
2, 374. 50 24, 373. 20
341. 24'
341. 24
Diuision of Bookkeeping and Warrants: 1925 No year (continuous) Prior ears
Total
Division of Deposits: 1925 Prior ears y
Tot l a
Public Debt Service: 1925 No year (continuous) Prior years
1, 458, 659. 67 31, 275. 76
1, 489, 935. 43
766. 03
769, 682. 86 187, 089. 79
22, 177. 35 1, 393, 659. 67
14& 730. 25
362, 828. 65 333, 837. 01 21, 598. 27
718, 263. 93
17, 250 00 9/8. 58
385, 006. 00 268, 837. 01
10, 000. 00
663, 843. 01
17, 335. 50
4, 947. 24
4, 947. 24 1, 430, 567. 27
85. 50 796. 27 213. 28
881, 77 17, 385. 50
4, 632, 219. 98 I 5g4, 565. 15
10, 655. 63
17, 006- 48 213. 28
15(i, 267. 7o 5j 1
4 475 952. 23 ' 804 990, 24 29 892. 13i
, 508, 194. 12 22, 505. 69
, 063. 65' 145, 347. 60i
TotaL 956, 772. 65 6, 237, 440. 76 5, 310, 834. 60 196, 411. 25i 1, 686, 967 56
266 RECEIPTS AND DISBURSEMENTS, 1925
Recapitulation of Disbursements, Balances, etc. , Fiscal Year. 198$ — Continued
[Repayments to appropriations in excess of disbursements sre printed in iialicsl
Appropriations available in 1925 Balances June
30, 1925 Appropriations from the general fund Balances July 1, 1924 Appropriations
Total disbursements in 1925
Amount carried to surplus fund
TREAsuay DEPART%LENT — continued
Division of Appointments: 1925 Prior years
Total
World War Foreign Debt Commission: 1925 Prior years
$2& 387. 36
2, 387. 36
19, 638. 75
$62, 965. 50
62, 965. 50
5, 000. 00
62, 393. 97
1, 900. 00 11. 64
1, 312. 61
$62, 850. 00 I&66 08 $1, 312. 61
$115. 50 1, 530 78
1, 646. 28
3& 100. 00 19, 627. 11
Total 19, 638. 75 5, 000. 00, 1, 911. 64 22, 727. 11
Division of Printing: 1 925 Prior years 327, 407. 68
907, 800. 00 717, 975. 25 196, 911. 33 61, 876. 73
189, 824. 76 68, 619. 62
Total
Division of 3fait and Files: 1925 Prior years
Total
327& 407. 68 907, 800. 00
19, 461. 00
19, 461. 00
914, 886. 58
19, 461. 00 I. 70
19, 459. 30
61, 876. 73 258& 444. 37
1, 70
1. 70
OfIrce of Disbursing Clerk: 1925 Prior years 585. 84
51, 636. 00 51, 500. 00 807. 47 275. 59
136. 00 517. 72
Total
Customs Service: 1 925 No year (continuous) Prior years
585. 84
4, 740; 94 493, 814. 15
Sl, 636. 00
16, 749& 625. 00 22, 430, 641. 25
30, 703. 60
51, 292. 53
16, 470, 187. 29 22, 429, 264. 11
176, 043. 95
275. 59
75, 855. 22
653. 72
279& 437. 71 6, 118. 08
272& 618. 58
Total
Bureau of the Budget: 1925 Prior years 27& 882. 28
182, 267. 09
498, 555. 09 39, 210, 969. 85 39, 075, 495. 35 75, 855. 22
171, 729. 13 8, 8o0. 78 14, 509. 44
558& 174. 37
10, 537. 96 15I 723. 57
Total
Federal Farm Loan Bureau: 1925 No year (continuous) Prior years
Total
Once of Treasurer of United States: 1925 No year (continuous) Prior years
27, 882. 28
12, 671. 07 8, 539. 88
40I 123. 41
61, 334. 36
124, 015. 21
182, 267, 09
343, 703, 31 27, 000. 00
5, 000, 00
375, 703. 31
1, 664, 548. 60 32, 514. 95 10, 141. 44
169, 378. 40
332, 443. 23 31, 985. 66 19, 223. 87
383, 652. 76
1, 634, 976. 10 32, 514. 95 18& 606. Jr/
14, 509. 44
25, 887. 04
25, 887; 04
101, 886. 34
26, 261. 63
23, g31. 16 3, 554. 22
12. 50
27, 497. 87
29, 572, 60
44& 776. 76
Total 124, 015. 21 1, 707, 204. 99 1I 654, 984. 61 101, 886. 34 74, 349. 26
Once of Comptroller of the Currency: 1925 Xo year (continuous) Prior years
92, 305. 07 54, 158. 40
309& 415. 75, 2, 435, 773. 36
291& 300. 00 2, 108, 059. 95
87, Sly' 78 37, 277. 40
18, 116. 76 420, 018. 48
44, 726. 78
T tsl ots 146, 463. 47 2, 745, 189. 11 2& 371, 514. 17 37, 277. 40 482, 861 01
Internal Revenrre Service: 1925 No year (continuous) Prior years
Total
2, 298, 506. 33 34, 159, 184. 52
211, 560, 191. 74 2, 222, 72p 42
16, 157, 3p8 g7
36, 457, 690. 85 229, 940, 221. 13
160& 7pg 454 36 2, 128, 265. 22
44, 338, 964. 99
207, 176, 684. 57
SO, 8SO, 737. » 2, 310, 119. 18 3, i&3, 322 &3
S6, 276, 548. 74 2, 944, 678. 67
82, 842. 35 2, 861, 836. 32
RECEIPTS AND DISBUBSEMENTSr 1925
Recapitulation of Disbursements, Balances, etc. , Fiscal Fear 198o — Continued
i Repayments to appropriations in excess of disbursements are printed in italics]
267
Appropriations from the genend fund
Appropriations available in 1925
Balances July 1, 1924 Appropriations
Total disbursements in 1925
Amount carried to surplus fund
Balances June 30, 1925
TREASURT DEPARTMENT — continued
Coast Guard: 1925 No year (continuous) Prior years
$173, 22?. 46 13, 640, 448. 60
$ 19, 919, 640. 87
17, 013. 14
$17, 078, 144. 23 21, 888. 73
9, 714, 050. 25 $293, 767. 41
i $2, 841, 496. 64 lol, 338. 73
3, 649, 644. 08
Total 13, 813, 676. 06 19, 936, 654. 01 26& 814& 083. 21 293, 767. 41 6& 642, 479 45
Bureau of Engraving and Printing: 1925 Prior years 1, 002, 241. 11
6, 950, 002. 50 6, 181. 43
6, 365, 475. 70 196, 635. 74 580, 173. 74
584, 526. 80 231, 613. 06
Total 1, 002& 241. 11 6, 956, 183. 93 6, 562, 111. 44 580, 173. 74 816, 139. 86
Secret Service Division: 1925 Prior years 26, 752. 03
481, 877. 90 756. 62
447, 275. 55 14, 049. 49 713. 40
34, 602. 35 12, 745. 76
Total
Public Health Service: 1 925 No year (continuous) Prior years
26, 752. 03
149, 304. 69 1, 851, 614. 37
482, 634. 52
9, 784, 952. 00
19, 261. 31
461, 325. 04
9, 171, 085. 79 87& 808. 88 36, 713. 21
713. 40
1, 379, 317. 17
47, 348. 11
613, 866. 21 186, 607. 02 454, 845. 30
Total 2, 000, 919. 06 9, 804, 213. 31 9& 170, 496. 67 1, 379, 317. 17 1, 255, 318. 53
Minfs and Assay Officesr 1925 Prior years 84, 280. 31
1, 659, 680. 75 2, 300. 00
1, 574, 062. 02 18, 888. 08 46, 429. 90
85, 618. 73 56, 778. 97
Total 84, 280. 31 1, 661, 980. 75 1, 557, 433. 46 46, 429. 90~ 142, 397. 70
Office of Supervising Architect — post offices, customhouses, courthouses, etc. :
1925 No year (continuous) Prior ears
14, 402, 983. 82 2& 704. 32
136, 000. 00 169, 000. 00
55, 323. 16 2, 433, 822. 23 200, 082. 22
80, 676. 84 11& 938& 079. 37
2, 704. 32
Total Quarantine Stations:
Xo year (continuous)
14& 405, 688. 14
252, 566. 94
305, 000. 00
366, 100. 00
2, 489, 145 39~
97& 257. 51
200, 082. 22
109, 368. 77
12, 021, 460. 53
412, 040. 66 Marine Hospitals:
ib o year (continuous) Veterans' Hospitals:
No year (continuous) Prior years
Total
351, 831. 32
427, 558. 86l 3& 826. 88
431, 385. 74
831, 025. 00
12, 500. 00
12, 500. 00
266, 502 52', 33, 966. 16
317, 438. 89 3, 826. 88
317, 438. 89----------------I 3& 826 88
882, 387. 64
122, 619. 97
122, 619. 97 Repairs, Equipment, etc. , public buiRingsf
1925 No year (continuous) Prior years
1, 708. 94 278, 240. 33'
2, 215, 300. 00I 1, 907, 167. 95
610. 39 147, 328. 54 72, 454. 04
308& 132. 05 1, 708. 94
59, 068. 14
Total Operating expenses, public buildings:
1925 No year (continuous) Prior . ears v
279, 949. 27
10, 160. 45 367, 618. 14
9, 471, 862. 42. 100, 000. 00 44, 294. 70
8, 863, 454. 20, — — — — — —— 60, 000. 00,
309, 094. 52; 15, 625. 44I
2, 215, 910. 39 2, 054, 496, 49 &2, 454. 04 368, 909. 13
608, 408. 22 50, 160. 45 87, 192. 88
Total
Total, Otnce of Supervising Archi- tect, including public buildings,
I
hospitals, etc. — 1925 No year (continuous) Prior years
377, 778. 59
15, 446, 810. 33' 652, 389. 67
11, 823, 162. 42 1, 478, 625. 00
44, 905. 09
10, 825, 945. 31 997, 21&. 11 3, 175, 021. 15 343, 41& 15 13& 406, 997. 03
456, 423. 06 91, 906. 36 148, 965. 34
9, 616, 157. 12 9, 232, 548. 72 15, 625. 44' 745, 761. 55
16, 099, 200. 00' 13, 346, 692. 51' 14, 457, 389. 52 430, 323. 51, 14, 553, 179. 48
268 RECEIPTS ANIJ DISBURSEMENTS& 1925
Recapitulation of Disbursements, Balances, etc. , Fiscal Year 198o — Continued
[Repayments to appropriations in escess of disbursements are printed in ifelicsl
Appropriations from the general fund Balances July 1, 1924 A ppropriations
Appropriations available in 1925 Total disbursements in
~
Amount carried to 1925 surplus fund
Balances June 30, 1925
TREA6URY DEPARTMENT — continued
Treasury, Miscellaneous: 1925 No year (continuous) Prior years
Total
$5, 150, 210. 78 1, 146, 465. 96
6, 296, 676. 74
$40, 000. 00 457, 047. 41
120. 01
497, 167. 42
$40, 000. 00 1M, $56. 99 106, 7186. 59~
808, 808. 58i
$428, 669. 85 $5, 742, 715, i8
824& 662. 71
428, 669. 85 6, 567, 377. 8g
Total, Treasury Department— 1925 No year (continuous) Prior years
12, 671. 07 288, 844, 843. 91 25, 552, 120. 32~ 30, 947, 724. 55 54, 005, 429. 47' 16, 318, 029. 19
232, 052, 016. 351 30, 893, 116. 99 477, 323. 15 55, 039, 015. 01 6, 212, 375. 22
56, 805, 498. 63 25, 129, 404. 73 9, 072, 068. 43
79, 570, 220. 86 336, 110, 597. 65 317, 984, 148. 35 6, 689, 698. 37 91, 006, 971. 7g
WAR DEPARTMENT
Military Activities
(Details on pp. 193 to 216)
Off[ ce of Secretary of War: 1925 No year (continuous) Prior years
825. 86 394; 598. 55
1, 073, 403. 60
3, 600, 003. 42
754, 160. 09
2, 980, 690. 32 825. 86
76, 275. 50
319, 243. 51
937, 636. 15
T otal 395, 424. 41 4, 673, 407. 02 3, 734, 850. 41 77, 101. 36 1, 256, 879. 66
General Staff Corps: 1925 Prior years
Total
48, 243. 95
48& 243. 95
280, 292. 50 27. 10
280, 319. 60 268, 476. 78 23, 466. 22
262& 571. 21 5, 905. 57 23, 466. 22
17, 721. 29 18, 899, 26
36, 620. 55
Adjutant GeneraVs Department: 1925 Prior years.
Total
65, 255. 53
65, 255. 53
] 581 745. 45 754. 07
1, 582, 499, 52
92, 226. 60 19, 328. 51
1, 502, 836. 55 33, 363. 39 ill, 555. 11
1, 489, 518. 85 13, 317. 70 33, 363. 39
Once of the Inspector General: 1925 Prior years
Total
OPce of the Judge Advocate General: 1925 Prior years
1, 069. 87
1, 069. 87
28, 358. 67
24, 979. 50
24, 979. 50
61, 249. 50
24. 148. 46 764. 99
60, 250. 00 3, 993. 22 641. 76
24, 370. 00 881. 516 764. 99
60g. 50 526. 42
1, 135. 92
999. 50 23, 723. 69
Total . Army account of advances:
No year (continuous)
28, 358. 67
8 9, 592, 883. 95
61& 249. 50 64, 243. 22
6& 51&6, 898. 88
641. 76 24, 723. 19
8 3, 046, 490. 13
Finance Department: 1925 No year (continuous) Prior years
Total
124, 541, 981. PP 929, 625. g3
2, 035, 283 47 21, 729, 578 43 14, 059, 780 68
118 854 057 86 1, 644, 857 g7 7& 431, 440. 60
5 687 923. 14 41, 889. 39 20, 972, 457. 00
2, 4'2, 755. 97 6, 210, 867, 58
52, 871, 247 72 127, 506, 890. 40 35, 789, 359. 11 127, 930, 356. 43 2, 494, 645. 36
('uarterrnaster Cor ps: 1 25 9 5 No year (continuous Prior years
6, 279, 354. 14 6l, 014, 164. 56 13, 363, 204. 66 957, 207. 00 23, 505, 158. 29 372, 299. 86
50, 178, 745. 85 1 101 394 69 8 391& 750 9 894 767 44 8 998 469 15'
114, 771. 85 4, 827, 266. 75 4 9 ~ 4, 22156
Total
' Debit balance. See note 20, p. 195.
43, 147, 717. 09, 62, 343, 671. 42 61 1, 4 gp7 g8' , 17 39p 219 37l 26, 926, 261. 16
RECEIPT AND DISBURSEMENTS&1925
Itecapitulafivn vf Disbursements, Balances, etc. , Ftscal Year I99b — Continued
f Repayments to appropriations in excess of disbursements sre printed in itolfcs]
269
Appropriations available in 1925
Appropriations from the general fund
Balances July 1, 1924 Appropriations
Total disbursements in 1925
Amount carried to Balances June sur plus fund, 30, 1925
WAR DEPARTMENT — continuefl
Signal Cor ps: 1925 No year (continuous) Prior years
$286, 085. 44 1, 474, 544. 02
$2, 159, 763. 80
15, 812. 93
$1, 448, 647. 82 1, 843. 58
729, 946. 12 $297, 281. 56
$'711, 115. 98 284, 741. 91 463, 179. 27
Total 1, 760, 629. 46 2, 175, 576. 73 2, 179, 937. 47 297, 231. 56 1, 459, 087. 16
Air Service: 1925 No year (continuous) Prior years
Total
Medical De par tment: 1925 Prior years
Total
Bureau of Insular Affairsf &n2c
Prior years
TotaL
Corps of Engineers: 1925 No year (continuous) Prior years
Total
Fortifications, etc. , Panama Canal: 1925 No year (continuous) Prior ears
Total
Ordnance Department: 1925 No year continuous Prior years
Total
Chemical Warfare Servicef 1925 No year (continuous) Prior years
1, 000, 000. 00 2, 864. 00
5, 295, 731. 87
6, 298, 595. 87
428, 799. 88
428, 799. 88
4, 474. 11
4, 474. 11
45, 868. 16 857, 068. 92
402, 987. 08
261& 058. 08 214, 676. 78
475, 729. 81
2, 557, 201. 08 5, 565, 128. 72
8, 122, 824. 80
114. 08 157& 475. 71
13, 685& 525. 40
93, 790. 59
13, 779, 315. 99
1, 358, 894. 30 1& 784. 87
1, 360, 679. 17
81, 541. 50
81, 541. 50
1, 140, 502. 00 722. 00
1& 972. 91
1, 148, 196. 91
879, 550. 85 702, 850 00
4, 357. 01
1& 586, 757. 86
7, 842, 251, 70 372, 752. 95 210, 090. 76
7, 925, 095. 41
915, 400. 00
82, 726. 00
8, 591, 139. 84 479. 10
3, 295, 184. 53
11, 886, 803. 47
981, 856. 08 291& 815. 51
1, 273, 171. 54
75, 021. 40 187. O'Ir
74, 888. 86
828, 726. 98 642. 50
202, 686. 11
1, 082, 055. 59
413, 650. 78 298, 487. 53 160, 551. 67
872, 689. 93
3, 175, 574. 56 I, 09I, 8W. 99 2, 998, 151 67
5, 112, 431. 251
641, 261. 51 J9, 99'&. 98
123, 291. 60
1, 187, 853. 33
1& 187& 853. 33l
117, 508. 34.
117, 508. 84
2& 900. 98
2, 900. 98
45, 922. 66 98, 898. 80
144, 820. 96
19, 578. 54
19, 578. 54
1, 992, 014. 19 687, 761. 17
2, 679, 775. 36
85, 642. 86
6, 094, 385. 56 2& 384. 90
906, 984. 60
7, 003, 755. 06
377, 588. 27 21& 260. 90
398& 799. 17
6, 520. 10 1, 710. 67
8, 280. 77
311, 775. 02 25, 00
57, 457. 42
369, 257. 44
465, 900. 12 665, 415. 50
88, 903. 58
1, 170, 219. 20
4, 166, 677. 14 1, 999, 234. 82 2& 089, 301. 64
8, 255& 213. 60
274, 138, 49 50, 108. 70 31, 267. 75
Total
Chief of Infantryr 1925 Prior ears y
157, 589. 79
20, 776. 29
948, 126. 00
68, 882. 00
85, 642. 86~ 714, 558. 49
, 861. 53 56 052 02 9' 442 80 8
355, 514. 94
7, 779. 98 2& 972. 46
Total
Chief of Cavalry: 1925 Prior years
Total
20, 776. 29
1, 283. 91
1, 283. 91
63, S32. 00
19, 881. 00
19, 331 00
65, 494. 82
18, 322. 86 721. 16
19, 044. 02
526. 73 1, 008. 14
36. 02
526. 73I 1, 044. 16
8, 861. 53 10, 752. 44
Chief of Field Artillery: 1925 Prior years 7, 517. 92'
24, 280. 00 21, 509. 01',
5, 647. 98 1, 550. 1& 2& 720. 99
319. 82
Total 7, 517. 92 24, 280. 00 27, 156. 94~' 1, 550. 17' 3, 040. 81
270 RECEIPTS AND DISBURSEMENTS 1925
Recupitulation of Disbursements, Balances, etc. , Fiscal Year 198o
[ Repayments to appropriations in eecess of disbursements are pr(nted in italics]
Appropriations available in 1925
Appropriations from the general fund
Balance July 1, 1924 Appropriations
Total disbursements in 1925
Araount carried to surplus fund
Balances June 39& 1925
wAR DEPARTMENT — continued
Chief of Coast Artillery: 1925 Prior years
Total
$91, 441. 53
91, 441. 53
$ 387& 195. 50 9. 68
387, 205. 18 249, 911. 38 5, 062. 82
$175, 758. 46 74, 152. 92 $5, 062. 82
$211, 437. 04 12, 235, 47
223, 672. 51
Military Academy: 1925 No year (continuous) Prior years
244, 346. 89 409, 081. 55
2, 205, 630. 24 461, 310. 00
4, 938. 93
1, 887, 341. 51 283, 885. 54 108, 819. 59 166, 710. 24
318, 288. 73 421, 771. 35 138, 490. 65
Total 653, 428. 44 2, 671, 879. 17 2, 280, 046. 64 166, 710. 24 878, 550. 73
Militia Bureau: 1925 No year (continuous) Prior years
Total
Organized Reserves: 1925 Prior years
Total
1, 332, 000. 00 121, 270. OI
14, 299, 424 74
15, 752, 694. 75
31 8777 423. 73
3, 877, 423. 73
29, 897, 556. 00
18, 220. 97
29, 915, 776. 97
9, 436, 972. 00 462. 35
9, 437, 434. 35
23, 401, 286. 93 14, 908. 32
5, 953, 530. 41
29& 369, 725. 66
5, 871, 004. 99 2, 790, 066. 61
8, 661, 071. 60
41, 298. 49 3, 819, 761. 54
3, 861, 060. 03
304, 445. 68
304, 445. 68
7, 828, 269. 07 65, 063. 20
4, 544, 353. 76
12, 437, 686. 03
3, 565, 967. 01 783, 373. 79
4, 349, 340. 80
National Board for Promotion of Rifle ti ce:
1925 No year (continuous) Prior years
Prac-
216, 644. 58 12, 420. 79
17, 500. 00 94, 860. 00
10, 591. 62 100, 748. 46
3, 287. 35 1, 937. 31
6, 908. 38 210, 756. 12
7, 196, 13
Total
Total, Military Activities— 1925 No year (continuous) Prior years
Nonmilitary Activities
(Details on pp. 216 to 234)
National Cemeteries: 1925 No year (continuous) Prior years
Total
National Military Parks: 19 5 no- Xo year (Continuous) Prior years
229, 065. 37
8, 611, 354. 14 29, 236, 172. 27 70, 319, 731. 01
108, 167, 257. 42
550, 247. 50 408& 701. 15
958, 948. 65
13, 388. 51 4, 698. 62
112, 360. 00
258, 193, 492. 40 3, 519, 327. 88 6, 392, 534. 92
268, 105, 355. 20
682, 900. 50
313& 817. 58
996, 718. 08
222, 015. 08
10. 00
114, 627. 43
219, 220, 920. 13 $, 810, 986. 78
37, 077, 051. 25
252, 087, 035, 60
514, 684. 51
503, 459. 90
1, 018, 044. 41
215, 017. 85 I, 88l. 00 2, 924. 77
1, 937. 31
10, 513, 700. 81 18, 340, 967. 58
28, 854, 668. 39
159, 287. 61
159, 287. 61
601. 07
224& 860. 63
47, 583, 926. 41 26, 452, 735. 12 21, 294, 247. 10
95, 330, 908. 63
168, 316. 99 550, 247. 60
59, 771. 22
778, 334. 71
6, 997. 23 14, 709. 61
1, 182 78
Total
Signal Corps (nonmilitary)r 1925 No year (Continuous) Prior years
18, 087. 13
140, 938. 98 44, 138. 63
222, 025. 08
149, 190. 23 750, 000. 00
216, 621. 62
123, 423. 52 830, 887. 46
24, 607. 22
601. 07, 22, 889. 52
25 766. 71 6p 051. 62
8, 488. 88 i&, 087. 88
Total
dl& dical Department (nonmilitary) l 7125 Xo I esr (Continuous) Prior years
' Debit balance.
185, 077. 61
1. 25 8 1 676 30
899, 190. 23
259, 414. 00
s 1 675 05 259 414 00,
978, 918. 20
52& 397. 49, '
8, 483. 86 96, 865. 78
3, 860. 61 1, . 25
6, 598. 81
2O3, 156. -00,
9, 6'97, f&8 1, 322. 61
47 792 8 l 2p4 478 5l '
10& 460 6
RECEIPTS AND DISBURSEMENTS& 1925
Recapitulation of Disbursements, Balances, etc. , Piscal Year 198o
[Repayments to appropriations in excess of disbursements sre printed in ifcticsi
271
Appropriations from the general fund
Appropriations available in 1925
Balances July 1, 1924 Appropriations
Total disbursements in 1925
Amount carried to surplus fund
Balances June 30, 1925
WAR DEPARTMENT — continued
Public Buildings and Grounds, under Chief Engineer: '
1925 No year (continuous) Prior years
Total
$36, 205. 62, '
$7, 840. 22 2, 160. 00, ' ' 700. 54
9 68i 38 36
$23, 228. 03 10, 000. 22
786. b J&
32, 441. 71
$37. 35
37. 35
$12, 977. 59
48. 65
13, 026. 24
Miscellaneous, under Corps of Engineers: 1925 No year (continuous) Prior years
376, 541. 54' 567, 213. 90'
916, 750. 00 206, 669. 13
55, 079. 20
168, 696. 60 250, 747. 45 617, 976. 73 1, 411. 04
748, 053. 40 332, 463. 22
2, 905. 33
Total , 755. 44 1, 178, 943 498. 33 1, 037, 420. 78 1& 411. 04 1& 083& 421. 95
Improving Harbors: No year (continuous) 1, 366, 069. 65 492, 500. 00 1, 318& 084. 62 540, 485. 03
Improving Rivers: 1925 No year (continuous Prior years
Total
Total, Rivers and Harbors— 1925 No year (continuous) Prior years
296, 450. 00 86, 135, 929. 98 65, 757, 332. 60
10, 874. 59 500. 38
86, 146, 804. 57 66, 054, 282. 98
296, 450. 00 87& 501, 999. 63' 66, 249, 832. 60
10, 874. 59l 500. 38
87& 512, 874. 221 66, 546& 782. 98
284, 511. 85 77& 824, 577. 41
1, 869. 05
78, 110, 958. 31
284, 511. 85 79, 142& 662. 03
1, 869. Oo
79, 429, 042. 93
11, 938. 15 54, 693. 64 74, 013, 991. 53
2, 602. 76 6& 903. 16
57, 296. 40' 74, 032, 832. 84
11, 938. 15 54& 693. 64, 74, 554& 476. 56
2, 602. 76 6, 903. 16
57, 296. 40 74, 573. 317. 87
Inland and Coastunse Watertva gs Service: 1925 No year (continuous) Prior years
Total
Monuments: No year (continuous)
116, 632. 44
116, 632. 44
45, 638. 75
29, 257. 50 3, 000, 000. 00
3, 029, 257. 50'
3, 000. 00
28, 910. 95 1, 500, 000. 00
70, 995. 64
1& 599& 906. 59
34, 000. 00
45& 206. 45
346. 55 1, 500. 000. 00
430. 35
6, 745. 45 7, 893. 30
45, 206. 45' 1, 500, 776. 90
National Homes for Disabled Soldiers:
1925 No year (continuous) Prior ears ye
Volunteer
10, 242, 089. 42 3 072. 76i 1 500 000. 00
499, 193. 30' 2, 067. 52
8, 626& 825. 13, 1, 599, 527. 42 15, 736. 8? 1, 503, 072. 76
18', 808. 5?i 361, 016. 40 265, 052. 99
Total 502, 266. 06 11, 744, 156. 94 1, 783, &
960, 8, 502, 016. 56 1 543. 82 862. 62
War claims and relief acts: 1925 No year (continuous) Prior ears yas
4, 200. 00 842, 805. 00 4, 534, 254. 17
179. 25 23. 50
4, 200. 00 3, 008, 021. 43
202. 75 3, 898. 61 2, 365, 139. 13
Total 842, 984. 25 4, 538, 477. 67 3, 012, 424. 18' 3, 898. 61 2, 365, 139. 13
Trust funds: 1925 No year (continuous) Prior years
4, 198& 242. 58 2, 431. 30
603, 708. 18 5, 610. 37
22, ------- 791, 768. 64'
46. 08
2, 431. 08 4, 010, 182. 12
5, 564. 29
Total 4, 198, 242. 58 611, 749. 85 791, 814. 94' 4, 018, 177. 49
' Debit balance. ' The appropriations for activities in thc District of under thc "OfBce of public Buildings sud public Parks
Co of
lumbis, carried under the above heading, with the unexpended balances ss of afar. 31, 1925, were transferred and placed the National Capital, " p. 51, by the sct of Feb. 25, 1925 (43 Stat. p. 933).
272 ItECEIPTS AND DISBURSEMENTS& 1925
Recupit74[ation of Disbursements, Balances, etc. , Fiscal Year 1085 — Continued
[Repayments to appropriations in excess of disbursements sre printed in ifolicg]
Appropriations from tbe general fund
Balances July 1, 1924 Appropriations
Appropriations available in 1925 Total disbursements in Amount carried to
1925 surplus fund Balances June
30, 1925
wAR DEPARTMEN continued
Miscellaneous &tnnmilitary; No year (continuous)
Total, Nonmilitary Activities— 1925 No year (continuous) Prior years
$247, 896. 20
98, 928, 1 12. 92 1, 649, 255. 04
$122, 589. 12
12, 840, 908. 65 76, 972, 218. 20
377, 108. 55
$124, 422. 97
10, 041, 796. 15 85, 691, 189. 20
1, 086, 889. 41
$1, 802, 688. 42 65, 837. 70
579, 969. 05
$245, 562. 35
996, 424. 08 85, 148, 799. 22
359, 505. 13
95, 577, 867. 96 90, 190, 225. 40 96, 819, 874. 76 2, 447, 990. 17 86, 499, 728. 43
Total, War Department (excluding Panama Canal)—
1925 No year (continuous) Prior years
8, 61 1, 354. 14 123, 164, 285. 19 71, 968, 986. 05
271, 034, 396. 05 80, 491, 541. 08
6, 769, 648. 47
229, 262, 716. 28 81, 480, 253. 42 88, 163, 940. 66
1, 802, 688. 42 10, 579, 03S. 51 18, 920, 936. 63
48, 580, 350. 49 1 1 1, 596, 534. 34 21, 653, 752. 23
PANAMA CANAL
(Details on p. 234)
203, 744, 625. 88 358, 295, 580. 60 848, 906, 910. 86 31, 802, 658. 56 181, 880, 637. 06
Panama Canal, maintenance and operation: No year (continuous) Prior years
8, 768, 848. 45 53. 32
7& 895, 304. 14 9, 050, 617. 09 1 07. 86 33. 32
7, 113, 585. 50 127. 36
Total, Panama Canal, maintenance and operation
Total, War Department (including Panama, Canal)
DISTRICT OF COLUMBIA
(Details on pp. 235 to 247)
212, 513, 527. 15 365, 690, 884. 74'
8, 768, 901. 77 7, 395, 304. 14 9, 050, 509. 78
357 957, 420 09
38. 82 7, 113, 662. 86
81, 302, 691. 88 188, 944, 299. 92
Salaries and miscellaneous: 1925 No year (continuous) Prior years
1 19, 628. 88 8, 434, 794. 31 1 275 882 09
28, 329, 809, 801 12, 423, 529. 87
467, 510. 15
25 931 093 36 '9 7 038, 364. 89
827& 610. 88
49, 979. 75 1, 875. 59
446, 153. 15
2, 468, 859. 57 8, 818, 583. 70
469, 628. 21
Total, District of Columbia
PURCHASE OF OBLIGATIONS OF FOREIGN GOV- ERXMFXTS
(Details on p. 248)
4, 830, 299. 78 41, 220, 849. 32 83, 797, 069. 13I 497, 508. 49 11, 756, 571. 48
No year (c ontlnuous) ' 38, 591, 629 051 38, 591, 629 05
INTEREST ON THE PUBLIC DEBT
No year (continuous)
SINKING FUND PREMIUM
882, 215, 205. 84 882, 014, 950. 03 200, 255. 81
Premium on the public debt: No year (continuous) 358, 336. 01 858, 336. 01
Total, ordinary. " 23, 989, 109. 75 1,
Xo year (continuous) 1, 025, 136, 057. 87 I, Prior years 318, 547, 564. 421
1' 367' 672' 782' 0413
« fncludes 3200, 766. 30 paid by 1varrani. on account of investments of trust funds. Ezclugive of pubiic debt an&i Postal Service
673, 317, 735. 49 1, 861& 444, 945. 62
475& 501, 400. 86 840, 003, 632. 40 148, 668, 839. 51 40, 247, 827. 69,
075, 010, 508. 80~ 2, 464, 168, 872. 77
1 852 663 17i219 952 781 970 985 883. 26 575, 591, 487 83
88, g17, 948. 15126, 218, 504. 46
1, 056, 766, 494. 58, 921, 75» 875
RECEIPTS AND IHSRURSEMEETS 1925
Recapitulation of Disbursements, Balances, etc. , Fiscal Year 198o
[Repayments to appropriations in excess of disbursements are printed in ifaffcef
2n
Appropriations from the genersI fund
Appropriations available in 1925 Total disbursements in
1925 Amount carried to
surplus fund Balances June
30 1925 Balances July 1, 1924 Appropriations
PUBLIC DEBT
(principal chargeable against ordinary receipts) (Details on p. 249)
No year (continuous)
Total ordinary, including public debt disbursements chargeable against ordinary receipts
PUBLIC DEBT
$228, 974. 22
1, 367, 901, 706. 26
$466, 309, 346. 36~ » $466, 538, 113. 83
3& 541& 319& 855. 16 2, 930, 706, 986. 60 $1, 056, 756, 494. 58
$206. 75
921, 758& 080. 24
(Principal payable from permanent indefinite appro- priatio ns)
(Details on p. 250)
No year (continuous) 3, 420, 773, 301. 15 3 420' 773' 301' 15
Total, general fund
POSTAL SERVICE
(From postal revenues) (Details on pp. 261 arid 253)
Expenditures for Postal Service from postal revenues
Total, including postal
1, 367, 901, 706. 26 6& 962& 093 156. 31 " 6 351, 480, 287. 75
599, 591, 477: 59
6& 951, 071, 765. 34
1& 056& 756, 494. 58 921, 758, 080. 24
Legislative Executive Office Independent Offices Department of Agriculture Department of Commerce Department of the Interior Department of Justice, including Judicial Department of Labor Navy Department Post Office Department (payable from gen-
eral fund of the Treasury, see p. 152) Department of State Treasury Department War Department Panama Canal, maintenance and operation District of Columbia Purchase of obligations of foreign govern-
ments Interest on the public debt Premium on the public debt
$1& 856, 135. 5o 57, 876. 20
666, 191, 907. 04 97, 579, 815. 60
3, 929, 517. 44 81, 028& 456. 17
2, 570, 428. 87 2, 246, 929. 69
169, 644, 188. 72
57, 814. 73 7, 003, 985. 19
79, 570, 220. 86 203, 744, 625. 38
8, 768, 9. 01. 77 4, 830, 299. 78
38, 591, 629. 05
$18, 90rj, 453. 21 450, 670. 50
613, 169, 496. 73 86, 369, 983. 31 26, 880, 126. 30
321& 517& 234 56 25, 257, 843. 33
8, 546, 519. 10 307, 717, 096. 46
23, 317, 853. 02 17, 278, 358. 72
336, 110, 597. 65 358, 295, 580. 60
7& 395, 304. 14 41, 220, 849. 32
882, 215, 205. 84 358, 336. 01
$14, 143, 243. 03 429, 852. 97
8e, 7W, 77O. g8 159, 727, 804. 30
25& 943& 928. 26 306, 886, 277. 54
23& 397& 107. 90 8, 748, 408. 09
326, 36o, 466. 65
23, 313, 725. 41 15, 885, 905. 44
317, 984, 148. 35 348, 906, 910. 36
9, 050, 509. 73 33, 797, 069. 13
882, 014, 950. 03 358, 336. 01
$835, 20,
963, 401, 2, 453, 1, 005, 7, 154,
796, 745,
39, 716,
1, 935, 6, 689,
31, 302,
497,
589. 27 355. 87 613. 28 098. 01 909. 02 951. 50 664. 55 873. 53 417. 97
730. 83 136. 20 698. 37 658. 56
33. 32 508. 49
200, 255. 81
$5& 786, 756. 46 58, 337. 86
348, 744, 560. 92 21, 768, 896. 60
3, 859, 806. 46 88, 504, 461. 69
3, 634, 499. 75 1, 299, 167. 17
111, 279& 400. 56
61, 211. 51 6, 461, 302. 27
91, 006, 971. 79 181, 830, 637. 06
7, 113, 662. 86 11, 756. 571. 48
38, 591, 629. 05
1, 367, 672, 732. 04 Total ordinary on basis of warrants
issued Adjustment of warrant disbursements to
basis of actual cash expenditures from general fund:
Add- Credits against expenditures'4—
Proceeds of railroad securities owned by the Government
Miscellaneous credits Relief of John Burke, former Treas-
urer of the United States, act June 3 1922
Disbursing officers' credits, etc. , at beginning of fiscal year
Unpaid warrants at beginning of fiscal ear
3, 075, 010 &508. 80 » 2, 464, 168, 872. 77
143, 926, 630. 98 ~
29, 765, 158. 08
196. 00
771, 932, 016. 29
1, 396, 323. 35
1, 056, 756, 494. 58 921, 757, S73. 49
3, 411, 189, 197. 47
from th it Includes $42, 617, 666. 69 paid by warrants on account general fund, p. 273, "At par.
u Items of this character represent cash receipts whi -ts (i&(PendttureS by. Wgrran(S &P ~d&;, " ts gdr&uxt to an astua
of investments of tiust funds See adnistment of warrant &ttsbursements to basis of actual cash expenditurex
ch are credited against the expenditures shown on a warrant basis. It is necesssrv, therefore, to add back the amounts
I cash b&tsds, (See also sinn(at items included under receipts, p, 38. )
I I ~ J e ~ I ~ ~ I ~
I I I ' ~
' ll' I I I ~ I ~ ~ I 11 ~ ' I I I IIII ' ' I ~ ~ l l
~ ~ ~ ~ I I 11 ~ I' ' I I 11
~ ~ le 1 I 1': ~ ~
I l" I 1 I ~ ~ ~
I I I ' ~ I'I '
~ ~ I I ~ ~; ' ~ ~
I I ~
~ ~ I ~
~ ~ ~
~ ' I. ~
~ . . ~ ~ ~
I I
I ~ ' ~
II ~ ~
~ ~ II ' I
~ '
~
~ ' ~ ~
~ ~ ~
~ e
~ ~
I ~ ~
~ I
~ ~ ~ ~ I ~
~ ~ ~ ~ ~
~ ' ~
I I I
~ ~ ~
I ~ ' ~ ' ~
~ ~ ~ ~
~ ' ~ ~ ~
~ I ~ ~ ~ ~
I I
~ ~
I I
~ ' ' I I ~ ~ I ~ ~ ~
~ I ~ ~ I ~ ~
~ 'I I ~ ~ ~ I ~ ~ I I ~ I ~ ' ~ ~ ~
~ ' ~ ~ ~ ~ ~ I ~
~ ~ I
~ I ~ ' I' ~ ~ ' I ~ ' ' ~ ~ Il ~ ~
I ee
~ I ' ' \ ll l ~ I I ~ ' ' ' ~ ~ ~ ~ I ~ I l ' ll 'I I I
~ '
I I ' ' ~ 1 11 ~ ~ ~ ' ' ~ ~
RECEIPTS AND DISBURSEMENTS, 1925
SUMMARY OF RECEIPTS AND DISBURSEMENTS IN 1925
GENERAL FUND AND POSTAL SERVICE
275
Receipts Amount Disbursements Amount
ORDINARY
Legislative Executive Office Independent Offices Department of Agriculture Department of Commerce Department of the Interior (includes $623, -
533. 84 sales of public lands) Department of Justice, including Judicial Department of Labor Navy Department Department of State Treasury Department (includes $548, 521, -
794. 63 customs and $2, 589, 445, 887. 43 in- ternal revenue)
Wsr Department Panama Canal District of Columbia
Deduct moneys covered by warrant in year subsequent to deposit thereof
Total ordinary receipts based on re- ceipt warrants issued
Add receipts credited by repay warrants direct to appropriations to adjust warrant receipts to basis of actual cash receipts
$625, 696. 64 68. 84
57, 499, 477. 74 8, 109, 750. 09 1, 718, 326. 06
50, 8, 5,
16, 7,
'
224& 465. 95 496&, 331. 93 212, 024. 75 477, 324. 85 874, 188. 28
3, 365, 40, 22 22
433, 468. 47 891, 737. 60 553& 732. 44 536, 496. 06
3, 607& 644, 163. 96
173, 691, 789. 06
3, 607, 653, 089. 70
8, 925. 74
ORDINARY
Legislative Executive Office Independent Offices Department of Agriculture Department of Commerce Department of the Interior Department of Justice, including Judicial Department of Labor Navy Department Post Office Department, payable from gen-,
eral fund of the Treasury (see p. 152) Department of State Treasury Department War Department Panama Canal, maintenance and operation District of Columbia Interest on the public debt Premium on public debt
Total ordinary disbursements on basis of warrants issued, exclusive of pub- lic debt chargeable against ordinary receipts
Deduct items counter-entered in fiscal year subsequent to deposit thereof
Public debt retirements chargeable against ordinary receipts
Add disbursing officers' credits and receipts heretofore credited against expenditures by repay warrants to adjust warrant disburse- ments to basis of actual cash expenditures
$14, 143, 243. 03 429& 852. 97 " 32, 784, 770. 43
159, 727, 804. 30 25& 943, 928. 26
306, 886, 277. 54 28, 397, 107. 90
8, 748, 408. 09 326, 365, 466. 65
23 313 725 41 15, 885, 905. 44
317, 984, 148. 35 348, 906, 910. 36
9, 050, 509. 73 33, 797, 069. 13
882, 014, 950. 03 358, 336. 01
u 2, 464, 168, 872 77
6. 35
2& 464& 168& 866. 42
466, 538, 113. 83
600, 368, 908. 42
Total ordinary cash rceipts on basis of Daily Treasury Statement. . : (revised)
PUBLIC DEBT
Public debt receipts Excess of public debt disbursements over pub-
lic debt receipts, exclusive of public debt expenditures chargeable against ordinary recei ts P
Total receipts into the general fund Excess of all disbursements over all receipts
into the general fund
3, 781, 335, 953. 02
3, 152& 463, 162. 88
268, 310, 138. 27
3, 420, 773, 301. 15
6, 933, 799, 115. 90
18, 050, 073. 92
Total ordinary disbursements, includ- ing public debt retirements charge- able against ordinary receipts
Excess of ordinary receipts over ordinary dis- bursements on basis of Daily Treasury Statements (revised)
PUBLIC DEBT
Public debt disbursements, exclusive of re- tirements chargeable against ordinary re- ceipts
w
Total
3, 531, 075, 888. 67
250, 260, 064. 35
3, 781, 335, 953. 02
3, 420, 773, 301. 15
3, 420, 773, 301. 15
Total
POSTAL SERVICE
6, 951, 849, 189. 82 Total disbursements from the general
fund " 6, 951, 849, 189. 82
POSTAL SERVICE
5gg, 5gl, 477. 59 Postal revenues
7, 533, 3go, 593. 49
18, 050, 073. 92
7, 551, 440, 667. 41
Total receipts, including postal revenue. Excess of all disbursements over all receipts,
including postal
Total Total disbursements, including postal 7, 551, 440, 66?. 41
Postal expenditures from postal revenues " 599, 591, 477. 59
» Includes 642, 617, 666. 62 paid by warrants on account of investments of trust funds. " Repayments in excess of disbursements. &' Audited expenditures for the service of the post Office Department on pp. 251-262.
BECKIPTS &&%D DISBURSEMENTS& 1925
ACCOUXTABILITY STATEMENT OF APPROPRIATIONS, BY ACTS OF CONGRESS
P heed upon the books of the ~ during the fiscaf year ended Jane 30, lggg
1. Unexpended balances at beginning of year: Appropriations—
Ordinary Public debt chargeable against ordinary
Disbursing officers' credits Unpaid warrants
receipts
2. Appropriations: Appropriation acts, 1925—
Legislative act, June 7, 1924 Executive snd Independent Offices sct, June 7, 1924 District of Columbia sct, June 7, 1924 Department of Agriculture sct, June 5, 1924 Department of the Interior act, June 5, 1924 Departments of State, & Justice, Commerce and Labor sct,
Msy 28, 1924 Navy Department act, %lay 28, 1924 Treasury snd Post Office Departments sct, Apr. 4, 1924 Wsr Department sct, June 7, 1924
$1, 367, 672, 732 04 228 974. 22
$1, 367, 901, 706. 26 771, 932, 016. 29
1, 396, 323. 35 $2, 141, 230, 045. 90
14, 229, 016. 00 398, (76, 740. 16 26, 455, 105. 00 58, 575, 274. 00
263, 250, 455 00
68, 269, 497. 80 275, 105, 067. 00 734, 413, 600. 25 827, 970, 465. 18
Less immediately available appropriations under the foregoing sets set up during the fiscal year 1924, the unexpended balances of which are included under (I) sbove-
Legislstive sct, June 7, 1924 Department of Agriculture sct, June 5, 1924 Department of the Interior act, June 5, 1924 Departments of State, Justice, Commerce snd
Labor act, Iiay 28, 1924 Xavy Department sct, Ilay 28, 1924 %sr Department act, June 7, 1924
$60, 000. 00 3, 505, 000. 00 1, 645, 862. 00
224, 000. 00 2, 100, 000. 00
55, 922, 308. 18
2, 167, 045& 220. 34
Total immediately available items Less amounts included in the annual appropria-
tion acts for 1925 not payable from general fund of the Treasury—
Amount payable from assessments upon Fed- eral snd joint-stock land banks
Amount payable from reclamation fund, In- terior Department
Amount payable from postal revenues Amount payable from District of Columbia
water fund Amount payable from District of Columbia
gasoline tax fund Amount transferred from Xavy pension fund
interest account on account of Navy pen-
68, 457, 165. 18
354, 040. 00
10, 856, 000. 00 613, 645& 195. 25
1, 196, 860. 00
925, 000. 00
279, 187. 61
Appropriation acts, 1926 (immediately available items)— Legislative act, Mar. 4, 1925 Executive snd Independent Offices act, Jfsr. 3, 1925 District of Columbia sct, 'dsr. 3, 1925 Department of Agriculture act, Feb. 10, 1925 Departments of State, Justice, Commerce and Labor sct, Feb.
27, 1925 Department of the Interior sct, liar. 3, 1925 Xavy Department act, Feb. 11, 1925 Treasury snd Post Once Departments act, Jan. 22, 1925 War Department sct, Feb. 12, 1925
690, 713, 447. 99 1, 476, 381, 772. 35
4, 042, 316. 00 812, 000. 00
6, 818, 880. 00 10, 351, 000. 00
180, 000. 00 3, 642, 850. 00 1, 101, 000. 00
76, 000. 00 55, 620, 090. 00
Deficiencv acts— Second deficiency act, fisca year 1924, approved Dec. 5, 1924,
including $220. 68 interest on judgments under the District of Columbia
First deficiency sct, fiscal year 1925, approved Jsn. 20, 1925 Second deficiency. sct, fisca year 1925, approved Msr. 4, 1925,
including $811. 90 interest on judgments under the District of Columbia
186, 888, 509. 07 159, 504, 888. 19
58, 065, 318. 66
404, 408, 665. 92
81, 589, 186. 00
RECEIPTS AND DISBURSEMENTS& 1925
Accountability Statement of Appropriations, by Acts of Congress — Continued
277
2 Appropriations — Continued. Deficiency acts — Continued.
Less $14, 987, 026. 65 payable from postal revenues; $14, 140, - 402. 50 not available until 1926; $57, 077. 38 payable from revenues of District of Columbia water fund; and $2, 411, 789 payable from reclamation fund
Miscellaneous acts— Field service pay adjustment act, Dec. 6, 1924 $26, 357, 767. 84 Less $373, 020 payable from reclarc. ation fund;
$44, 388. 50 payable from miscellaneous spe- cial funds; and $22, 210 payable from revenues of the District of Columbia water fund 439& 618. 50
Private relief acts Public resolution No. 62, Mar. 3, 1925, for National Sesqui-
centennial Commission Public act, No. 615, Mar. 4, 1925, for payment to Government
of Canada Judgments, United States Courts (Navy), deficiency act of
Mar. I, 1921, settlement for which was not received by the Treasury Department until the fiscal year 1925
$31, 596, 295. 53
25, 918, 149. 34 2& 539) 712 58
25, 000. 00
4, 470. 76
2, 962. 50
$372, 807& 370. 39
Permanent and indefinite appropriations, actual (various acts)— Interest on the public debt Postal deficiencies Appropriation of special and trust fund receipts Other permanent and indefinite appropriations, including inter-
est on judgments, and premium on public debt
Amount reestablished from surplus fund for adjustment of fiscal officers' accounts
Total ordinary appropriations, exclusive of appropriations to cover face amount of public debt redemptions chargeable against ordinary receipts (see p. 273)
Indefinite appropriations to cover face amount of public debt retirements chargeable against ordinary receipts
882, 215, 205. 84 ' 33 266 977. 47 123, 610, 678. 05
28, 490, 295. 18
75, 969, 349
3& 075& 010& 508 80
466, 309, 346. 36
71 1, 115, 062& 211. 07
729) 723. 81
3, 541, 319) 855. 16
3. Deduct appropriations carried to surplus fund 4. Deduct unexpended balances at close of year:
Apprporiations- Ordinary Public debt chargeable against ordinary
Disbursing officers' credits Unpaid warrants Uncovered moneys (repayments)
receipts $921, 757, 873. 49
206, 75 344, 085& 919. 44
2, 565, 496. 84 6. 35
5, 682, 549, 901. 06 1, 056, 756, 494. 58
I& 268, 409, 502. 87 2& 325, 165, 997. 45
Total ordinary appropriaiions to be accounted for 5. Add authorization to credit general account of John Burke, former
Treasurer of the United States, act June 3, 1922 6 Add receipts credited direct to appropriations:
Proceeds of railroad securities ovrned by the Government Miscellaneous sources
196. 00
143, 926, 630. 98 29, 765, 158. 08
173, 691, 789 06
3, 357, 383, 903. 61
173, 691, 985. 06
Total to be accounted for as expenditures during 192 5
the fiscal year 3, 531, 075, 888. 67
THE GENERAL FUND OF THE TREASURY
Balance according to daily revised)
Add net excess of receipts quently received
Treasury statement, June 30, 1924 (un-
Receipts, fiscal year 1925: Ordinary (see page 38)— Public debt (see page 33)
over expenditures in June reports subse- 235, 411, 481. 52
2, 618, 033. 22 238, 029, 514. 74
3, 781, 335, 953. 02 3, 152, 463, 162. 88
6 g33, 799, 115. 90
7, 171, 828, 630. 64
) Of this amount the sum of f10, 266, 977. 47 wss transferred to the civil service retirement and disabilitY fund.
278 RECEIPTS AND DISBURSEMENTSr 1925
Accounttabitity Statemertt of Appropriations, by Acts of Congress — Continued
Balance according to daily Treasury statement June 30, . 1925 (un- revised)
Add net excess of receipts over expenditures in June reports subse- quently received
Deduct public debt expenditures, at par, chargeable against surplus revenue, $250, 260, 064. 35, or public debt receipts, $3, 152, 463, 162. 88, and redemptions resulting in decrease in general fund balance, $18, 050, 073. 92, and covered by public debt indefinite appropria- tions (see page 250)
Total ordinary expenditures, according to daily Treasury state- ments (revised) chargeable against ordinary receipts
$217, 835, 732. 09
2, 143, 708. 73 $219, 979, 440. 82
6, 951, 849, 189. 82
' 3, 420, 773, 301. 15
3 $3, 531, 075, 888, 67
r This is exclusive of $466, 538, 113. 83, face amount of public debt retirements chargeable against ordinary receipts, appropriations on account of which sre included above. ' Includes $3, 064, 537, 774. 84 ordinary expenditures, snd $466, 538, 113. 83, face amount, public debt retirements chargeable against ordinary receipts, ss shown on page 374,
RECEIPTS AND DISBURSEMENTS& 1925
RECAPITULATION OF TRUST FUND PRINCIPAL AND INTEREST ACCOUNTS FOR 1925 [Repayments to appropriations in excess of disbursements sre printed ln italic&]
Principal of trust funds Interest on trust funds
Summary . Ditstts sn psges— Balance July 1,
1924 Credits Disbursements in 1925
Amount csr'ried to surplus
fund
Brdsnce-turre sic, 1925
Balance July 1, 1924 Credits
Dtsburse- . rtsents tn 1925
Balance June 30& 1925
Library of Congress, interest-bear- ing principal
Smithsonian Institution, interest- bearing principal
U. S. Veterans' . Bureau, interest- bearing principal
Department of the Interior: Civil—
Interest-bearing principal Noninterest-bearing prin-
cipal Indians—
Interest-bearing principal Noninterest-bearing prin-
cipal Department of Labor, noninterest-
bearing principal Navy Department:
Interest-bearing principal
Noninterest-bearing principal »
Department of State: Interest-bearing principal Noninterest-bearing principal
Treasury Department: Interest-bearing principal Noninterest-bearing principal 2'
War Department: Interest-bearing principal
Noninterest-bearing principal '2
District of Columbia: Interest-bearing principal Noninterest-bearing principal
134 502. 27
143, 150, 152
143, 150, 152
15, 546, 114. 13 488, 371. 88
495, 533. 03
162 162-164 357, 271, 14
193 250, 000. 00 169, 5, 598, 846. 44
176& 193
146& 110. 12 171, 466. 83
197, 233, 234 197, 233
247 247
6, 494, 533. 20 1, 280, 626. 32
19, 379, 606. 96
33, 798. 87 473, 819. 61
8, 041. 67
301, 703. 83 1, 517, 425. 87
46 $20, 000. 00
56 1, 000, 000. 00
61 475, 765. 48 $43, 941, 103. 50
87 1, 698, 941. 23 18, 415, 350. 01
86, 88, 95 785, 980. 23 278, 753. 26
103 — 110 16, 784, 356. 69 1, 148, 290. 43
105-107 7, 565, 072. 23 30, 309, 014. 43
is $43 989 728 75
22 18& 627& 174. 36
225, 165. 29
1, 398, 106. 93
23, 869, 247. 63
713& 551. 84
1&& 110. 61
2' 142, 568. 91 123, 578. 68
1& 3M& M/j. 8/j
2, 196, 759. 08
959. 44
282, 766. 30 BB 1, 539, 649. 59
$20,
1, 000,
000. 00
000. 00
Bo 427& 140 23
» 1, 487, 116. 89
16, 534, 540, 19
14, 004, 83k 03
502. 27
15, 320, 934. 17
499, 643. 54
22 3, 541. 21 405, 159. 29
250& 000. 00 6 931 171 28
5, 578, 400. 44
19, 386, 689. 19
52, 736. 40 " 451, 595. 89
09 839, 568. 11
$502. 60 $800. 00 $1, 000. 00 $302. 60
60, 009. 00 60, 000. 00
(Br)
(24)
731, 618. 58
"8, 016. 36 (Bs)
/Bo)
8, 016. 36 5 62(
tt&J
33, 688. 26
10, OGG. 00 10, 000. 00
124, 629. 12 126, 939. 85 31& 377. 52 8
(BB)
773, 043. 23 754, 679. 39 796, 104. 04
Total 76, 960, 141. 51 98, 006, 258. 15 91& 772& 821. 44 09 83 193 578 13 815, 250. 44 950, 108. 51 994, 043. 89 771, 315. 06
» Includes $32, 533, 709. 44 paid by warrants on account of investments of trust funds. » Exclusive of $148, 413, 950 face amount of bonds held on June 30, 1925, by tbe Secretary of the Treasury
for account of "U. S. Government life insurance fund. " » Interest on "U. 8, Government li(c insurance fund" is credited to principal. » Includes $9, 746, 622. 04 pnid by warrants on account of investments of trust funds. » Exclusive o( $43, 368, 350 face amount of bonds beld on June 30, 1925, by the Secretary of tbe Treasury
for account of "Civil-service retirement and disability [und. " rr Interest on "Civil-servico retirement and disability fund" is credited to principal. » See noto 31, p. 151. rr See note 32 p. 151. ~ r Includes allotments of Navy snd Marine Corps pny under war risk insurance act.
» Includes $82, 668. 91 paid by warrants on account of investments of trust funds. » Exclusive o( $80, 650 face amount of bonds held on June 30, 1926, by the Secretary of tbe Treasury for
account of "Foreign service retirement and disability fund. " rr Interest on "Foreign service rrttrement and disability fund" is Credited to principal. » Includes allotments of Coast, Guard pay under Wsr risk insurance act, » Includes allotments of Army pay under wsr risk insurance nct, » Includes $255 766. 30 paid by warrants on account of invostrnmrts of trust funds. r' Exclusive of 41, 139, 190 (aco nrnount of bonds held on Junc 30, ttr25, by the Socretsry of the Treasury for
account of "Teachers' retirement fund, deductions, District of Colum(&is. " rr Interest on "Teachers' retirement fund, deducbions, ttistrict of (, 'olumbis, " Is crcditcrt to prlnolpal.
-itllBIPTS 'AND DXSB@ICRMEKTSr 1925
GOLD RESERVE FUND, $153, 6%, 985. 51
There was no redemption of United States-notes for gold from the. reserve fund. during the year. The reserve fund was increased by $641, 959. 88 during the year, being the amouht of purchase tax receipts paitl into. the Treasury by the Federal reserve banks and Federal intermediate credit banks on account of earnings in the calendar year 1924. "-:
TRUST FUNDS [Reserved against outstanding gold snd silver certiscstes snd: Tressurr notes of, 1890]
Gold certificates issued- Silver certificates issued
Total
: Amount
$828, 350, 000 531, 472; 000
1, 359, 822, 000
Redemptions
, Gold certificate redeemed Silver certificates redeemed . Treasury notes of 1890 redeemed
-Total=
i
Increase in trust funds
Total
Amount.
::$404, 195, 700 488, 8+ 850
37» 744
893, 076, 294 466, 745, 706
1, 359, 82/ 000
RECEIPTS AND DISBURSEMENTS& 1925 281
RECAPITULATION OF DISBURSEMENTS MADE FROM THE ANNUAL. AND INDEFINITE APPRO- PRIATIONS FOP "INCREASE OF COMPENSATION" DURING THE FISCAL YEAR 1925
[Repayments to appropriations in excess of disbursements are printed in italics]
1924 1923
Annual for fiscal years—
1922 1921 1920 1919 1918
Indefinite for fiacal years— Certified claims
Total for fiscal year 1925
Increase of Compeneafion; United States Senate House of Representatives Office of Architect of the Capitol Botanic Garden Library of Congress Care snd maintenance, Library of
Congress Government Printing Office Bureau of Efficiency Civil Service Commission Commission of Fine Arts United States Employees' Compensation
Commission Federal Trade Commission General Accounting Office Interstate Commerce Commission Advisory Committee for Aeronautics Smithsonian Institution State, War, and Navy Department
Buildings United States Tariff Commission United States Veterans' Bureau Department of Agriculture Department of Commerce Department of the Interior Indian Service Department of Justice Department of Labor Navy Department Naval Establishment Post Office Department, Treasury savings
certificates Department of State Treasury Department Federal Farm Loan Board, special fund War Department National Home for Disabled Volunteer
Soldiers War Department proper Military Establishment Rivers and harbors Panama Canal District of Columbia " District of Columbia " District of Columbia 'a Engineer Department of Army, District
of Columbia» National Zoological Park, District of
Columbia " Judiciary District of Columbia" Water department, District of Columbiax' Washington Aqueduct, District of Colum-
bia "
8898. 86 19& 681. Olj.
868. 80 888. 68
I, /1/. 68
186. 61 4, 993. 15
886. 00 800. 11
8. 80
108. 08 o86. 01
I, 488. 60 8, 718. 99
7'8. 0~ $78. 0$
8& 607. 86 9/&. 8. 6/&.
86, 881. 77 75, 689. 44
8, 451. 08 87, 698. 88 88, 789. 70 18, 9/&. 8. 65
1, 084. 34 678. 86
17, 593. 16
186. 00 181. 0/&
100& 88/)l. 97 10. 00
141, 664. 94
86, 690. 07
107. 86
88, 861. /r8 8& 780. 6/&
1, 898. 68
888. /&6
60. 90 . 7r
BI& 981. 68
17, 859. 0$ 85. 22
7& 478. 98 97& 151. 02
91. 61 108. 88
6, 189. 90
o, 888. 01
/&. ) 068. 91
/r9. 87
. 68
. 76 18. 88
8. 07
61. 9o . 67
10. 00 88o. /&I
166. 88 80. 00
80. 66 18. /&7
8108& 660. 76 80. 88
86. 00
84. 56
. 16
1. 91 $0. 80
18. 00
. 67
$456. 67 7. 00
, 22 58. 72 42. 33 7. 33
187. 67
120. 01
1, 201. 65 78, 008. 79
500. 38
8898. 86 19, 681. 0/j
868. 80 888. 68
I, 71/. 68
186. 61 3, 061. 19
886. 00 800. 11
8. 80
187. 86 6/&0. 8/&
I) 488. 60 8, 718. 99
78. 0$ /&78. 0$
8& 687. 80 9/&8. 6/&
I51, 875. 88 75, 781. 66
949. 97 69, 611. '36 88, 798. 78 19, 0/&8. 68
/r& 981. 88 678. 86
17, 592. 33
186. 00 181. 04
106& 156. o9 10. 00
137& 611. 03
8o, 690. 07 1, 198. 65
77, 847. 94 334. 06 107. 86
. 67 88, /&$/&. /&8
8, 780. 5/r
1, 898. 68
888. /&6
60. 90 . 7r
$78. 99
Total, Increase of Compensation /&I& 018. 87 54, 031. 73 109, I/j6. 86 88. 08 76. 49 8. 07 18. 80 80& 590. 77 16) 518. 6/r
s payable 50 per cent from the revenues of the District of Columbia. "Payable 80 per cent from the revenues of the District of Columbia. "Payable whoBy from the revenues of the District of Columbia.
282 RECEIPTS AND DISBURSEMEI&ITS~ 1925
RECAPITULATION OF DISBURSEMENTS MADE FROM THE APPROPRIATIONS FOR "PRINTING AND BINDING" DURING THE FISCAL YEAR 1925
[Repayments to appropriations in ezcess of disbursements are printed in italics)
1925 1925 1922 Total for fiscal year 1925
Printing and binding: Library of Congress Government Printing Office (public printing and binding) Executive Office Advisory Committee for Aeronautics Alien Property Custodian Bureau of Efficiency Civil Service Commission Commission of Fine Arts United States Employees' Compensation Commission Federal Power Commission Federal Trade Commission General Accounting Office United States Housing Corporation Interstate Commerce Commission Railroad Labor Board Smithsonian Institution State, Wsr, snd Navy Department-Buildings Office of Public Buildings snd Public Parks of the National Capital United States Shipping Board United States Tariff Commission United States Veterans' Bureau United States Geographic Board Department of Agriculture Printing and binding publications "Diseases of the Horse" snd "Dis-
eases of Cattle" Department of Commerce Patent Office Department of the Interior Department of Justice Department of Justice snd courts Court of Claims United States Supreme Court Department of Labor Navy Department Department of State Pan American Union Treasury Department Bureau of the Budget Wsr Department Supreme Court, District of Columbia
$249, 102. 59 943, 489. 15
2, 750. 00 9, 138. 64 1, 000. 00
495. 00 50, 464. 22
281. 76 4& 000. 00 3, 000. 00
20, 000. 00 21, 451. 73
980. 78 125, 000. 00
5, 000. 00 45, 744. 62
698. 23 2, 000. 00 5, 000. 00 6, 994. 92
193, 801. 75 90. 68
365, 723. 23
380, 000. 00 275, 000 00 807, 960 90
220, 473. 93 43, 000. 00 24, 631. 94
146, 000. 00 367, 440. 53
79, 655. 54 20, 000. 00
660, 425. 25 24, 600. 00
344, 822. 62 4, 084. 31
$3, 657. 89 270, 713. 76
8, $8 3, 809. 44
159. 91 3, 305. 53
86. 61 580. 48 999. 70
186. 78 81'. 08 408. 56
4, 270. 59 3, 355. 38 1, 726. 81
706, 66 14, 999. 04 84& 61f7. 68
113. 10 286, 872. 90
94, 576. 15 125, 057. 16
140, 836. 21
12, 623. 18
10, 357. 57 69, 876. 90
194, 329. 08 67, 954. 13
199, 685. 15
197, 712, 93 9/0. J&1
81, 880. 11
. 52
17O. OO
17, 441. 39
10, 507. 90
8, 480. 81 963. 39
840. 69 8, 708. 87
724. 23 171. 00
8, 534. 56
8, 678. 79
8& 689. 58
2, 747. 58 12 948. 08
1, 000. 00 335. 09
53, 769. 75 255. 15
3, 479. 58 3, 999. 70
20, 000. 00 21, 638. 51
766. 76 125, 409. 08
9, 270. 59 48, 930. 00
2, 425. 04 2, 000, 00 4, 293. 35
21, 993. 96 109, 154. 12
203. 78 670, 037. 52
94, 576. 15 515, 565. 06 275, 000' 00 957, 277, 92
963. 39 233, 097 11
42, 759. 31 32, 280. 64
216, 601 13 561, 598. 61 156, 144. 23 20, 000. 00
857, 43L 61 24, 600. 00
539& 896, 03 3, 143. 90
$252, 760. 48 1, 212, 872. 80
Total 5, 454, 302. 32 1, 620, 209. 87 36, 713. 82 7, 111, 226. 01
RECEIPTS AItfD DISBURSE1KEltfTS 1925
geeapjtufation of disbursements made from permanent and indefinite appropriations in IMo l, egisl ati ne:
Bequest of Gertrude M. Hubbard, Library of Congress, interest account Special fund—
Chamber music auditorium, Library of Congress
Inrtepenrtent Ogcesr Salarie and exPenses, Federal Board for Vocational Educst'o Salaries and expenses, vocational rehabilitation of persons disabled in
industry Cooperative vocational rehabilitation of persons disabled in industry Cooperative vocational education, teachers, etc Cooperative vocational education in agriculture Cooperative vocational education in trades sn'd industries
Guaranty to carriers after termination of Federal control Reimbursement to carriers of deficits during Federal control
Expenses of Smithsonian Institution (interest on trust fund) Judgments in admiralty suits under act Mar. 9, 1920, United States
Shipping Board Special funds—
Relief of the indigent and redistribution funds, Alaska fund Payments to States under Federal water power act Salaries and expenses, Federal Reserve Board General railroad contingent fund, section 15a, Interstate Com-
merce sct Construction loan fund, U. S. Shipping Board Military and naval insurance, Veterans' Bureau Vocational rehabilitation, Veterans' Bureau
$189, 893. 96
61, 903. 88 556, 062. 31
1, 037, 307. 42 2, 418, 309. 95 2, 461, 434. 64
22, 922, 651. 94 720, 967. 66
15, 921. 85 2, 063. 07
1, 676, 733. 21
1, 206, 029. 78 9, 861, 422. 26 3, 742, 848. 02
672. 25
$1, 000. 00
56, 000. 00
6, 724, 912. 16
23, 643, 619. 60 601 000. 00
71, 157. 64
$57, 000. 00
Trust fund— United States Government life insurance fund, Veterans' Bureau
Department of Agriculltrrer Acquisition of lands for protection of watersheds of navigable streams Cooperative agricultural extension work Cooperative construction of rural post roads Cooperative construction, etc. , of roads and trails, national forests Federal forest road construction Forest road development Forest highways
Meat inspection, Bureau of Animal Industry Refund to depositors, excess of deposits, national forests fund Special funds—
Cooperative work, Forest Service Expenses, cotton standards act Payments to States and Territories from national forests fund Payments to school funds, Arizona and New Mexico, national
forests fund Roads snd trails for States, national forests fund
Department of Commerce: Refunding penalties or charges erroneously exacted Refunding moneys erroneously received and covered into the Treasury
95, 336, 693. 12 1, 443, 882. 05
16, 701. 87 2, 948, 321. 02 5, 198, 406. 84
2, 431, 378. 22 34, 483. 32
11 301I 848. 22
44, 503. 87 507, 470. 54
16, 505, 690. 44
ss 43, 989, 728. 75 90, 995, 108. 41
17, 684. 07 4, 559, 605. 00
104, 944, 004. 90 3, 000, 000. 00
102, 061. 91
4I 319, 684. 17 116, 943, 040 05
Ii 314. 48 871. 90
Department of the Interior: Repayments for lands erroneously sold Colleges for agriculture and the mechanic arts Civiltzstion of the Sioux Inter est on Indian trust funds Payment to Crow Indians for lands, act June 4, 1920 Special funds—
Deposits by individuals for surveying public lands Payments to States from receipts under mineral leasing act 5 snd 3 per cent funds of the net proceeds of sales of public
lands in the States Reclamation fund Yums auxiliary irrigation project, Arizona National Park Service, donations Public schools, Alaska fund Indian school improvements, act April 21, 1904 Maintenance, Wapsto irrigation project, Wash
33, 552. 35 4, 656, 157. 21
17, 008. 17 «3, 829, 284. 36
7, 235. 94 I, 464. 80
68, 653. 52 716. 46
8. 73
68, 895. 2, 55, 000.
183, 314. 796, 104. 308, 803.
70 00 02 04 70
8, 614, 081. 54
2, 186. 38
«Includes 333, 333, 709. 44 paid by warrant on account of investment of trust funds. « Includes 31, OCC, tNC reimbursed to the Trelury on account of advances heretofore made to the reclamation fund as provided bv law.
IIZCZIP TS ANIL 1118aIIRSEMEI-TS, 1925
Recapif uhttion of disbursemenfs made
porn
permanent and inffsfinifc appropriations in 198$~ntinued
Department of the Inferior — Continued. Trust funds—
Completing surveys within railroad land grants Outstanding liabilities, lands Unearned moneys, lands Civil service retirement and disability fund Personal funds of patients, St. Elizabeths Hospital Pension money, St. Elizabeths Hospital Indian moneys, proceeds of labor Miscellaneous trust funds of Indian tribes
Department of Justice: Return of unclaimed moneys deposited by clerks of courts
Department of Labor: Naturalization fees, publishing citizenship textbooks, Bureau of Natu-
ralization Special fund—
Return to deported aliens of passage money coHected from steam- ship companies
Kacy Department: '&!aval Home, Philadelphia, Pa~ Special funds-
Xavy fines and forfeitures Clothing and small stores fund Ship's stores profits, Navy Naval hospital fund
Trust funds- Pay of the Navy, deposit fund Pay of the Marine Corps; deposit fund Prize money to captors Prize money to captors, Spanish War
Post Once Department: Deficiency in the postal revenues
Department of Stale: Pay of consular officers for services to American vessels and seamen Refunding passport fees Salaries and expenses, United States court for China Refunding moneys erroneouslv received and covered into the Treasury Special funds—
German Government's moiety, expenses, Mixed Claims Commission Pan American Union quotas
Trust funds— Miscellaneous trust funds Foreign service retirement and disability fund
$15, 535. 71 33L 71 154. 52 " 18, 627, 174. 35
188, 595. 21 20, 548. 14
23, 642, 487. 35 1, 624, 867. 21
544, 260. 32 8, 225, 472. 91
517, 992. 05 645, 825. 09
114, 409. 66 599& 142. 18
21. 49 14. 83
8, 804. 75 75, 053. 05
123, 578. 68 's 142, 568. 91
48, 040. 71
1, 655. 60
169, 887. 44
49, 696. 31
9, 933, 550. 37
713, 588. 16 10, 817, 025. 97
'-' 23, 000, 000. 00
10, 255. 22 9. 00
500. 00 3, 593. 20
83, 857. 80
$44, 119, 694. 20 $56, 640, 893. 20
25, 223. 12
Treasury Department: Recoinage of silver coins Expenses of loans Preparation and issue of Federal reserve notes (reimbursable) Relief of Liberty loan subscribers of certain banks Debentures or drawbacks, bounties, or allowances (customs) Refund of excessive duties (customs) Refunding moneys erroneously received and covered into the Treasury
(customs) Refunding proceeds of unclaimed merchandise (customs)
15, 284& 131. 10 7, 136, 797. 11
712. 99 7, 622. 91
266, 14?. 59
268, 837 01 1, 231, 8?2. 44
311, 605. 06 24. 00
364, 362. 81
Refunding to national banking associations, excess duty Contingent expenses, national currency (reimbursable) Allowance or drawback (internal revenue) Redemption of stamps. (internal revenue) Refunding moneys erroneously received and covered into
(internal revenue)
To promote the education of the blind (interest)
the Treasury
352, 336. 69 1, 004, 665. 33
108. 47
22, 429, 264. 11 31. 50
168, 751. 91
1, 357, 110. 49 10, 000. 00
'i Includes $9. 74s, s22. 04 paid by warrant on account of investment of trast funds. o Exclusive of $10, 266, 977. 47 transferred to "civil service Retirement and Disability Fund, " p. 295. o Includes i. '. . &&-'~. 91 paid by warrant on sccouat of investments of trust fuads.
EECEXPTS AND DISBURSEMENTS, 1925
It~apitrstatian af. d!'+ursemerits made from. permanent and indefinite appr rrpriatio'ns in 1925 — Continued
285
Treasury Department Cotrtinued. Special funds-
Chsrges on silver dollar bullion sold Salaries, Federal Farm Loan Board Salaries and expenses, reviewing appraisers, Federal Farm Loan
Board Expenses of additional personnel, Federal Farm Loan Board,
under section 206 (a), agricultural ciedits act of 1923 Miscellaneous expenses, Federal:Fsr'm Loan Board Salaries snd expenses, national bank examiners Additional incoirie ttlk on railroads in Alaska (internal revenue) Porto Rico special fund (internal revenue) Building or purchase of such vessels ss nrsy be required for the
Coast Guard, proceeds of sales Rebujlding snd improving Coast Guard stations, proceeds of sales
2i
$65, 000. 00 197, 957. 35
27, 403. 15
31, 985. 66 111, 496. 49 108, 028. 45 20, 398, 02
117, 830. 70
3, 322 28 17, 948. 91
War Department: Claims of officers and men of the Army for destruction of private property
::Extra@ay', Regular Army, war with Spain Extra pay to volunteers, war with Spain Replacing Signal Corps supplies and equipment 36, 845. 24 Replacing ordnance and ordnance stores (transfer to Navy Depart-
ment, act May 21, 1920) 3, 014, 79
$2, 701, 870. 96 $28, 478, 867. 48
773. 56 155. 60 671. 90
Soldiers' Home interest account Special funds—
Construction of noncommissioned officers' quarters, San Porto Rico
Ordnance material, proceeds of sales (War) Sale of property, Philippine Government Wagon roads, bridgesi and trails, Alaska fund Funds contributed for improvement of roads, bridges, and
Alaska
Juan,
trails,
Funds contributed for improvement of- Beverly Harbor, Mass Galveston channel, Texas, sea-wall extension Brazos Island Harbor, Tex Sabine-Neches Waterway, Tex Gulfport Harbor, Miss Crescent City Harbor, Calif Richmond Harbor, Calif Yaquina Bsy, Oreg Nome Harbor, Alaska Waterway from Mississippi River to Sabine River, La Mississippi River, Yazoo, Miss. , Delta Levee District, Miss Flood control, Mississippi River Flood control, Sacramento River, Calif Umpqua River, Oreg Entrance to Coquille River, Oreg Return of funds contributed for river and harbor works
Trust funds- Psy of the Army deposit fund Soldiers' Home permanent fund Preservation, birthplace of Abraham Lincoln Estates of deceased soldiers, United States Army
'Ar'rrring. and equipping the militia Examination and surveys at South Pass, Mississippi River Gaugiiig the waters of Mississippi and its tributaries Maintenance of channel, South Pass, Mississippi River Operating snag and dredge boats on upper Mississippi, Illinois, and
Minnesota Rivers Operating snag boats on the Ohio River Operating and care of canals snd other works of navigation Permanent International Commission of Congresses of Navigation Removing obstructions in Mississippi, Atchafalaya, and Old Rivers Removing sunken vessels or craft obstructing or endangering nsvi-
gation
9, 823. 78 9, 865. 00
99, 000. 00
22, 993. 79 44, 698. 96
4, 734, 485. 16 999. 88
99, 165. 43
213, 582. 86
145. 00 65, 457. 54 8, 580. 00
150, 972. 91
97, 736. 73
39, 771. 14 280, 000. 00
48, 900. 00 853, 500. 00
50, 000. 00 45, 277. 29 26, 000. 00 25, 000. 00
5, 000. 00 50, 600. 33
199, 682. 79 2, 249, 513. 75
257, 950. 58 30, 000. 00 12, 000. 00
110, 689. 43
1, 407, 490. 44 789, 268. 64
2, 500. 00 46. 30
39, 860. 03 1. 00
5, 234, 114. 86 124, 439. 85
317, 892. 18
3, 728. 835. 31
2, 199, 305. 88 11, 646, 049. 67
286 RECEIPTS tfII& DISBURSK$IEKTSr 1925
Recapitulation of disbursements made from permanent and indefinite appropriattons in IM5 — Contiftued
District of Columbia: Extension, etc. , of streets and avenues Refunding taxes Special funds—
Escheated estates relief fund Industrial Home School fund Gasoline tax road and street improvements Washington Aqueduct Water Department Refunding water rents, etc
Trust funds— Miscellaneous trust fund deposits Outstanding liabilities Permit fund Policemen and firemen's relief fund Teachers' retirement fund deductions Washington redemption fund
Public debt: Principal chargeable against ordinary receipts Principal payable from permanent indefinite appropriations Interest Premium on the public debt
Total disbursements from permanent and indefinite appropriations
« Includes $255, 7M. 30 paid by warrant on account of investments of trust funds.
$170. 33 4, 889. 62
761, 253. 03 198& 501. 61
1, 078, 9?6. 93 500. 00
1, 084, 080. 43 20. 80
69, 692. 42 36, 8?4. 67
44 282, 766. 30 348, 981. 27
$48, 160. 72 31, 967. 90
2, 044, 291. 52
1, 822„415. 89 $3, 946„836. 03
466, 538, 113. 83 3, 420, 773, 301. 15
882, 014, 950. 03 358, 336. 01
4, 769, 684, 701. 02
5, 112, 650, 990. 45
RECEIPTS AM) DISEIIRSEMENTS, 1925 287
UCTIONS ($17, 905, 070. 98) TRANSFERRED FR() M F THE FOLLOWING G ACCOUNTS WHICH WERE LITY FUND, " AS STATED ON PAGE 87
STATEMENT SHOWING AMOUNTS OF 2+a PER CENT DED ($1, 613, 517. 68) AND APPROPRIATIONS ($16, 291, 553. 30) O TO THE "CIVIL-SERVICE RETIREMENT AND DISABI
BALANCES CREDITED
LEGISLATIVE
Architect of the Capitol: Salaries, Office of Architect of the
Capitol Elevator conductors, Capitol, snd
Senate snd House Office Build- Ings
Capitol Building snd repairs Improving the Capitol Grounds Capitol power plant Maintenance, Senate Office Build-
ing Maintenance, House Office Building Library building and grounds
Total, Office of Architect of the Capitol
1925 1925 1925 1925
1925 1925 1925
1, 824. 00 793. 25 951. 50
41 524. 00
1, 700. 00 1, 909. 00
752. 00
13, 228. 50
1925 $774. 75 Salaries and expenses, Civil Service
Commisston
Additional employees, Civil Service Commission
Salaries snd expenses, employees' re- tirement act, Civil Service Com- mission
Total, Civil Service Commis- sion
1925 1924
1924
1925 1924
Commission of Fine Arts: Expenses, Commission of Fine Arts 1925
Citnl Service Commission: Salaries, Civil Service Commission 1925
1924 &14 000 00
3, 180. 66
450. 00 152. 00
454. 09
550. 00 178. 99
18, 965. 74
85. 50
Botanic Garden: Salaries 1925
Library of Congress: Salaries 1925 Care and maintenance 1925
Total, Library of Congress
Government Printing Office: Salaries, Office of Public Printer 1925 Public printing snd binding, Gov-
ernment Printing Office 1925 Salaries, Office of Superintendent of
Documents 1925
Total, Government Printing Oflice
Total, Legislative
EXECUTIVE OFFICE
1, 217. 00
18, 569. 75 2, 528. 45
21, 098. 20
2, 806. 00
152, 000. 00
7, 506. 00
162, 312. 00
197, 855. 70
Employees' Compensation Commission: Salaries, Employees' Compensation
Commission 1925
Federal Board for Vocational Education: Permanent—
Salaries and expenses, Federal Board for Vocational Edu- cation 1925
1924 Salaries and expenses, voca-
tional rehabilitation of per- sons disabled in industry 1924
Total, Federal Board for Voca- tional Education
Federal Power Commission: Federal Power Commission 1925
Federal Trade Commission: Federal Trade Commission 1925
1924
3, 090. 00
3, 000. 00 474. 78
492. 41
3, 967. 19
157. 80
10, 650. 00 ' 7, 000. 00
Executive Offt ce: Salaries, Executive Office Contingent expenses, Executive
Office Improvement and care of public
grounds, Executive Mansion
Lighting, etc. , Executive Mansion,
Repairs, fuel, etc. , Executive Msn-
Extraordinary repairs, Executive Mansion
1925
1925
1925 1924
1925 1924
1925 1924
1924
2, 150. 50
361. 50
35. 00 2. 34
50. 00 5. 40
800. 00 541. 79
28. 93
Total, Federal Trade Commission
General Accounting Office: Salaries, General Accounting Office 1925
1924
Total, General Accounting Office
fnterstate Commerce Commission: Interstate Commerce Commission 1925
1924
Total, Interstate Commerce Commission
3, 650. 00
80, 000. 00 5, 043. 73
85, 043. 73
83, 895. 70 12, 973. 68
96, 869. 38
Total, Executive Oflice
INDEPENDENT OFFICES
Alien Property Custodian: Salaries snd expenses, Office of Alien
Property Custodian 1925
American Battle Af onuments Commission: AInericsn Battle Monuments Com-
mission 1925 1924-25
Total, American Battle Monu- meitts Commission
Bureau of Efficiency. Salaries and expenses 1925
3, 975. 46
2, 500. 00
139. 35 lb. 50
154. 85
3, 150. 00
Ãational Advisory Committee for Aero- nautics:
Advisory Committee for Aero- nautics
Advisory Committee for Aero- nautics (transfer to Dept. of Commerce, act 5lay 28, 1924)
Total, National Advisory Com- mittee for Aeronautics
Railroad Labor Board: Salaries and expenses
Total, Railroad Labor Board
& Debit item.
1925 1924
1925
1925 1924
5, 112. 63 611. 58
660. 00
6, 384. 21
1, 200. 00 235. 00
1, 435. 00
288 RECEIPTS AND DISBURSEMENTS~ 1925
0. 88) transferred from balances ($1, 618, 617. 68) and appropriations to the "Ciuil-seroice retirement and disability fund, " ae stated' on
Statement shoioing amounts of 8+ per cent deductions (817, 806, 07 ($'16, 801, 668. 80) of the follouring accounts Iohich mere credited page 87 — Continued
Smithsonian Institution: Additional assistant secretary American ethnology Astrophysical observatory International Catologue of Scien-
tific Literature International exchanges National Gallery of Art
Total, Smithsonian Institution
1925 1925 1925
1925 1925 1925
National Museum: Buildings, repairs 1925 Furniture and fixtures 1925 Heating snd lighting 1925 Preservation of collections
'
1925
Total, National Museum
Office of Public Buildings and Public Parks of the National CapitaL
Salaries, Office of superintendent State, War, and Navy Depsrt- partment Buildings 1925
U. S. Shi pping Board: Salaries and expenses, U. S. Ship-
ping Board 1925
U. S. Tariff Commission: U. S. Tariff Commission 1925
1924
Total, U. S. Tariff Commission
$150. 00 1, 031. 00
489. 00
194. 68 681. 75 401. 80
2, 898. 18
182. 88 245, 97 968. 38
10, 079. 65
ll, 476. 88
40, 485. 65
2, 909. 50
3, 500. 00 499. 81
8, 999. 81
Department of Agriculture — Continued. Office of Experiment Stations-
Sslaries 1925= General expenses= - 1925
1924 Extension Service-
Sslaries . 1925 General expenses 1925
-1924 1928-;24 '. .
Weather Bureau- Sslsries 1925 General expenses 1925.
1924: Bureau of Animal Industry-
Salsries 1925 General expenses ' ' ' 1925 Eradication of foot-snd-mouth
and other contagious diseases of animals 1924 — 25
Experiments and demonstra- tions in livestock production 1925
1924 Bureau of Plant Industry—
Salaries 1925 General expenses 1925
1924 Investigating sources of crude.
rubber, Department of Agri- culture 1923-. 24
Forest Service- Shlsries 192' General expenses ' 1925:
1924
$800. 00 2, 500. 00 . :518. 39
41 275. 00 6, 000. 00
-812. 54 g9. 60
9, 000. 00 20, 200. 00
1, 061. 25
15, 780. 00 23, 126. 00
1, 872. 81
149. 00 '60. 95
10, 520. 00 38, 094. 00
76 56
53, 42
55, 000. 00 20, 000. 00 15, 882. 76
U. S. Veterans' Bureau: Salaries and expenses, Veterans'
Bureau 1925 1923
Salaries and expenses, Veterans' Bureau (transfer to Treasury Department, Public Health Serv- ice, sct Feb. 13, 1923) 1924
Administrative expenses, World War adjusted compensation act, Veterans' Bureau 1924 — 25
Hospital facilities and services, Veterans' Bureau No year.
Medical and hospital services, Vet- erans' Bureau 1923
Medical snd hospital services, Vet- erans' Bureau (transfer to Navy Department, act Feb. 13, 1923) 1924
Medical snd hospital services, Vet- erans' Bureau (transfer to De- partment of the Interior, St. Elizabeths Hospital, act June ?, 1924) 1925
Total, Veterans' Bureau
862, 000. 00 72, 095. 45
74. 08
20, 000. 00
2, 034. 42
81, 821. 78
4. 00
1, 077. 00
1 089 106 73
Office of the Secretary: Salaries, Office of Secretary of
Agricidture Salaries, Department of Agri-
culture Compensation, m e c h a n i c s I
shops snd power plant, De- partment of Agriculture
Office of Editorial snd Distribution Work-
Salsries General expenses
1925
1924
1925 1924
1925 1924
8, 800. 00
6, 787. 89
2, 000. 00 1, 802. 80
. 7, 600. 00 17. 29
Total, Independent Offices 1, 326, 380. 15
DEPARTMENT OP AGRICULTURE
Cooperative fire protection of forested watersheds of navig- able streams 1925
1924
Bureau of Soils— Salaries General expenses
Bureau of Entomology— Salaries General expenses
1925 1925 1924
1925 1925=:— 1924
General expenses, Bureau of Entomology (transfer to De- partment of Commerce, Bu- reau of Standards, act May. 28, 1924) 1925
Boll-weevil poisoning by air- plane 1923-24
Preventing spread of Mexican. ,
bean beetle 1925 1924
Preventing spread of moths 1925 1924
Prevention of spread of Euro- pean corn borer 1925
. . 1924 Bureau of Biological Survey- s slsries 1925
General expenses 1925 1924
. division of Accounts snd' Disburse- ments — Salaries 1925
Insect infestations, Forest Serv- ice 1922-Dec. . 81, 1922
Olympic National Forest 1924 Protection of lands involved in
Oregon k California Railroad forfeiture suit 1924
'
Bureau of Chemistry— Salaries 1925 General expenses 1)25
1924
250. 00 281. 79
79. 42 75. 95
49. 69
7, 800. 00 18, 015. 00 I, '285. 14
1, 200. 00 2, 900. 00 1, 652. 17
1, 728 00 6, 930. 00 6, 506. 77
85. 00
143 50
150. 00 272. 16
2, 360. 00 2, 227. 19
650. 00 ?67, 36
2, 500. oo
4, 505. 00 923. 14
1, 500 00
I!ECZIPTS AND DISBUESEMENTS& 1925 289
SA t ment shounng amounts of gas per cent deductions ($17, 906, 070. 98) transferred from balances ($1, 618, 617. 6'8) and appropriations ($18&991&668. 80) of the following accounts tahich mere credited to the "Civil-service retirement and disability fund, " as stated on page 87 — Continued
Salaries and expenses, Wool Division, Bureau of Agricul- tural Economics
Administration of the United States warehouse act
Enforcement of the standard
1925 1924
1925 1924
container act 1925 1924
Department of Agriculture — Continued. Library, Department of Agricul-
ture— Salaries, Library, Department
of Agriculture 1925 Library, Department of Agri-
culture 1924 Bureau of Public Roads—
Salaries 1925 General expenses 1925
1924 Bureau of Agricultural Economics—
Salaries 1925 General expenses 1925
1924
$573. 00
160. 77
2, 000. 00 8, 600. 00 1, 452, 51
18, 694. 00 23& 544. 00
9, 787. 45
134. 00 3. 54
1, 619. 00 816. 63
60. 00 25. 00
Department of Agriculture — Continued. Permanent and indefinite—
Cooperative construction of rural post roads No year.
Cooperative construction, etc. , of roads and trails, national forests
Federal forest road construc- tion do
Forest road development do Forest highways do Meat inspection, Bureau of
Animal Industry 1925 1924
Special funds— Cooperative work, Forest
Service No year. Roads and trails for States,
national forests fund do
Total, Department of Agriculture
DEPARTMENT OF COMMERCE
$47, 529. 51
2, 881. 70
530. 57 2, 381. 80 7, 664. 34
104, 312. 00 6, 612. 83
1, 278. 74
689. 72
602, 894. 03
Enforcement of the United States grain standards act 1925
1924 Enforcement of the United
States cotton futures act and United States cotton standards act
Enforcement of the United States cotton futures act
Enforcement of the United States cotton standards act
Classification of cotton, re- volving fund
Bureau of Home Economics— Salaries General expenses
Bureau of Dairying— General expenses Experiments in dairying and
livestock production in west- ern United States
Enforcement of the insecticide act- Salaries Gener'al expenses
8& 231. 00 2& 069. 25
Once of the Secretary: Salaries 1925
1923 3, 774. 96
356. 25
1925
1924
1924
No year.
1925 1925
1925
1925
1925 1925 1924
Federal Horticultural Board— Salaries General expenses
1925 1925 1924
Suppressing spread of pink boll- worm of cotton 1925
1924 1925 Eradication of the date scale
Miscellaneous— Demonstrations on reclama-
tion projects 1925 1924
Enforcement of the grain fu- turek act 1925
1924 Enfor'cement of packers and
stockyards act 1925 1924
Collection of seed-grain loans 1925 Farmers' seed and feed loans,
1924 — 25 New Mexico Operation of Center Market,
Washington, D. C 1925 1924
Nitrate plants, Department of Agriculture No year.
Acquisition of lands for protec- tion of watersheds of navi- gable steims 1925
1924
1, 730. 00
418. 72
15(I 74
2, 516. 02
450. 00 1, 100. 00
5, 210. 00
250. 00
840. 00 2, 200. 00
400. 00
1, 400. 00 5, 000. 00
148. 00
2, 610. 00 1, 000. 00
300. 00
630. 00 29. 03
1, 200. 00 480, 99
5, 300. 00 1, 654. 39
52. 50
12. 29
1, 839. 00 745. 75
3, 352. 51
1, 500. 00 1, 565. 69
Tot&al, Otfice of Secretary
Bureau of Fdreign and Domestic Commerce: Salaries Commercial attaches, Department
of Co'mmerce
1925
1925 1924
Compiling foreign trade statistics, Department of Commerce 1925
1924 1928-24
Directoi'y of foreign buyers 1925 1924
District and cooperative office serv- ice, Department of Commerce 1925
1924 Enforcement of the China Trade
Act 1925 1924 1923
Export industries, Department of Commerce 1925
1924 1923
Export induktries, Department of Commerce (transfer to Bureau of Standards, act May 21, 1920) 1925
Investigation of foreign trade restric- tions 1925
1924 Investigatihg& kources of crude rubber 1925
1923-24 Promoting commerce, Department
of Commerce 1925 1924 1923
Promoting commerce in the Far East 1925 1924
Promoting commerce South and Central America 1925
1924 1923
Raw material investigations 1925 1924
Total, Bureau of Foreign and Domestic Commerce
Bureau of Census: Salaries 1925 Census of agriculture 1925-26
4, 131. 21
6, 000. 00
5OO. 00 80. 31
6, 500. 00 1, 327. 78
293. 28 78. 00
5. 56
2, 550. 00 456. 70
120. 00 28. 15
129. 60
7, 750. 00 16& 871. 76 4, 254. 89
125. 00
250. 00 42. 12
750. 00 580. 27
1, 500. 00 803. 86 138. 75
1, 600. 00 251. 14
1, 900. 00 280. 02 340. 78 370. 00
35. 33
40, 544. 35
24, 175. 00 10, 000. 00
290 RECEIPTS AI&TD DISBURSEMEI&TTS& 1925
Statement sho&ring amounts af 8+z per cent deductions ($17, 906, 070. 98) transferred fram balances (g1, 618, 517. 68) and appropriafians (316, 89L6&68. 80) of the following accounts which mere credited fa the aCivil-service retirement and disability fund, " as sfafsd an page 8? — Continued
Preventing overcrowding of pas- senger vessels
Total, Bureau of Navigation
Bttreau of Standards: Salaries
1925
1925 1923
Color standardization 1925 1923
Gauge standardization 1925 1923
High-temperature investigations 1925 1923
Improvement and care of grounds 1925 1923
Industrial research 1925 1923 1922 1921
Investigation of automotive engines 1925 Investigation of clay products 1925
1923 Investigation of fire-resisting prop-
erties 1925 1923
Investigation of mine scales and cars 1925
Investigation of optical glass 1925 1923
Investigation of public utility standards 1925
1923 Investigation of radioactive sub-
stances 1925 Investigation of textiles, etc 1925
1923 Metallurgical research 1925 .
1923 Radio research 1925
1923
Sound investigation 1925 Standard materials 1925 =
1923 Standardization of equipment 1925-
Bureau of Census — Continued. Collecting statistics 1925
1924 1923
Collecting statistics (transfer to Department of Agriculture, act May 21, 1920) 1924
Expenses of the Fourteenth Census 1920-22 . Tabulating machines 1925
Total, Bureau of Census
Steamboat Inspect;on Service: Salaries, office of Supervising In-
spector General 1925 Salaries, Steamboat Inspection Serv-
ice Clerk hire
Total, Steamboat Inspection Seri. ice
Bureau af Na!igatian: Salaries 1925 Salaries, shipping service 1925 Admeasurement of vessels 1925 Contingent expenses, shipping
service 1925 1923
Clerk hire, shipping service 1925 Enforcement of navigation laws 1925
1923 Enforcement of wireless com-
munication laws 1925
$5, 000. 00 192. 85 27. 46
61. 79 8, 447. 03
919. 00
48, 823. 13
569. 00
17, 595. 00 3, 579. 00
21, 743. 00
1, 378. 00 360. 00 78. 42
30. 50 21. 00
2, 150. 00 713. 50 109. 00
4& 225. 00
250. 00
9, 315. 42
12& 440. 00 2& 725. 00
205. 00 85. 00
830. 00 215. 00 220. 00
50. 00 150. 00 45. 00
3, 900. 00 2, 948. 00 2, 682. 00 3, 000. 00
660. 00 540. 00 125. 00
635. 00 170. 00
220. 00 450. 00
70. 00
2, 240. 00 ?60. 00
190. 00 600. 00 195. 00 950. 00 180. 00
1, 040. 00 245. 00 170. 00 140. 00 215. 00 30. 00
2, 000. 00
Bureau af Standards — Continued. Standardizing mechanical appli-
ances
Sugar standardization
Testing machines
Testing miscellaneous materials
Testing railroad scales, etc
Testing structural materials
1925 1923 1925 1923 1925 1923 1925 1923 1925 1923 1925 1923
$750. 00 120. 00 900. 00 165. 00 760. 00 105. 00
1& 000. 00 150. 00 615. 00 215. 00
4, 740. 00 1, 150. 00
Total, Bureau of Standards
Bureau of Lighthouses: Salaries, Bureau of Lighthouses . . 1925 Salaries, Lighthouse Service 1925 General expenses, Lighthouse Serv-
ice 1925 General expenses, Lighthouse Serv-
ice (transfer to Bureau of Stand- ards, act May 28, 1924) 1925
Vessels for Lighthouse Service . No year Light stations, etc. —
Cape Charles light vessel, Va do Detroit River lights, Mich do
51, 990. 00
1, 573. 67 6, 037. 33
3, 851, 22
55. 00 95. 00
127. 67 30. 62
Total, Bureau of Lighthouses 11, 770. 51
Coast and Geodetic Survey: Salaries Pay, etc. , of officers and men,
vessels, Coast Survey General expenses Party expenses Party expenses (transfer, act May
21, 1920) — To Bureau of Stand- ards
Total, Coast and Geodetic Survey
1925
1925 1925 1925
1924
8, 906. 50
967. 50 285. 00
1, 786. 57
45. 00
11, 990. 57
B&treau of Fisheries: Salaries 1925 Miscellaneous expenses 1925
13, 000. 00 300. 00
Total, Bureau of Fisheries 13, 300. 00
Patent 01hce: Additional employees,
Office ' Patent 1924 — 2o 125 00
Total, Department of Com- merce
DEPARTMENT OF THE INTERIOR
213, 733. 20
Opec of the Secretary: Salaries 1925 7, 800. 00
General Land Once: Salaries Maps of the United States (transfer
to Geolo ical Surve act Ma 21 19
1925 21 000 00
g 20) 1923
1&22 8& g&
Total, General Land Office
Public Land Service: Salaries and expenses, Offices of
Surveyors General 1925- Contingent expenses of land offices 1925 8 250 Protecting public lands, timber, etc 1925 Surveying the public lands 1925
& Additional deductions of sz, 75C were mode from this account under Dei&srtm&ot M
the Interior.
RECEIPTS AND DISBVRSEMENTS&
Statement showing amounts of 8+z per cerit deductions (817, 905, 070. 98) transferred from balances (81 618 5I7. 88) and appropriations ($f 8&89f 88880) of the following accounts which u&ere credited to the "Civil-service retirement and disability f und, " as sfafed on page 87 — Continued
Public Land Service — Continued. Surveying within land grants (reim-
bursftble) No year Special fund: Deposits by individ-
uals for surveying public lands do
TotLl, Public Land Service
$350. 00
600. 00
29, 545. 00
Bureau of Mines — Continued. Operating mine rescue cars and sta-
tions, Bureau of Mines Operating mine rescue cars Testing fuel
Total, Bureau of Mines
1925 1924 . 1925 1924
$1, 400. 00 428, 65
2, 700. 00 206. 06
30& 631. (7 Bureau of Pensions:
Ss]aries, Pension Office 1925 Salaries snd expenses, employees' re-
tirement sct, Bureau of Pensions 1925 1924
Total, Bureau of Pensions
Patent Once: Salaries Additional em p lo y e es,
Office '
Total, Patent Office
1925 Patent
1924-25
Reclamation Service: General investigations, Reclamation
Service 1923 — Dec. 31, 1924 Permanent snd indefinite—
Special funds— Reclamation fund No year Yuma auxiliary irrigation
project, Arizona do
Total, Reclamation Serv- ice
GeologicaL Survey: Geologicsl Survey 1925 '
192W25 1924
1923-24 1923
1922-23
36, 470. 00
1, 500. 00 123. 47
38, 093. 47
57, 505. 00
3, 750. 00
61, 255. 00
526. 46
22, OOO. 00
' 67. 55
22, 458. 91
34, 290. 28 1, 100. 49
11, 558. 48 1, 978. 88
10, 217. 59 1, 488. 78
Rational Parks: National Park Service Crater Lake National Park Glacier National Park Grand Canyon National Park Hot Springs National Pari' Lafayette National Park Lassen Volcanic National Park Mesa Verde National Park Mount Rainier National Park Platt National Park Rocky Mountain National Park Sequoia National Park Yellowstone National Park Yosemite National Park Zion National Park
Total, National Parks
Bureau of Education: Salaries General expenses
1925 1925 1925 1925 1925 1925 1925 1925 1925 1925 1925 1925 1925 1925 1925
1925 1925
Investigation of kindergarten edu- cation
Investigation of rural and industrial education
1925
1925 Education of natives of Alaska 1924-25
Total, Bureau of Education
Collecting statistics 1925 Investigation of city school adminis-
tration and education 1925
1& 167. 50 42. 00
547. 14 365. 93 613. 89
79. 50 75. 00 43. 50
193. 50 37. 50
140. 00 183. 00
1, 345. 52 1, 582. 54
71. 23
6, 487. 75
2, 645. 00 36. 00
375. 00
225. 00
170. 00
1& 125. 00 450. 00
5, 026. 00
60, 634. 45 Total, Geological Survey
Bureau of Mines: Adjustment snd payment of mineral
claims, act Mar. 2, 1919 No year Care, etc. , of buildings snd grounds,
Pittsburgh, Ps 1925 1924
192. 85
800. 00 5. 27
1, 000. 00 767. 90
Enforcement of mineral leases, Bu- reau of Mines 1925
1924 Expenses, mining experiment sta-
tions 2, 900. 00 122. 69
1, 500. 00 164. 92
6, 500. 00 659. 23 133. 00
1925 1924
General expenses 1925 1924
Investigating mine accidents 1925 1924
Investigations, lignite coals and pest No year Maintenance and operation, fuel
yards, District of Columbia 1924 — 25 Mineral mining invetsigations 1925
1924
2, 132. 98 1, 500. 00
434. 68 Mineral mining investigations
(transfer to Department of Com- merce, Bureau of Standards, act Msy 28, 1924) 1925
Mining investigations in Alaska 1925 1924
Oil, gas, snd oil shale investigations snd leasing, Bureau of Mines 1925
1924
95. 00 200. 00 23. 02
6, 300. 00 565. 52
' Debit item. h Additional deductions of $125 were made from this account under Department of
~onnnerce.
Benefhciari est Freedmen's Hospital 1925
1923 1922
St. Elizabeths Hospital 1925 Buildings and grounds, St. Elizs-
beths Hospital
Total, Beneficiaries
Total, Department of the In- terior, civil, including Bureau of Pensions
INDIAN AFFAJRS
Salaries, current and contingent ezpenses: Salaries, Bureau of Indian Affsirs 1925 General expenses, Indian Service 1925 Indian agency buildings 1925 Industrial work and care of timber 1925 Purchase and transportation of In-
dian supplies 1925
Total, salaries, current and con- tingent expenses
Fulfhlling treaty stipulations wifh and
support of Indhan trhbesr Fulfilling treaties with—
Crows, Montana 1925 Support of-
Bannocks, Idaho: Employees 1925 Chippewas of the Mississippi,
Minnesota 1925 Cceur d'Alenes, Idaho 1925
2, 075. 00 473. 04
76. 92 39, 390. 00
1, 477. 50
43, 492. 46
326, 572. 62
9, 376. 00 1, 227. 75
63. 33 5& 552 25
891. 00
17, 110. 33
85. 50
141. 00
60. 00 46. 50
292 RECEIPTS AND DISBURSEMENTSy 1925
Statement showing amounts of 9+s per cent deductions ($17, 908, 070. 98) transferred from balances ($1, 618, 817. 68) and appropriations
($16, 991, 658. 80) of the following accounts mhich mere credited to the "Civil-service retirement and disability fund, " as stated
page 87 — Continued
Fulfilling treaty stipulations with and support of Indian tribes — Continued.
Support of — Continued. Confederated bands of Utes,
Utah: Employees, etc 1925 Northern Cheyennesand Arspa-
hoes, Montana 1925 Pawnees, Oklahoma: E m-
ployees, etc 1925 Pawnees, Oklahoma: Schools 1925 Shoshone, Wyoming: E m-
ployees, etc 1925 Sioux of different tribes, South
Dakota: Employees, etc 1925
Total, Fulfilling treaty stip- ulations with and sup- port of Indian tribes
$496. 50
361. 50
144. 00 75. 00
142. 50
1, 445. 25
2, 997. 75
JUDICIAL
Salaries, etc. — Continued. Salaries snd expenses of district
attorneys, United States courts 1925 Pay- of special assistant attorneys,
United States courts 1925 United States penitentiary, Atlanta,
Ga 1925 United States penitentiary, Atlanta,
Ga. , working capital 1924 — 25 United States penitentiary, Leaven-
worth, Kans 1925 United States penitentiary, McNeil
Island, Wash 1925 Inspection of prisons and prisoners 1925
Total, Department of Justice and Judicial
$6, 900, 00
1i 360. 00
3, 400. 00
600. 00
4, 000. 00
600. 00 110. 00
28, 2?5. 00
Miscellaneous supports; Support and civilization of Indians 1925 Support of Choctaws in Mississippi 1925
Total, Miscellaneous supports
Support of Indian schools: Indian schools: Support 1925 Indian school buildings 1925 Indian boarding schools 1925
Total, Support of Indian schools
Miscellaneous ex penses of Indi an Service: Administration of sffairs of Five
Civilized Tribes, Oklahoma 1925 Asylum for insane Indians, Canton,
S. Dsk 1925 Determining heirs of deceased In-
dian allottees 1925 Education of Choctaws in Missis-
sippi Education, Sioux Nation, South
Dakota 1925 Insect infestations, Indian S e r v-
ice 1922-Dec. 31, 1922 Irrigation project, Salt River Reser-
vation, Ariz 1925 Maintenance and operation, water-
works, Pspago Indian villages, Arizona 1925
~ Probate attorneys, Five Civilized Tribes, Olkahoma 1925
Relieving distress snd prevention, etc. , of diseases among Indians 1925
1925
Total, Miscellaneous expenses of Indian Service
Total, Indian Affair
Total, Department of the In- terior, including Pensions and Indian Affairs
DEPARTMENT QF JUBTIVE
Salaries, etc. : Salaries, Department of Justice 1925 Detection and prosecution of crimes 1925 Enforcement of antitrust laws, etc 1925 Enforcement of acts to regulate
commerce Investigation and prosecution of
wsr frauds 1925 Protecting interests of United States
in customs matters . 1925
5, 651. 77 125. 00
5, 776. 77
17, 696. 13 126. 67
18, 476. 70
36, 299. 50
2I 485. 50
181. 50
11 431. 50
132. 00
2, 401. 50
52. 50
12. 00
175. 00
282. 50
3, 025. 92
10, 179. 92
72, 364. 27
398, 936. 89
8, 500. 00 1, 800. 00
550. 00
40. 00
165. 00
250. 00
DEPARTMENT OF LABOR
01llce of the Secretary: Salaries 1925 Salaries and expenses, commis-
sioners of conciliation 1925
3, 847. 50
615. 00
Total, Office of the Secretary 4, 462, 50
Bureau of Labor Statistics: Salaries 1925 Miscellaneous expenses 1925
1924
5, 245. 00 615. 00 22. 00
Bureau of Naturalization: Salaries 1925 Miscellaneous expenses 1925
Total, Bureau of Naturalization
Children's Bureau: Salaries 1925 General expenses 1925 Investigation of child welfare 1925
1924
2, 723. 00 15, 955. 00
2, 747. 00 5. 75
2, 626. 17 1. 90
Administrative expenses, Welfare snd Hygiene of Maternity snd Infancy No
Total, Children's Bureau
ypzy 45L 73
i, Sii. ii
Women's Bureau: Salaries snd expenses, Women' s
Bureau 5 1925 1 921. 00
Employment Service: Emp
of loyment Service, Department Labor
Total, Department of Labor
NAVY DEPARTMENT
01jlce of the Secretary: Salaries, Office of Secretary of the
Navy 1925
Total, Bureau of Labor Statis- tics 5, 882. 00
Bureau of Immigration: Salaries, Bureau of Immigration 1925 2, 146. 00 Expenses of regulating immigration 1925 93, 953. 85
Total, Bureau of Immigration 96, 099. 85
BECEIPTS AM) DISBURSPMR'VTS, 1925
of gQ per cent deductions (gf 7, ft05, 070. 88) transferred from balances (ttf, 618, @17. 68) and appropriations (gt6 ttgt. 658. 80) of the foaowing accounts which were credited to the "CuMserfnce retirement and disability fund, " as stated on page 87 — Continued
Temporary concrete oiBce buildings, Navr snd War Departments No year
Total, Office of the Secre- tary
Offtce of Eaoal Records and Libraryr Salaries, Oifiee -of Naval Records
and Library 1925 Naval records of War with Central
Powers ef Europe = 1925
Total, OfBce of Naval Records and Library
Ofice of Judge Advocate General Salaries, Oifice of Judge Advocate
General, United States Xsvy 1925
0~ of the Secretary — Continued. Salaries, General Board, Xavy De-
partment Salaries, Naval Exsmiaing and Re-
tirmg Boards 1925 Salaries, Compensation Board,
Navy -Department 1925 Contingent expenses, Xavy Depart-
ment Contingent, Navy Experimental snd research labora-
tory Xo year 1920
Psy, miscellaneous 1925 1924
$243 00 I
243. 00
828. 50 j
18. 08 I
7. 04
276. 40 1, 000. 00
12, 000. 00 2, 886. 08
225 74 I
20, 789. 29
621. 00
507. 00
I, 128. 00
2, 100. 50
Bureau of Xavigation — Continued. Contingent snd miscellaneous ex-
penses, Xavsl Observatory 192o 1924 1923
Grounds and-roads, Xsvsl Obser- vatory 1925
Salaries, Xsutical Almanac OiBce 192o Permanent and indefinite-
Xsvsl Home, Philadelphia, Ps 1925 1928
Total, Bureau of Xavigation
Bureau of Engineering: Salaries, Bureau of Engineering 1925 Engineering 192o — 26
1925 1924-25
1924 1928
Engineering (transfer, sct lfsy 21, 1920)—
To Department of the Interior 1928 Engineering (transfer, act Jan. 24,
1923)— To Department of the Interior,
Bureau of bylines 1924 Engineering experimental station,
Annapolis, Md 1925 1924 1923
8258. 00 6. 47
10. 38
121. 50 774. 00
1, 186, 7o . 43
58, 522. 05
6, 799. 00 1, 745. 18
130, 000. 00 21, 807. 27 26& 566 90 10, 950. 66
616. 58
1, 368. 95
3, 000. 00 212. 35
3. 75
Oijfce of Chief of Xaoal Operations: Salarie, Offiee of Chief of Naval
'
Operations 1925 Salaries, Board of Inspection and . Survey, Navy Department 1'925 Salaries, OIBce of Director of Naval
Communications 1925 Salaries, OfBce of Naval Intelligence 1925
1, 671. 00
556. 50
3, 271. 00 1, 070. 50
Total, Bureau of Engineering
Bureau of Construction and Repair: Salaries, Bureau of Constructioa
snd Repair Construction sad repair
1925 1925 1924 1923
208, 070. 64
7, 825. 00 170. 000. 00
17, 134. 49 22. 84
Total, OIBce of Chief of Naval Operations
Naval training ststion- Cslifornis Great Lakes
1925 1925 1924 1928
Hampton Roads, Va 1925 1924
Rhode Island 1925 1924 I928
Naval Wsr College 1925 Organising the Xaval Reserve Force 1925
1924 1928
Ocesa and lake surveys = 1925 Recreation for enlisted men, Navy 192o
1924 1923 1925 1924
Transportation
SshLries, Hydrographic Office 1925 contingent snd miscellaneous ex-
Penses, Hydrographic Office 1925 1924 1923
, Naval Observatory 1925
Bureau of Natngation: Salaries, Bureau of Xavigstioa 1925 Gunnery and engineering exercises 1925 Instruments and supplies 1925
1924
Con&ruction and repair (transfers, act allay 21, 1920)—
To Department of Agriculture 1924 To Department of Commerce 1925
1928
6, 569. 00
10, 625. 00 '2OO. OO I
2, 360. 85 795. 09
426. 98 I
2, 751. 36 944. 61
1, 586. 77 519. 52
I, 021. 63 156. 57
. 39 1, 760. 50 4, 861. 01 9, 604. 75 j
1, 584. 56 465. 00
1, 174. 65 152. 23 35. 58 21. 35 27. 67
7, 500. 00 j
813. 00 809. 59 33. 98
1, 981. 50
17. 25 60. 00 18. 00
Construction snd repair (transfers sct Play 28, 1924)—
To Department of Commerce, Bureau of Standards 1925 200. 00
Total, Bureau of Construc- tion and Repair 195, 272. 58
Bureau of Ordnance: Salaries, Bureau of Ordnance Experiments
3, 470. 00 2, 890. 42 I, 010. 13
148, 000. 00 26, 134. 75
7, 672. 88
192o 192o 1924 1925 1924 1923
Ordnance snd ordnance stores
15. 00 30. 00
To Department of the Interior, Bureau of Mines
To Wsr Department Torpedoes and appliances
1924 1924
Xo rear
20. 05 84. 60
4, 000. 00
Total, Bureau of Ordnance 198, 327. 83
Bureau of Supplies and Accounts: Salaries, - Bureau of Supplies and
Accounts 1925 20, 940. 00
Ordnance snd ordnance stores (transfers, sct i%lay 21, 1920)—
To Department of Commerce 1925 1924
294 RECEIPTS AND DISRVRSEMENTSp 1925
Statement showing amounts of gpz per cent deductions (817, 905, 070. 98) transferred from balances (81, 618, 517. 68) and appropriat ($16, 891, 558. 80) of the follounng accounts which uere credited to the "Civil-service retirement and disability fund, " as stated on page 87 — Continued
Bureau of Supplies and Accounts — Continued. Freight 1924
1923 Fuel and transportation 1925
1924 1923
Maintenance 1925 1924 1923 1925
1924-25 1923-24
Provisions, Xsvy
Permanent and indefinite- Nsval supply account fund No year Naval working fund do Special fund — Clothing snd
small stores fund do
Total, Bureau of Supplies snd Accounts
Total, Bureau of Medicine and Surgery
Bureau of' Yards and Docks: Salaries, Bureau of Yards snd Docks 1925 Contingent 1925
1924 Maintenance, Bureau of Yards and
Docks 1925 1924 1923
Bridge, navy yard, Portsmouth, N. H No year Depots for coal do Handling appliances at navy yards do Improvements st ordnance stations do Marine barracks-
Qusntico, Va do San Diego, Calif do
Marine recruiting station, Port Royal, S. C (io
Naval ammunition depots- Ions Island, N. Y do Lake Denmark, N. J do Mare Island, Calif do Pearl Harbor, Hawaii do Puget Sound, Wash do
Naval fuel depot, Ssn Diego, Calif do Naval operating base, Hampton
Roads, Va do Naval proving ground, Indisnhesd,
do Naval tram(ng camps do Hospitals and medics, l supply depots do Naval hospitsl-
iew ort R. I do Puget Sound, Wash do
Naval magazine— Dover, N. J do New York Harb r or r do
Bureau of Medicine and Surgery: Salaries, Bureau of Medicine and
Surgery 1925 Bringing home remains of officers,
etc. , Navy Department 1924 Care of the dead, Bureau of Medicine
and Surgery 1925 Contingent 1925
1924 1923
Medical Department 1925 Hospital facilities snd services, Navy
Department No year Permanent and indefinite—
Special fund: Naval hospital fund do
$16, 369. 64 . 22
8, 000. 00 3, 332. 26
14. 01 140, 000. 00 14, 806. 45
100. 07 7, 000. 00
449. 73 4) 469. 24
213, 595. 50 64, 198. 77
19, 344. 74
512, 620. 63
1, 815. 50
21. 37
1. 34 222. 93 304. 15 111. 98
30, 143. 54
. 90
5, 296. 86
37, 918. 57
5, 904. 00 800. 00 384. 90
75, 000. 00 47, 096. 00
651. 39 69. 03
290. 15 95. 44
1, 402. 32
8. 72 27. 04
39. 16
157. 64 90. 09 26. 10
372. 08 38. 40 12. 91
189. 50
8. 62 77. 87
7, 225. 13
116. 25 15. 78
105. 79 126. 89 22. 25
Bureau of Yards and Docks — Continued. Nsdy yard—
Boston, Mass No year Charleston, S. C do Mare Island, Calif do New York, N. Y . do Norfolk, Va do Philadelphia, Pa do Portsmouth, N. H do Puget Sound, Wash do Washington, D. C „do
Naval station- Guantanamo, Cuba do Guam do Key West, Fls do New Orleans, La . do Pearl Harbor, Hawaii do San Diego, Calif do Tutuila, Samoa do .
Naval training station— Great Lakes, buildings do Rhode Island, buildings do San Diego, Calif do
Ordnance storage do Quarters for marine guards st naval
magazines do Submarine and destroyer base, Co-
lumbia River do Submarine base—
Pearl Harbor, Hawaii do Temporary storage facilities, Navy do Naval torpedo station, Keyport,
Wash do
$1, 008. 02 1, 033. 86
14, 189. 04 787. 07
21 071, 57 74. 22
202. 28 2, 169. 14 1, 079. 78
. 43 222. 92
60. 08 l. 13
6, 196. 82 49. 15
5. 14
39. 35 407. 24
12. 38 8. 66
11. 84
72. 49
1, 335. 29 244. 28
160. 65
Total, Bureau of Yards snd Docks 171, 796. 28
Bureau of Aeronautics: Salaries, Bureau of Aeronautics „1925 Aviation, Navy 1925
1924 1923
Aviation, Navy (trsnsfer to De- partment of Commerce, Bureau of Standards, act Msy 28, 1924) 1925
Aviation, Navy (transfer to De- partment of the Interior, Bureau of Mines, act Jan. 24, 1923) 1924
Aviation, Navy (transfers, act May 21, 1920)—
To Department of the Interior, Bureau of Mines 1923
To Department of Agriculture 1924 1922
To Department of Commerce 1924
Total, Bureau of Aero- nautics
4, 114. 50 50, 000. 00 57, 926. 34
41. 42
745. 00
788. 11
641. 60 1, 161. 94
11. 66 185. 00
115, 615. 57
Marine Corps: General expenses, Marine Corps 1925 Maintenance, Quartermaster's De-
partment 1924 1923
15, 000, 00
ll, 414. 93 298. 63
PtLy of civil employees, Marine C orps
Total, Marine Corps
1925 4 271. 53
30 985. 09 I
naval Academy: Buildings snd grounds No year Current and miscellaneous expenses 1925 483. 12 Maintenance snd repairs 1925 12, 093 03
1924 556. 73 1923 13. 97
Pay 1925 1924 797. 42 ))))( ( 41
Total, Naval Academy 22, 953. 71
RECEIPTS AND IHSBITBSEMENTSi 1925 295
Statement showing amounts of 9@ per cent deductions ($17, 905, 070. 98) transferred from balances ($1, $79, 517, $8) and appro~ (gl8, 991, 559. 80) of the following accounts tvhich were credited to the "Civil-service retirement and disability fund as stated on page 87 — Continued
Increase of the Wavy: Increase of the Navy . No year Improving snd equipping navy
yards for construction of ships do Naval emergency fund do Alterations to naval vessels do
Total, Increase of the Navy
General account of advances: General account cf advances (nev, ) No year
$164, 495. 90
35. 69 2, 643. 00
201. 82
167, 376. 41
75, 456. 28
Ixpenses, Treasury savings certificates, Post Office Department
' 1925
Qsfieienay in the postal revenues 1925 — 26 1925 9, 1924 1923 1922 1921
1, 500. 00 553, 805. 92 068, 310. 25
13, 930. 91 38, 982. 53 9. 794. 00
582, 153. 86
Total, Xsvy Department 1, 810, 452. 43
PosT OFFIcE DEP$RT3IENT (Parshle from the Treesury)
Division of' Deposits: Salaries 1925 S444. 50
Public Debt Service: Public Debt Service 1925
1924 Salaries, office of Register of the
Treasury Salaries snd expenses incident to
foreign loans and transportation sets
1922
1925 1924 1923
Distinctive paper for United States securities 1925
Expense of loans, sct Sept. 24, 191?, as amended and extended No year
Preparation snd issue of Federal reserve notes (reimbursable) do
Total, Public Debt Service
Division of A ppointments: Salaries 1925
1922
79, 733. 61 1, 413. 51
1( 791. 58
95. 25 19. 24 17. 58
588. 00
15, 539. 28
29. 30
99, 227. 35
1, 614. 50 12. 50
Total, Postal Service payable from the Treasury
DEPXRTIIENT OF STE'rE
Salaries, etc. ; Salaries, Department of State 1925 Immigration of aliens, Department
of State 1924-25 Passport bureaus, Department of
State 1925 Boundary line, Alaska and Canada
snd United States and Canada 1924
Total, Department of State
10, 268, 477. 47
25, 502. 50
700. 00
1, 161. 30
886. 60
28, 250. 40
Total, Division of Appoint- ments
Division of Mail and Files: Salaries 1925
1921
Dtvision of Printing: Salaries, Division of Printing 1925 Salaries, Division of Printing snd
Stationery
Total, Division of Printing
1, 627. 05
1, 450. 00
86. 12
1, 536. 12
499. 00 2. 03
TREESUEY DEP(IRTMENT
g1ffvae of Secretary of. the Treasury: Salaries 1925
Gfftce of Chief Clerk and Superintendent: 1925 1924
Total, Office of Chief Clerk and Superintendent
3, 097. 00
11, 000. 00 370. 00
11, 370. 00
Total, Division of Mail and Files 501. 03
Ogive of Disbursing Clerk: Salaries 1925 1, 324. 00
1, 600. 00 379, 835. 00
9, 150. 70 80. 00
Customs Servu:e. Salaries 1925 Collecting the revenue from customs 1925
1924 Scales for customs service 1925
General Supply Committee: Salaries, General Supply Committee 1925 General Supply Committee, transfer
of office material, supplies, and equipment 1925
1924 1923 1921
826. 50
2, 400. 00 183. 31 35. 21
4. 29
Total, Customs Service
Bureau of the Budget: Salaries and expenses 1925
1924
Total, Bureau of the Budget
390, 665. 70
2, (42. 91 293. 79
31 036. 70
Total, General Supply Com- mittee
0I(ce of Commissioner of Accounts and Deposits:
Salaries 1925
ftivisivn of Bookkeeping and warrants: Salaries, Division of Bookkeeping
snd Warrants 1925 Special fund — Charges on silver-
dollar bullion sold Xo year
Total, Division of Bookkeeping snd Warrants
3, 449. 31
454. 50
4, 154. 00
5, 444. 02
9. 098. 02
Federal Farm Loan Bureau: Special f und — Salaries, Federal
Farm Loan Board
OII(ce of Treasurer of Un@ed States: Salaries Salaries (national currency, reim-
bursable)
Total, Office of Treasurer of I. nited States
Oflice of Com ptroller of the Currency. Salaries Salaries (national currency, reim-
bursable)
1925
1925
1925
1920
1925
85. 00
26, 777. 50
11, 250. 00
38, 027. 50
5, 838. 00
1, 916. 25
296 RECEIPTS AND DISBVRSEMENTS, 1925
0. 98) transferred from balances ($1, 618, 5'17. 68) and appropriations to the "Civil-service retirement and disability fund, " as stated on
Statement showing amounts of 9+s per cent deductions ($17, 905, 07 ($16, &91, 558. 80) of the following accounts which tvere credited page 87 — Continued
Coast Guard: Salaries, Office of Coast Guard
Coast Guard Repairs to Coast Guard cutters
Total, Coast Guard
1925 1924 1925 1925
Oflice of the Comptroller of the Currency — Continued. Special fund — Salaries snd expenses
national-bank examiners No year
Total, Office of Comptroller of the Currency
O~e of Commissioner of Internal Revenue Salaries 1925 Salaries (reimbursable) 1925 Salaries and expenses of Collectors,
etc. , of internal revenue 1925 Collecting the internal revenue 1925
1923 Enforcement of narcotic snd na-
tional prohibition acts, internal revenue 1925
1924 1923
Total, Internal Revenue
51, 089. 48
8, 843. 73
20, 271. 40 46. 50
32, 486. 70 552, 961. 57
1, 053. 62
78, 278. 09 255. 21 513. 42
685, 866. 51
4, 805. 13 . 60. 45
1, 975. 50 207. 50
7& 048. 58
Public Health Service — Continued. Expenses, Division of Venereal Dis-
eases, Public Health Service
Field investigations of public health
Hospital construction, Public Health Service No
Interstate quarantine service
1925 1923 1925 1924 1923 1922 1921
year 1925 1924 1923 1922 1921
Medical and hospital services, Public Health Service 1923
1922 1921
Preventing the spread of epidemic diseases 1925
1924 1923 1922
Studies of rural sanitation 1925 1924 1923 1922 1921
SI, 400. 00 190. 83
4, 500. 00 388. 60 804. 34 533. 99
2, 575. 84
65. 59 150. 00 266. 36
92. 95 131. 89 120. 90
51. 06 13, 920. 28 14, 455. 40
850. 00 212. 69 117. 91 187. 16 50. 00 41. 54
9. 87 34. 32 31. 46
Bureau of Engraving and Printing; Salaries
Compensation of employees
Plate printing
Total, Bureau of Engravingand Printing
1925 1923 1925 1924 1923 1925 1924 1922
Secret Service Divisionr Salaries 1925 Suppressing counterfeiting and other
crunes 1925 1924
10, 875. 00 1, 371. 39
71, 120. 00 41, 094. 67
2& 321. 58 35, 625. 00 19, 553. 65
429. 42
182, 390. 71
688. 50
Total, Public Health Service
Mints and Assay aces: Salaries, Office of Director of the Mint Mint at Carson—
Salaries Wages of workmen
Mint at Denver— Salaries Wages of workmen '
Mint at New Orleans— Salaries
Wages of workmen
158&' 447. 72
1925
1925 1925
602. 50
39. 50 -32. 50
52. 50 . 01
121. 50 . 06 . 10
1925 1921 1925 1923 1922
1925 955 50 1925 2, 677. 25
1923
Total, Secret Service Division
Public Health Service: Salaries, Office of Surgeon General Pay, etc. , commissioned officers and
phsrmacists
1925
1925 1924 1921 1925 1924 1923 1922 1921 1925 1924 1923 1922 1921
Psy of acting assistant surgeons
Psy of other employees
Pay of personnel and maintenance of
1923 1922
hospitals, Public Health Service 1925 1924 1923 1922 1921
Control of biologic products 1925 1924
8, 520. 60 290. 81
84. 92
9, 584. 83
2, 220. 00
2, 700. 00 173. 07
2, 016. 86 6, 000. 00
983. 13 1, 247. 68 1, 195. 08 2, 865. 71
15, 000. 00 3, 771. 38 3, 787. 47 3, 187. 81 5, 227. 84
35, 000. 00 4, 625. 09 8, 196. 89 2, 715. 06
15, 437. 18 275. 00 120. 75 122. 97 395. 77
Mint at Philadelphia— Salaries 1925 Wages of. workmen 1925
Mint at San Francisco— Salaries 1925
1922 1925 Wages of workmen
Assay office at Boise— Salaries Wages of workmen
Assay office at Deadwood— Salaries Wages of workmen
Assay office at Helena— Salaries
1925 1925
1925 1925
1925 1922 1925 1922
Wages of workmen
1, 549. 50 13, 091. 00
1, 151. 50 56. 85
5, 076. 65
46. 50 55. 50
46. 50 33. 00
46. 50 . 01
33. 00 . 01
1, 271 50 4, 837. 60
46. 50 12. 49
Assay office at Seattle— 1925- 1925 246. 75
1924 10. 83
»»&
&2, 26&. 4&
Salaries Wages of workmen
Total, Mints snd Assay Offices
Assay office at New York- Sslaries 1925-- Wages of workmen 1925
Assay office at Salt Lake City— Wages of workmen 1925
1922
RECEIPTS AND DISBURSEMENTS~ 1925 297 Statement showing amounts of 8+a per cent deductions ($17, 906, 07
(816&891&668. 80) of the following accounts which were credite page 87 — Continued
0. 98) transferred from balances ($1, 618, 617. 68) and appropriations d to the "Civil-service retirement and disability fund, " as stated on
UNDER THE SUPERVISINQ ARCHITECT
Public buildings: Veterans' hospitals—
Hospital facilities, etc. , for war patients No year
Chicago, Ill. : Broadview hospital do Repairs, equipment, etc. —
General expenses of public buildings 1925
Operating expenses— Salaries, Office of Supervising
Architect 1925 Operating force for public buildings 1925
1924 1923
Total, Public Buildings
$707. 46 78. 79
9, 900. 00
6, 811. 50 118, 408. 08
7, 500. 00 9, 469. 85
152, 875. 68
Ojhce of the Secretary of Ware Salaries, office of Secretary of Wsr 1925 Contingencies of the Army 1925
4, 882. 40 730. 00
Total, Treasury Department 1, 801, 765. 03
WAR DEPARTMENT
MILITARY ACTIVITIES
Quartermaster Corps — Continued. Horses for Cavalry, Artillery, En-
gineers, etc 1925 Incidental expenses of the Army 1925
1924 Incidental expenses of the Anny
(transfer to Department of Com- merce, Bureau of Standards, act May 28, 1924) 1925
Incidental expenses of the Army (trsnsfer to Commerce, act May 21, 1920) 1923
Regular supplies of the Army 1925 1924
Roads, walks, wharves, and drain- age 1925
Subsistence of the Army (trsnsfer to Commerce, act May 21, 1920) 1923
Sewerage system, Fort Monroe, Va 1925 Water and sewers at military posts 1925 Permanent and indefinite—
Replacing Army transportation 1923 — 24 1922-23
Replacing clothing and equip- age 1922-23
Replacing regular supplies of the Army 1923-24
1922-23
8248. 00 71, 643. 50 20, 212. 20
205. 00
225. 00 14, 988. 62
4, 694. 37
2, 750. 00
120. 00 230. 25
14, 162. 25
280. 03 9. 98
8, 446. 08
65. 38 5. 98
Adjutant General's Department: Salaries, office of Adjutant General Military post exchanges Army Wsr College Command s. nd General Staff School,
Fort Leavenworth, Kans
Total, under Adjutant Gen- eral's Department
1925 1925 1925
1925
Ofhce of the Inspector General: Salaries, office of Inspector General 1925
Ofhce of the Judge Advocate General: Salaries, office of Judge Advocate
General, United States Army 1925 Special services, Office of Judge Ad-
vocate General, United States Army 1924 — 25
Total, Office of the Judge Advo- cate General
Total, under office of Secretary of War
General Stag Corps: Salaries, office of Chief of Staff 1925
5, 612. 40
5, 507. 50
34, 989. 80 60. 00
I& 618. 25
268. 50
36, 936. 55
640. 50
1, 570. 50
500. 00
2, 070. 50
Total, Quartermaster Corps
1925
Total, Signal Corps
Air Service: Salaries, office of Chief of Air Service 1925 Air Service, Army 1925
1924 Air Service, Army (transfers, act
May 21, 1920)— To Department of Agriculture 1924 To Department of Commerce 1925
1924
Signal Corps: Salaries, Signal office 1925 Maintenance of fire-control installations 1925 Maintenance of fire-control instal-
lations, insular possessions 1925 Signal Service of the Army 1925 Signal Service of the Army(transfer
to Department of Commerce, Bureau of Standards, act of Msy 28, 1924)
Permanent and indefinite— Replacing Signal Corps sup-
plies and equipment 1922 — 23
275, 572. 89
1, 440. 00 1, 830. 40
190. 95 14, 182. 85
77. 00
36. 35
17, 757. 55
5, 464. 40 90, 500. 00
4, 884. 32
203. 76 5. 00
30. 00
Finance Department: Salaries, office of Chief of Finance 1925 Finance Service 1925 Psy of the Army 1925
7, 968. 00 36, 350. 00
1, 170. 00
Air Service, Army (transfer to De- partment of Commerce, a c t May 28, 1924)
Total, Air Service
1925 125. 00
101& 212. 48
Total, Finance Department
(quartermaster Corps: Salaries, office of Quartermaster
General 1925 Army transportation 1925 Barracks and quarters 1925
1924 1923
Barracks and quarters, Philippine Islands No year
Clothing and equipage 1925 Clothing and equipage (transfer to
Department of Commerce, Bu- reau of Standards, act May 21, 1920) 1923
Construction and repair of hospitals 1924
45, 488. 00
14, 625. 00 40, 407. 05 27, 108. 02 12, 803. 82 5, 045. 90
1, 125. 00 33, 071. 25
65. 00 3, 040. 71
3f edical Department: Salaries, office of Surgeon General 1925 Medical and Hospital Department 1925
Total, Medical Department
Bureau of Insular AffairsI Salaries, Bureau of Insular Affairs 1925
Corps of Engineers: Salaries, office of Chief of Engineers 1925 Civilian assistants to Engineer officers 1925 Engineer School 1925 Engineer depots 1925
1924 Engineer equipment of troops 1925 Engineer operations in the field 1925
6, 642. 60 8, 400. 10
15, 042. 70
2, 008. 50
2, 950. 00 870. 00 190. 00 730. 00
1, 326. 14 545. 00 830. 00
298 RECEIPTS AND DISBURSEMENTSy 1925
Statement showing amounts of 9+a per cent deductions ($17&905)070. 98) transferred from balances ($1, 618, 517. 68) and appropriations ($16, 991)558. 80) of the follouing accounts which were credited to the "Civil-service retirement and disability fund, " as stated on page 87 — Continued
Corps of Engineers — Continued. Military surveys and maps—
1925, Dec. 31, 1925 Contingent expenses, seacoast forti-
fication 1925 Plans for fortification 1925 Plans for fortification, insular pos-
sessions 1925 Preservation snd repair of fortifications 1925 Preservation and repair of fortif-
ication, insular possessions 1925 Preservation of historical fortifications 1925 Searchlights and electrical installa-
tions at seacoast fortification 1925 1924
Searchlights and electrical instal- lations, Hawaiian Islands 1925
Sea walls and embankments 1925 Supplies for seacoast defenses 1925
1924 Supplies for seacoast defenses, in-
sular possessions 1925 1924
$105. 00
105. 00 135. 00
20. 00 2, 280. 00
200. 00 120. 00
135. 00 480. 69
15. 00 35. 00
415. 00 303. 10
115. 00 174. 92
Ordnance Department — Continued. Armament of fortificstions, insular
possessions Field artillery armament
Field artillery armament (transfer to Department of Commerce, act May 28, 1924)
Field artillery armament (transfer to Department of Commerce, act May 21, 1920)
Proving grounds, Army Rock Island bridge, Rock Island,
Ill Repairs of arsenals
Ta»ks
1925 1925 1924 1923
-1925
1924 1925'
1925 1925 1924
1925-26 1923-24 1922-23
Tanks (transfer to Department of Commerce, sct Msy 21& 1920) 1923-24--
Testing machines 1925 1924
$595. 00 4, 247. 50
13, 461. 89 10, 212. 41
25. 00
20. OO
830. 00
360. 00 1, 200. 00 6, 702. 70
90. 00 2, 739. 47 1, 316. 43
20. 00 107. 50 621. 24
Total, Corps of Engineers
T o t a 1, Fortifications, e t c. , Panama Canal
Ordnance Departn5ent: Salaries, Officeof Chief of Ordnance Ordnance service
1925 1925 1924
Ordnance stores and supplies 1925 — 26 1923-24 1922 — 23
Ordnance stores, Ammunition 1925 — 26 1923-24 1922-23
0 r d n a. n c e stores, Ammunition - (transfer to Department of Com-
merce, sct May 28, 1924) 1925 — 26 0 r d n a n c e stores, Ammunition
(transfer to Department of Com- merce, act May 21, 1920) 1923 — 24
Automatic rifies 1925 — 26 1923-24 1922-23
Automatic rifles (transfer to De- partment of Commerce, act May 21, 1920) 1924-25
1923-24 Gauges, dies, aad jigs for manufac-
ture 1925 Manufacture of arms 1925 — 26
1923-24 1922 — 23
51anufscture of arms (transfer, act May 28, 1924) to Department of Commerce, Bureau of Standards 1924 — 25
Nitrate plants No year. Small-arms target practice 1922 — 23 Armament of fortifications 1925
1924 1923
Armament of fortificatioas (trans- fer, act Msy 28, 1924, to Depart ment of Commerce, Bureau of Standards)
Fortifications, etc. , Panama Canal: Maintenance of fire-control instal-
lations, Panama Canal 1925 Plans for fortifications, Panama
Canal Preservation and repair of fortifica-
tions, Panama Canal 1925 Armament of fortifications, Panama
Canal 1925
12, 079. 85 Permanent and indefinite— Replacing ordnance and ord-
nance stores 1923-24 1922-23
4) 561. 09 809. 92
96. 42 Total, Ordnance Depsrtmeat 121, 007. 03
5. 00
40. 00
512. 50
653. 92
Chemical Warfare Service: Salaries, Office of Chief of Chemical
Warfare Service 1925 Chemical Warfare Service, Army 1925
1924 Chemical Warfare Service (transfer
to Department of the Interior, Bureau of Mines, act May 21, 1920) 1924
519. 00 12, 821. 00 3, 021. 87
42. 23
4, 131. 80 8, 400. 00
11, 567. 66 120. 00
2, 232. 63 198. 53 875. 00
10, 584. 01 898. 89
903. 00 1) 225. 00
Total, Chief of Infantry 2, 128. 00
Chief of Cavalry: Cavalry School, Fort Riley, Kans 1925 249. 00
8. 00 Chief of Field Artillery: Field Artillery School, Fort Sill, Okla 1925 90. 00
14. 00 260. 00
2, 863. 20 579. 29
15. 00 8. 00
Chief' of Coast Artillery: Salaries, office of Chief of Coast
Artillery Coast Artillery School, Fort Mon-
roe, Vs Submarine mines
1925 565 50
1925 166 50 1925 332 50
Total, Chief of Coast Artillery -- 1& 064 50
375. 00 625. 00
6) 661. 29 506. 70
Military Academy: Maintenance, United States Mili-
tary Academy No year 1925 2, 500. 00
1922-23 80. 32 Psy 1 Mll'ts y Acsdemy -1925 2, )50 00
5 550, 32 20. 00
115. 37 237. 22
1& 752. 50 13, 019. 79 7, 000. 00
Total, Military Academy
Militia Bureau: Salaries, Militia Bureau --1925-- Arming, equipping, snd training
the Nstlo sl G s d 1925
Total, Militia Bureau 18. 00
Total, Chemical Warfare Service 16, 404. 10
Chief of Infantry: Infantry School, Fort Benning, Gs 1925 Tank Service 1925
BIICEIPTS AND DISBUItsy~g~
Statement shale ng amounts of g+ per cent deductions ($1 7, 90o, 070. 98) transferred from balances (gf, gfg, of 7. 88) and appropriat lgtg, g9Lood. 80) of the following accounts which were credited to the "Cioti~~e„, ~ page 87 — Continued
National Board for Promotion of Rifle Practice:
Quartermaster supplies and ser- vices for riSe ranges for civilian instruction Xo year
Total, under Alilitary Activities
XOX5lILITLBT ACTIvITIES
uNDER CVXBTEBMxSTEB COBPS
National Cemeteries: Di:position of remains of officers,
soldiers, and cia% emplovees 1925 Headstones for graves of soldiers 192o Xstional cemeteries 1925 Psy of superintendents of national
cemeteries 19oo
EXDER CORPS OF EXGIXEERS
P ublic Buildings and Grounds under Chief Engineer:
Improvement and care of public gl'ounds 1925
1924 . Care and maintenance, Lincoln llemorisL 1925
Care snd maintenance- of Washing- ton Alonument 1925
Improvements, birthplace of George Washington, Wakefield, Va 192o
1924 Repairs to building where Abraham
Lincoln died 192o 1924
Reflecting pool, West Potomac Park Xo year
Total, public buildings and grounds under Chief Engi- neer
Total, National Cemeteries
National Ifititary Parks: Chickamauga and Chattanooga Xs-
tional Military Park 1925 1924 1928
Gettysburg Xstionsl Alililsry Park 192o 1928
Guilford Courthouse Xstionsl Mili- tary Park 1925
Shiloh National Military Park 192o 1924 1923
Yicksburg Xstional oiilitary Park 1925
Total, National Alilitsrv Parks
Under Signal Corps: Washington-Alaska military cable
and telegraph sy stems 1925 — 26 Washington-Alaska military cable
snd telegraph svstems (transfer to Department of Commerce, Bureau of Standards, act Xlsv 28, 1924) 1925 — 26
Total, Nonmilitary under Signal Corps
Under Afedica/ Department: Medical and surgical historv of the
World War 1925
$600. 00
670, 902. 29
115. 75 S4. 00
(43. I o
2, 055. 00
2. 998. 50
877. 00 4. 14
14. 99 481. 25
. 14
20. 67 185. 00 73. 8S 18. 75
296. 00
1, 421. 32
1, 704. 77
5. 00
1, 709. 77
472. 00
5. 00 9. 2o
95. 00
170. 00
9. 00 7. 50
1. 00 1. 00
221. 05
51S. 80
miscellaneous, under Corps of Engineers: Ilaintenance and repairs of Aque-
duct Bridge, D. C Expenses, California Debris Com-
mlsslon
Prevention of deposit=, harbor of Yorl-
Survey of northern snd northwe~C- em lakes
Total, miscellaneou=-, under Corps of Engineers
Xo vesr
1925 1924 1923
1924
1924 1928
! RIVERS XXD ESBBORS
Improeing harbor at- Breakwater from Mount Desert to
Porcupine Island, Ale Xo. vear Gloucester, Beverlv, Salem, Lynn,
Plvmouth, and Provincetown, snd Eiy~iic, Maiden. Weymouth Fore and Back Rivers, and Dor- che=-ter Bsv snd Xeponset River, llsss do
Xsntuci-et, Afsss do
Plymouth and Provincetown, %lass do Duck Island, Brsnford, Xew Haven,
Iiilford, Bridgeport, So ulhport, Norwslk; Five Alile kiver. Stam- ford, snd Greenwich, Westport Harbor snd Ssugstuck River, breakwaters at Xew Haven and Housatonic Reer, Conn do
Stonington snd Xew London and Mystic and Thames Rivers, Conn. , snd Pawcatuck River, R. L snd Conn do
Blscl- Rock Channel snd Tonawan- ds Harbor. X. Y do
Xew York, X. Y do Arthur Kill. X. Y. snd X. J do Erie, Ps. . Dunkirl-, snd Buffalo,
Black Rock Channel and Tona- wanda Harbor. and Xiagara River, X. Y do
Inland waterway between Rehoboth Bsv snd Delaware Bay, Del do
Rockhall, Queen=town, Claiborne, Cambridge, Chester. Choptsnk, Warwick, Pocomoke, La Trsppe, V icomico, and hlsnokin Rivers, and Tvsskin Creek, 5Id do
Rockhsll, Queenstown, Claiborne, Tilghmsn Island, Cambridge, and Crisfield, Elk snd Little Hk, Chewer, Corsica, Choptank, Tuel-- shoe, Wsrwicl-. , Ls. Trappe, Tred Avon, Wicomico, Msnokin, snd Pocomoke Rivers, Slaughter, Tv- sskin, snd Broad CreeL-, Twitch Cove snd Big Thoro~~are River. snd Lour Thoroughfare, Deal Island, Aid. , Xsntlcoke Riv- er. Del. snd Ild. , and Broad Creek River, Del do
Xorfoik. Vs do %'sterwsy on coast of Virginia do Beaufort and llorehead Citv, Beau-
fort Inlet, waierwav from Psm- lico Sound to Beaufort Inlet. wsterwsv connecling Core ound snd Beaufort Harbor, and water- way, Beaufort to Jacksonville, X. C do
82. 90
40. 00 152. o7
4. 44
52 68
466. Sl 14. 53
733 93
o7 1o
194. 02 26. 19 8. 12
19. 87
200 00
S. 88 1, 400. 25 1, 12L 59
224. 18
21. 42
28. 45 24. 69 . 35
94. oS
300 RECEIPTS AND DIS RURSEMEXTS, 1925
Statement sho(ving amounts of 8+s per cent deductions ($17, 905, 07 ($16, 891, 558. 80) of the follo1oing accounts (vhich mere credited page 87 — Continued
0. 98) transferred from balances ($1, 618, 517. 68) and appropriatione to the "Civil-service retirement and disability fund, " as stated on
Improving harbor at — Continued. Harbor of refuge, Cape Lookout,
N C No year. Charleston, S. C cia Winyah Bsy, S. C do Winyah Bay, 1Vaccamaw, Little
Peedee, and Great Peedee Rivers, S. C &10
Barataria Bay, La do Brazos Island, Tex do Cleveland, Ohio do Toledo, Port Clinton, Sand usky,
Huron, Vermilion, Lorain, Cleve- land, Fsirport, Ashtabuls, and Conneaut, Ohio do
Chicago, Ill do Chicago and Calumet, Ill. , Chicago
Illinois Rivers, Ill. , Calumet River, Ill. and Ind. , Indiana and Michigan City Harbors, Ind do
Grand Marais, Marquette, Mar- quette Bay, and Ontonagon Har- bors, and Keweenaw Waterway, Mich. ; Ashland and Port Wing Harbors, Wis. ; Duluth-Superior Harbor, Minn. and Wis. ; Agate Bsy and Grand Marais Harbors, Minn clo
Mackinsc, Cheboygsn, Rogers City, Alpena, Harbor Beach, and Mon- roe; Saginaw, Black, Clinton, and Rouge Rivers, Mich do
Los Angeles, Calif do San Francisco, Oakland, Richmond,
Monterey, and Humboldt, Red- wood, snd Petaluma Creeks, Napa River, Ssn Pablo Bsy, Mare Island Strait, and Suisun Chan- nel, Calif do
Suisun Channel, Calif do Tillamook Bs, y and Bar, Oreg do Grays Harbor and Chehalis River,
clo Seattle, Wash do Honolulu, Kahului, and Hilo, Ha-
Wall (10 Honolulu, Kahului, Hilo, and Na-
wiliwili, Hawaii do Indefinite — Special f unds-
Funds contributed for improve- ment of-
Beverly Harbor, Mass do Brazos Island Harbor, Tex do Gulfport Harbor, Miss do Richmond Harbor, Calif do Nome Harbor, Alaska do
847. 72 548. 10
48. 76
62. 98 106. 05
2. 40 339. 70
3. 25 14. 87
179. 70
123. 56
84. 27 . 13
166. 12 4. 86
75. 00
13. 81 28. 20
4. 81
26. 98
88. 90 22. 33
170. 25 49. 07 11. 50
do do
1925 1924
Improving rivers — Continued, Appoquinimink, Smyrna, Leipsic,
Little, St. Jones, Murderkill, Mis- pillion, and Broadkill, Del No year
Potomac and Anscostia Rivers, D. C. , Occoqusn, Aquia, Upper Machodoc, and Nomini Creeks, Va
James, Va Blackwater, Va. , and Meherrin snd
Roanoke, N. C do Northeast, Black, and Cape Fear,
N. C do Santee, Wateree, snd Congsree,
S. C do St. Johns River, Lake Crescent and
Dunns Creek, and Oklswahs River, Fla do
Removing the water hyacinth do Dam No. 2, Muscle Shoals, Ala do Bayou Lafourche, La do Bayou Terrebonne, La do Waterway from Franklin to Mer-
mentau, La do Waterway from Mississippi River to
Sabine River, La do Trinity, Tex do Redwood Creek, Calif do Sacramento snd Feather, Calif do Coquille, Coos, Siuslaw, and Yskims
Rivers, and Coos, Tillamook, snd Nehalem Bays, Oreg do
Columbia at Three Mile Rapids, Oreg. and Wash do
Mouth of Columbia, Oreg. , and Wash do
Flood control, Puyallup River, Wash do
Sksgit, Wash do Snohomish, Wash ' do Swinomish Slough, Wash do Waterway connecting Puget Sound
with Lakes Union and Washing- ton do
Examinations, surveys, and contin- gencies of rivers and harbors do
Missouri do Flood control, Mississippi River do Flood control, Sacramento River, Calif do Maintenance snd improvement of
existing river and harbor works do Permanent and indefinite—
Examinations and surveys at South Pass, Mississippi River
$1. 52
39. 23 109. 36
6. 16
71. 67
62. 06
16. 61 11. 31
59, 185. 55 2. 07 . 17
35. 83
107. 13 223. 09
6. 98 18. 27
3. 85
65. 00
103. 62
8. 00 101. 17
7, 06 2. 21
114. 87
3, 977. 81 9. 13
37, 388. 73 1, 981. 07
116, 448. 70
75. 00 76. 19
Total, Harbors
Improving rivers: Weymouth, Mass Connecticut, Conn Bronx, N. Y East, N. Y Hudson, N. Y Cohsnsey, N. J Cooper, Salem, Cohansey, and Mau-
rice Rivers, Woodbury, Mantua, Raccoon, Oldmans, and Alloway Creeks, X. J
Maurice, N. J Delaware, Ps. and N. J Allegheny, Ps Flood control, Allegheny and Mo-
Schuylkill P Flood control, North branch, Sus-
quehanna River, Pa. snd N. Y
do &10
do (io &10
do
&10
do &10
do
do do
do
5, 623. 66
64. 05 3. 92
20. 00 400. 00 114. 17
. 30
13. 20 81. 95 60. 00
203. 44
15. 00 40. 30
10. 00
Operating snag boats on the Ohio River 1925
1924 1923
Operating and care of canals snd other works of naviga- tion No year
Removing obstructions in Mis- sissippi, Atchsfslsya, and Old Rivers 1925
1924
Gauging waters of the Missis- sippi snd its tributaries 1925
1924 Maintenance of channel, South
Pass, Mississippi River 1925 1924
Operating snag and dredge boats on upper Mississippi, Illinois, and Minnesota Rivers 1925
1924
50. 00 35. 00
200. 00 15. 92
150. 00 69. 27
75. 00 76. 41 32. 02
51, 916. 55
600. 00 434. 57
RECEIPTS AND DISBURSEMENTSI 1925 301
Statement showing' 'amounts of 9+a per cent deductions ($17, 906, 070. 98) transferred from balances (41, 818, 617. 88) and appropriations (818, 991, 668. 80) of the following accounts which were credited to the "Civil-service retirement and disability fund, " as stated on page 87 — Continued
Improving rivers — Continued. Removing sunken vessels or
craft obstructing or endan- gering navigation No year
Special funds — Funds contrib- uted for improvement of-
Waterway from Mississippi River to Sabine River, La do
Mississippi River, Yazoo, Miss. , Delta Levee Dis- trict, Miss do
Flood control, Mississippi River do
Noyo River, Calif do
Total, Rivers
Total, Rivers and Har- bors
Inland and Coastwise Waterways Service: Transportation facilities, inland and
coastwise waterwsys 1925
Total, under Nonmilitary Ac- tivities
Total, War Department, ex- cluding maintenance and operation of Panama Canal
PANAMA CANAL
MAINTENANCE AND OPERATION
Civil goveriunent, Panama Canal and Canal Zone No year
Maintenance and operation, Panama C anal do
Sanitation, Canal Zone, Panama Canal do
Total, Panama Canal, mainte- ance and operation
DISTRICT OF COLUMBIA
District of Columbia: Executive office, District of Colum-
bia 1925 Assessor's office, District of Colum-
b' 1925 bia Auditor's office, District of Colum-
bia 1925 Care of District Building, District
of Columbia 1925 Central garage, District of Colum-
bia 1925 Collector's office, District of Colum-
bia 1925 Coroner's office, District of Colum-
bia 1925 Department of insurance, District
of Columbia 1925 Engineer commissioner's office, Dis-
trict of Columbia 1925 License bureau, District of Colum-
bia 1925 Municipal architect's office, District
of Columbia 1925 Office of Corporation Counsel, Dis-
trict of Columbia 1925 Office of Superintendent of Weights,
Measures and Markets, District of Columbia 1925
Public employment service 1925 Public Utilities Commission 1925 Rent commission (wholly D. C. ) 1924-25
$53. 00
344. 84
871. 73
594. 01 9. 55
276, 813. 62
282, 437. 28
392. 50
290, 684. 10
961, 586. 39
3( 211. 64
241 796. 24 5, 833. 98
33, 841. 86
3, 971. 50
2, 893. 50
1, 882. 50
1, 111. 31
109. 50
1, 730. 03
129. 00
446. 50
6, 356. 73
445. 50
769. 51
837. 08
829. 00 211. 50 946. 00 388. 56
District of Columbia — Continued. Rent commission (60 — 40) No year Surveyor's office, District of Colum-
bia 1925 Salaries, Free Public Library 1925 Increasing water supply, District of
Columbia (wholly D. C. ) No year Increasing water supply, District of
Columbia (60 — 40) do Street cleaning 1925 Collection and disposal of refuse 1925 Street and road improvement and
repair, District of Columbia 1925 Street improvements 1925 Reclamation of Anacostia River
Flats (wholly D. C. ) No year Reclamation of Anacostia River
Flats (60 — 40) do Bridge across Potomac River at
Georgetown, D. C. (60 — 40) do Repair and maintenance of bridges,
District of Columbia 1925 Trees and parkings 1925 National Zoological Park, D. C 1925 Connecting parkway between Rock
Creek and Potomac Parks, Dis- trict of Columbia (wholly D. C. ) No year
Connecting parkway between Rock Creek and Potomac Parks, Dis- trict of Columbia (60 — 40) do
Salaries, public buildings and grounds, District of Columbia 1925
Salaries of employees, Public Build- ings and Grounds, District of Columbia 1924
Improvement and care of public grounds, District of Columbia 1925
1924 Lighting public grounds, District of
Columbia 1925 1924
Sewers 1925 Electrical department 1925 Community centers 1925 Playgrounds 1925 Public schools 1925 Buildings and grounds, public
schools (wholly D. C. ) No year Metropolitan police 1925 Fire department 1925 Sites, buildings and furnishings,
fire department (wholly D. C. ) No year Health department 1925 Child welfare and hygiene service 1925 Condemnation of insanitary build-
ings 1925 Maintenance, public crematorium 1925 Juvenile Court 1925 Municipal Court 1925 Police Court 1925 Probation system, Supreme Court,
District of Columbia 1925 Support of prisoners 1925 Writs of lunacy 1925 Salaries and expenses, Board of
Charities 1925 Board of Children's Guardians 1925 Gallinger Municipal Hospital 1925 Home for the Aged and Infirm 1925 Home for Feeble-Minded 1925 Industrial Home School 1925 Industrial Home School for Colored
Children 1925 Municipal Lodging House 1925 National Training School for Girls 1925 Reformatory 1925 Building, reformatory (wholly Dis-
trict, of Columbia) Xo year
8511. 69
1, 597. 73 3, 565. 85
2, 000. 00
1, 156. 72 1, 429. 44 1, 493. 68
848. 40 361. 91
600. 00
22. 17
572. 45
372. 25 46. 50
2, 400. 24
74. 03
238. 92
600. 00
387. 14
1, 800. 00 387. 00
30. 00 35. 51
1, 560. 20 2, 171. 15
497. 38 708. 00
15, 936. 98
2. 68 2, 194. 50
228. 00
2. 72 4, 106. 07
254. 38
52. 50 39. 00
978. 56 653. 13
1, 033. 37
147. 50 1, 053. 00
91. 50.
742. 77 1, 027. 50 4, 059. 00 1, 001. 29
95. 00 469 58
580. 48 76. 50
712. 50 1, 232. 50
302 RECEIPTS ADD DISBURSEMEN3%r 1925
~«tement showing amounts of 8+ per cent deductions ($17, 905, 070. 98) transferred from balances (4'I&618@17. 6B) and apprap ~~ ($16&891 558. 80) of the following accounts which were credited to the "Civil-service retirement and disability fund, " as stated on page 87 — Continued
District of Columbia — Continued. Temporary home for former soldiers
and sailors, District of Columbia 1925 Tuberculosis Hospital 1925 Workhouse 1925 General administration, Workhouse
and Reformatory, District of Columbia 1925
Special funds— Gasoline tax road and street
improvements 1925 Washington Aqueduct 1925
1924 1923
Water Department 1925
$69. 00 1, 185. 00 . 1, 699. 00
341. 44
192, 23 1, 400. 00
498. 39 60. 08
3, 668, 39
District of Columbia — Continued. Trust fund—
Miscellaneous trust fund de- posits No year
Total, District of Colum- bia
Total deductions trans- ferred from accounts as stated above
$1, 045. 08
95, 450. 57
17, 905, 070. 98
SUMMARY OF DEDUCTIONS CREDITED TO CIVIL-SERVICE RETIREMENT AND DISABILITY FUND DURING THE FISCAL YEAR 1925
Deductions transferred ss above
From balances From sppropristions '
Total deductions decal S esr 1925
Legislative Executive Office Independent Offices Department of Agriculture Department of Commerce Department of the Interior, including Pensions and Indian Department of Justice, including Judicial Department of Labor Navy Department Post Office Department Department of State Treasury Department War Department Panama Canal District of Columbia.
Affairs
$578. 46 173& 341. 96 139, 098. 53 21, 491. 00 37, 686. 67
600. 00 23. 90
715, 624. 4'8
886. 60 126, 661. 24 394, 213. 24
3& 311 60 I
$197, 855. 70 3, 397. 00
1, 1'52, 988. 19 463, 795. 50 192, 242. 20 361, 250. 22
27, 675. 00 133, 222. 50
1, 094, 827. 95 10, 268, 477. 47
27, 363. 80 1, 675, 103. 79
567, 373. 15 33, 841. 86 92, 138. 97
$197, 855. 70 3, 975. 46
1, 326, 330, 15 602, 894. 03 213, 733. 20 398, 936. 89
28, 275. 00 133& 246. 40
1, 81'0, ' 452. 43 10, 268, 477. 47
28, 250. 40 1, 801, 765. 03
961, 586. 39 33, 841. 86 95, 450. 57
Total 1, 613, 517. 68 16, 291, 553. 30 17, 905, 070. 98