PRINTER'S NO. 2751

THE GENERAL ASSEMBLY OF PENNSYLVANIA


HOUSE BILL

No. 2122 Session of 1976


        INTRODUCED BY WOJDAK, FEBRUARY 4, 1976

        REFERRED TO COMMITTEE ON TRANSPORTATION, FEBRUARY 4, 1976

                                     AN ACT

     1  Amending the act of July 9, 1975 (No. 9-A), entitled "A
     2     supplement to the act of June 30, 1975 (No.8-A), entitled 'An
     3     act to provide for the expenses of the Executive, Legislative
     4     and Judicial Departments of the Commonwealth, the public debt
     5     and for the public schools for the fiscal period July 1, 1975
     6     to June 30, 1976, and for the payment of bills incurred and
     7     remaining unpaid at the close of the fiscal period ending
     8     June 30, 1975,' itemizing appropriations required from the
     9     Motor License Fund for the proper operation of the several
    10     departments of the Commonwealth authorized to spend Motor
    11     License Fund moneys," increasing two appropriations made to
    12     the Department of Transportation, and providing for two
    13     additional appropriations to the Treasury Department.

    14     The General Assembly of the Commonwealth of Pennsylvania
    15  hereby enacts as follows:
    16     Section 1.  Section 2, act of July 9, 1975 (No. 9-A), known
    17  as the "Motor License Fund Supplement to the General
    18  Appropriation Act of 1975," vetoed in part, is amended by
    19  increasing the two appropriations which had been reduced and by
    20  adding two new appropriations to read:
    21     Section 2.  The following sums or as much thereof as may be
    22  necessary, are hereby specifically appropriated from the Motor
    23  License Fund to the hereinafter named agencies of the
    24  Commonwealth for the payment of salaries, wages and other

     1  compensation and travel expenses of the duly elected or
     2  appointed officers and employees of the Commonwealth, for
     3  contractual services and other expenses necessary for the proper
     4  conduct of the duties, functions and activities for the purposes
     5  hereinafter set forth for the fiscal period beginning July 1,
     6  1975 and for the payment of bills incurred and remaining unpaid
     7  at the close of the fiscal period ending June 30, 1975.
     8                To the Department of Transportation
     9     For the salaries, wages and all necessary
    10  expenses for the proper administration of the
    11  Department of Transportation, including planning
    12  and research, engineering, right-of-way, highway
    13  construction, special projects and services, high-
    14  way maintenance, service functions and transpor-
    15  tation safety.................................... [$284,675,000]
    16                                                     $371,175,000
    17     * * *
    18     For payments to municipalities to assist in
    19  maintenance and construction costs of roads in
    20  accordance with the act of June 1, 1956 (P.L.
    21  1944, No.655), relative to the allocation of
    22  highway funds....................................   [89,600,000]
    23                                                       92,600,000
    24     * * *
    25                     To the Treasury Department
    26     * * *
    27     For the payment of interest on tax anticipa-
    28  tion notes.......................................     2,958,000
    29     For the payment of legal fees, advertising,
    30  cost of engraving and other expenses incurred in
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     1  the issuance of tax anticipation notes...........        20,000
     2     Section 2.  This act shall take effect immediately.



















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