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Reports required to be submitted to the House of Representatives under this statute shall be printed as House documents.

104a and the direction of the Committee on House Administration, I herewith submit a quarterly report of the Statement of Disbursements of the House of Representatives covering receipts and expenditures of ap- propriations and other funds for the period April 1, 1999 through June 30, 1999.

H■H^a Kll HI0rrt O^Jp^Jr^MJJrtrt^^pp(050^l^lp^rt N. 8^ I I e o I e o ooo OOOOOOOOOi eeeoooeeei oooooeeeoi Mr^r-CHi Hi Hi Hi Hi Hi OOOOOOOOOI i Hp HHHr-tp Hf Hf HHi CMOOr HHOOOOO I I I I I ttt » » »' a-H^FH^(MN9'IOMC0 5 :::::::::::::::::::::::::::::::::::::::: : ¥::::::::::::::::::::::::::::::::::::::::: (fl 1 ;; I !

235 General Counsel 225 Inspector General 235 Law Revision Counsel 239 Legislative Counsel 242 Minority employees 37 Parliamentarian 233 Republican Conference 32 Training and Program Development 38 Republican Steering Committee 36 Sergeant at Arms 227 Speaker's Office for Legislative Floor Activities 37 Stationery (revolving fund) 3197 Year 2000 Preparation 247 STATEMENT OF DISBURSEMENTS OF THE HOUSE FROM APRIL 1. 1999 STATEMENT OF ACCOUNTABILITY FOR APPROPRIATIONS AND OTHER FUNDS Unexpended balance, April 1, 1999 7,920,475.68 Appropriations 6,581,000.00 Receipts to be deposited in general fund of the Treasury ,329.30 106,628,329.30 Total funds available 594,548,804.98 Expenditures: Disbursements for salaries and expenses and canceled checks 197,498,346.93 Transfers: Deposited in general fund of the Treas- uiy 47,329.30 197,545,676.23 Unexpended balance, June 30, 1999 7,003,128.75 SUMMARY OF TRANSACTIONS BY APPROPRIATIONS Purpose Funds available Net disbunemenls Transfers House Leadership Offices: 1997 ,152,498.59

Reports required to be submitted to the House of Representatives under this statute shall be printed as House documents. 104a and the direction of the Committee on House Administration, I herewith submit a quarterly report of the Statement of Disbursements of the House of Representatives covering receipts and expenditures of ap- propriations and other funds for the period April 1, 1999 through June 30, 1999. H■H^a Kll HI0rrt O^Jp^Jr^MJJrtrt^^pp(050^l^lp^rt N. 8^ I I e o I e o ooo OOOOOOOOOi eeeoooeeei oooooeeeoi Mr^r-CHi Hi Hi Hi Hi Hi OOOOOOOOOI i Hp HHHr-tp Hf Hf HHi CMOOr HHOOOOO I I I I I ttt » » »' a-H^FH^(MN9'IOMC0 5 :::::::::::::::::::::::::::::::::::::::: : ¥::::::::::::::::::::::::::::::::::::::::: (fl 1 ;; I ! 235 General Counsel 225 Inspector General 235 Law Revision Counsel 239 Legislative Counsel 242 Minority employees 37 Parliamentarian 233 Republican Conference 32 Training and Program Development 38 Republican Steering Committee 36 Sergeant at Arms 227 Speaker's Office for Legislative Floor Activities 37 Stationery (revolving fund) 3197 Year 2000 Preparation 247 STATEMENT OF DISBURSEMENTS OF THE HOUSE FROM APRIL 1. 1999 STATEMENT OF ACCOUNTABILITY FOR APPROPRIATIONS AND OTHER FUNDS Unexpended balance, April 1, 1999 7,920,475.68 Appropriations 6,581,000.00 Receipts to be deposited in general fund of the Treasury ,329.30 106,628,329.30 Total funds available 594,548,804.98 Expenditures: Disbursements for salaries and expenses and canceled checks 197,498,346.93 Transfers: Deposited in general fund of the Treas- uiy 47,329.30 197,545,676.23 Unexpended balance, June 30, 1999 7,003,128.75 SUMMARY OF TRANSACTIONS BY APPROPRIATIONS Purpose Funds available Net disbunemenls Transfers House Leadership Offices: 1997

Reports required to be submitted to the House of Representatives under this statute shall be printed as House documents. 104a and the direction of the Committee on House Administration, I herewith submit a quarterly report of the Statement of Disbursements of the House of Representatives covering receipts and expenditures of ap- propriations and other funds for the period April 1, 1999 through June 30, 1999. H■H^a Kll HI0rrt O^Jp^Jr^MJJrtrt^^pp(050^l^lp^rt N. 8^ I I e o I e o ooo OOOOOOOOOi eeeoooeeei oooooeeeoi Mr^r-CHi Hi Hi Hi Hi Hi OOOOOOOOOI i Hp HHHr-tp Hf Hf HHi CMOOr HHOOOOO I I I I I ttt » » »' a-H^FH^(MN9'IOMC0 5 :::::::::::::::::::::::::::::::::::::::: : ¥::::::::::::::::::::::::::::::::::::::::: (fl 1 ;; I ! 235 General Counsel 225 Inspector General 235 Law Revision Counsel 239 Legislative Counsel 242 Minority employees 37 Parliamentarian 233 Republican Conference 32 Training and Program Development 38 Republican Steering Committee 36 Sergeant at Arms 227 Speaker's Office for Legislative Floor Activities 37 Stationery (revolving fund) 3197 Year 2000 Preparation 247 STATEMENT OF DISBURSEMENTS OF THE HOUSE FROM APRIL 1. 1999 STATEMENT OF ACCOUNTABILITY FOR APPROPRIATIONS AND OTHER FUNDS Unexpended balance, April 1, 1999 $487,920,475.68 Appropriations $106,581,000.00 Receipts to be deposited in general fund of the Treasury $47,329.30 106,628,329.30 Total funds available 594,548,804.98 Expenditures: Disbursements for salaries and expenses and canceled checks 197,498,346.93 Transfers: Deposited in general fund of the Treas- uiy 47,329.30 197,545,676.23 Unexpended balance, June 30, 1999 $397,003,128.75 SUMMARY OF TRANSACTIONS BY APPROPRIATIONS Purpose Funds available Net disbunemenls Transfers House Leadership Offices: 1997 $1,152,498.59 $0.00 $1,152,498.59 1998 1,057,967.81 552.18 1,057,415.63 1999 8,093,237.23 3,106,709.14 4,986,528.09 Salaries, officers and employees: 1997 5,505,332.61 290,516.36 5,214,816.25 1998 13,624,158.65 2,144,424.71 11,479.733.94 1999 67,822,467.10 20,481,599.19 47,340,867.91 Members' Representational Allow- ance: 1997 4,153,724.94 31,975.34 4,121,749.60 1998 630,221.36 340,748.20 289,473.16 1999 205,149,268.23 96,399,545.14 108,749,723.09 Committee on Appropriations: 1992 372.73 0.00 372.73 1997 199,644.17 4,440.18 195,203.99 1998/1999 332,379.80 27,526.48 304,853.32 1999/2001 11,145,618.98 4,539,512.16 6,606,10682 Committee on the Budget: 1992 1,337.28 0.00 1,337.28 Attending Physician: 1997 58,074.06 0.00 58,074.06 1998 72,722.66 12.27 72,710.39 1999 1,282.256.87 986,219.70 296,037.17 Special and Select Committees: 1997 2,568,066.67 626.02 2,567,440.65 1998/1999 1,915,230.57 46,225.68 1.869,004.89 1999/2001 45,507,850.94 21,631,443.84 23.876,407.10 (VII) VIII SUMMARY OF TRANSACTIONS BY APPROPRIATIONS— Continued Purpose Net disbursements House Child Care Center: 1992 11 05 19 3.688.16 Statement of Appropriations: 1997 15,000.00 1998 15,000.00 1999 15,000.00 Allowances and expenses: 1992 4.870.52 1997 290,266 17 1998 698,605 08 1999 74,058,054.48 Joint Committee on Taxation: 1997 7,960.57 1998 47,992.81 1999 3,253,250.75 Capitol Police Board: 1997 105,15295 1998 35,851.70 1999 19,800,699.66 General expenses — Capitol Police: 1997 236,481.33 1998 174,149.89 1999 5,093,393.19 Capitol Police Security 7,664,014.90 Capitol Police Security Enhance- ment Fund 102,621,000.00 House Stationery revolving fund (no year) 4,820,364.41 House Recording Studio revolving fund (no year) 2.823,640.03 House Restaurant revolving fund (no year) 845,799 93 House Beauty Shop revolving fund (no year) 16,928.82 House Barber Shop revolving fund (no year) 60,463,66 Page revolving fund (no year) 1,577,142 10 Suspense account (no year) (55,406.64) State withholding taxes— sus- pense account (no year) (331.09) Gifts to United States for reduc- tion of the public debt — Bureau of Government Financial Oper- ations 3,416.92 General fund receipts 43,912.38 Total $594,548,804.98 0,00 11.05 000 0.00 (4,004.05) 7,692.21 0.00 15,000.00 0.00 15,000.00 0.00 15,000.00 0.00 4,870.52 15,901.58 274.364.59 (1,886.73) 700,491.81 32,554,347.83 41,503,70665 (400.00) 8,360.57 147.00 47,845.81 1,534,121.74 1,719,129.01 0.00 - 105,152.95 (2,630.61) 38,482.31 11,198,623.60 8,602,076.06 0.00 236,481.33 22,377.44 151,772.45 1,361,297.61 3,732,095.58 1,268,231.98 6,395,78292 0.00 102,621,000.00 (146,855.91) 4,967,220.32 (221,918.77) 3,045,558.80 (91,031.66) 936,831.59 (4.331.71) 21,260.53 (3.245.72) 63,709.38 3,189.21 1,573,952.89 (15,662.49) (39,744.15) 0.00 (331.09) 0.00 0.00 3,416.92 43,912.38 0.00 0.00 $197,498,346.93 $47,32930 $397,003,128,75 IX SUMMARY OF GENERAL FUND RECEIPTS AND GIFTS TO UNITED STATES FOR REDUCTION OF THE PUBLIC DEBT Miscellaneous receipts $43,912.38 Gifts to United States for reduction of public debt by House Members (salary): Berry, Marion $775.02 Franks, Bob 867.15 Minge, David 250.00 Rivers, Lynn N 600.00 Strickland, Ted 924.75 3.416.92 Total general fund receipts $47,329.30 ID in (OMMKlrfll 2SSSSS2S22222222S ooooooooooooooooooooooooooooooooujujiflinir.i SISl PS gl : ; ; : - -ii ; IHUi .ujujtuujiiju Juj Iiju JUJUJUJUJUi UJUJli JUJUJUJUJUJUJIUUJUJUJIl J CO(0(/](/]KK * h-K uuu UUUUUUUUUUUUUUUUJNi HOC\l^'-4r Hi HCs Ji HFHCMr Or Of Oi HOf HOOC\i O OOOOOOOOOOOOOOOOOOi Hi HF^OO(H)H(Hp H(HOOOOOOOOOi HOOO .::::::::::::::::::::::::::::::::::::::: ij^ g ::::::::::::::::::::::::::::::::::::::: :" ¥•::::::::::::::::::::::::::::::::::::::l N CM Csl O CM Cs J CSJ CM Csi N So- ny 9-000000000000000000000000000 a^ooooooooooooooooooooooooooo o o o o o o O O O O i H i-l i Hi Hi Hi-tp^p^OO i^i^l oooooooooooooooooooooooooooooo iooooooooooooooooooooooooooooooooooooooooo l M^ 0- 0~ 0^ c 0~ a- 0- 0- 0- » 0~ »• 9- 0- N S s s s N N s N N s N f H O in CO o v T r-t 00 CO tfl trt M O m C\J CM S N v s S N N S s s •s ffl* -? i HKtf'i HCsl^Ulini AUIIAOVCOtt O ONv S S % M r^ n 1^ ■& O O N p4 O S S V. « in in in in e o o o o UJUJUJIl JIi JUJUJIUIii UJUUJUJUJIJJMM a a goooooooooooooooooo zxoooooooooooooooxz aainininininininininininininininaa. a ss 88 SNNNSNSNNS' ff*^ff^O^^^^^^^^^ff*»Hr HC0ff* N N S \ "^ S I CM N N oj eg 4l-4 Z OQM M MMMMMMMOQ M ZOHZMMM SSSSMU1M3W SSSMMw SMSSSSSSSSu WWMMMKMMUJMw Sul KSa COe K ^H^H^JO•Hrt■HO«^I^JMI0^^•HMr HWe\IOl H. NVSNNNNv VNNNNN' VNNN^v SSXNNN^v^ OOOOOOOOO' , N N V N S V N V \ N o o o o o o o oooooooooooooooooooooooooo o o o o o NVS^NVNVNN ooooooooooooooooooooooooo I Q a • -I ■ on • -I : z -I • M ;r IZZQ^i-ioeuj: ' uj ae u fi Z K u 8 2 8 I S 1 S SS888S88 oooooooooooooooo eeeooooeeooooooe ooeeeeeeeeeeeeoe HFHf Hi HFHi Hf Hi Hi HHf Hi Hf Hf Hf H oeooooooooooooo ! 106th Congress — 1st Session January 6-November 22, 1999 House Document No. 113 SUPERINTENDENT OF UUCUMENTS DEPOSITORY ENTSl STATEMENT OF DISBURSEMENTS OF HOUSE APRIL 1-JUNE 30, 1999 PART 1 OF 2 United States Congressional Serial Set Serial Number 14584 United States Government Printing Office Washington : 2001 T-' 106th Congress 1 „^,.„„ ^„ ^„^^„„„..„.^.,^„ f Document 1st Session ) HOUSE OF REPRESENTATIVES j No.

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Reports required to be submitted to the House of Representatives under this statute shall be printed as House documents.

104a and the direction of the Committee on House Administration, I herewith submit a quarterly report of the Statement of Disbursements of the House of Representatives covering receipts and expenditures of ap- propriations and other funds for the period April 1, 1999 through June 30, 1999.

H■H^a Kll HI0rrt O^Jp^Jr^MJJrtrt^^pp(050^l^lp^rt N. 8^ I I e o I e o ooo OOOOOOOOOi eeeoooeeei oooooeeeoi Mr^r-CHi Hi Hi Hi Hi Hi OOOOOOOOOI i Hp HHHr-tp Hf Hf HHi CMOOr HHOOOOO I I I I I ttt » » »' a-H^FH^(MN9'IOMC0 5 :::::::::::::::::::::::::::::::::::::::: : ¥::::::::::::::::::::::::::::::::::::::::: (fl 1 ;; I !

235 General Counsel 225 Inspector General 235 Law Revision Counsel 239 Legislative Counsel 242 Minority employees 37 Parliamentarian 233 Republican Conference 32 Training and Program Development 38 Republican Steering Committee 36 Sergeant at Arms 227 Speaker's Office for Legislative Floor Activities 37 Stationery (revolving fund) 3197 Year 2000 Preparation 247 STATEMENT OF DISBURSEMENTS OF THE HOUSE FROM APRIL 1. 1999 STATEMENT OF ACCOUNTABILITY FOR APPROPRIATIONS AND OTHER FUNDS Unexpended balance, April 1, 1999 $487,920,475.68 Appropriations $106,581,000.00 Receipts to be deposited in general fund of the Treasury $47,329.30 106,628,329.30 Total funds available 594,548,804.98 Expenditures: Disbursements for salaries and expenses and canceled checks 197,498,346.93 Transfers: Deposited in general fund of the Treas- uiy 47,329.30 197,545,676.23 Unexpended balance, June 30, 1999 $397,003,128.75 SUMMARY OF TRANSACTIONS BY APPROPRIATIONS Purpose Funds available Net disbunemenls Transfers House Leadership Offices: 1997 $1,152,498.59 $0.00 $1,152,498.59 1998 1,057,967.81 552.18 1,057,415.63 1999 8,093,237.23 3,106,709.14 4,986,528.09 Salaries, officers and employees: 1997 5,505,332.61 290,516.36 5,214,816.25 1998 13,624,158.65 2,144,424.71 11,479.733.94 1999 67,822,467.10 20,481,599.19 47,340,867.91 Members' Representational Allow- ance: 1997 4,153,724.94 31,975.34 4,121,749.60 1998 630,221.36 340,748.20 289,473.16 1999 205,149,268.23 96,399,545.14 108,749,723.09 Committee on Appropriations: 1992 372.73 0.00 372.73 1997 199,644.17 4,440.18 195,203.99 1998/1999 332,379.80 27,526.48 304,853.32 1999/2001 11,145,618.98 4,539,512.16 6,606,10682 Committee on the Budget: 1992 1,337.28 0.00 1,337.28 Attending Physician: 1997 58,074.06 0.00 58,074.06 1998 72,722.66 12.27 72,710.39 1999 1,282.256.87 986,219.70 296,037.17 Special and Select Committees: 1997 2,568,066.67 626.02 2,567,440.65 1998/1999 1,915,230.57 46,225.68 1.869,004.89 1999/2001 45,507,850.94 21,631,443.84 23.876,407.10 (VII) VIII SUMMARY OF TRANSACTIONS BY APPROPRIATIONS— Continued Purpose Net disbursements House Child Care Center: 1992 11 05 19 3.688.16 Statement of Appropriations: 1997 15,000.00 1998 15,000.00 1999 15,000.00 Allowances and expenses: 1992 4.870.52 1997 290,266 17 1998 698,605 08 1999 74,058,054.48 Joint Committee on Taxation: 1997 7,960.57 1998 47,992.81 1999 3,253,250.75 Capitol Police Board: 1997 105,15295 1998 35,851.70 1999 19,800,699.66 General expenses — Capitol Police: 1997 236,481.33 1998 174,149.89 1999 5,093,393.19 Capitol Police Security 7,664,014.90 Capitol Police Security Enhance- ment Fund 102,621,000.00 House Stationery revolving fund (no year) 4,820,364.41 House Recording Studio revolving fund (no year) 2.823,640.03 House Restaurant revolving fund (no year) 845,799 93 House Beauty Shop revolving fund (no year) 16,928.82 House Barber Shop revolving fund (no year) 60,463,66 Page revolving fund (no year) 1,577,142 10 Suspense account (no year) (55,406.64) State withholding taxes— sus- pense account (no year) (331.09) Gifts to United States for reduc- tion of the public debt — Bureau of Government Financial Oper- ations 3,416.92 General fund receipts 43,912.38 Total $594,548,804.98 0,00 11.05 000 0.00 (4,004.05) 7,692.21 0.00 15,000.00 0.00 15,000.00 0.00 15,000.00 0.00 4,870.52 15,901.58 274.364.59 (1,886.73) 700,491.81 32,554,347.83 41,503,70665 (400.00) 8,360.57 147.00 47,845.81 1,534,121.74 1,719,129.01 0.00 - 105,152.95 (2,630.61) 38,482.31 11,198,623.60 8,602,076.06 0.00 236,481.33 22,377.44 151,772.45 1,361,297.61 3,732,095.58 1,268,231.98 6,395,78292 0.00 102,621,000.00 (146,855.91) 4,967,220.32 (221,918.77) 3,045,558.80 (91,031.66) 936,831.59 (4.331.71) 21,260.53 (3.245.72) 63,709.38 3,189.21 1,573,952.89 (15,662.49) (39,744.15) 0.00 (331.09) 0.00 0.00 3,416.92 43,912.38 0.00 0.00 $197,498,346.93 $47,32930 $397,003,128,75 IX SUMMARY OF GENERAL FUND RECEIPTS AND GIFTS TO UNITED STATES FOR REDUCTION OF THE PUBLIC DEBT Miscellaneous receipts $43,912.38 Gifts to United States for reduction of public debt by House Members (salary): Berry, Marion $775.02 Franks, Bob 867.15 Minge, David 250.00 Rivers, Lynn N 600.00 Strickland, Ted 924.75 3.416.92 Total general fund receipts $47,329.30 ID in (OMMKlrfll 2SSSSS2S22222222S ooooooooooooooooooooooooooooooooujujiflinir.i SISl PS gl : ; 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106th Congress — 1st Session January 6-November 22, 1999 House Document No.

113 SUPERINTENDENT OF UUCUMENTS DEPOSITORY ENTSl STATEMENT OF DISBURSEMENTS OF HOUSE APRIL 1-JUNE 30, 1999 PART 1 OF 2 United States Congressional Serial Set Serial Number 14584 United States Government Printing Office Washington : 2001 T-' 106th Congress 1 „^,.„„ ^„ ^„^^„„„..„.^.,^„ f Document 1st Session ) HOUSE OF REPRESENTATIVES j No.

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,152,498.59 [[

Reports required to be submitted to the House of Representatives under this statute shall be printed as House documents. 104a and the direction of the Committee on House Administration, I herewith submit a quarterly report of the Statement of Disbursements of the House of Representatives covering receipts and expenditures of ap- propriations and other funds for the period April 1, 1999 through June 30, 1999. H■H^a Kll HI0rrt O^Jp^Jr^MJJrtrt^^pp(050^l^lp^rt N. 8^ I I e o I e o ooo OOOOOOOOOi eeeoooeeei oooooeeeoi Mr^r-CHi Hi Hi Hi Hi Hi OOOOOOOOOI i Hp HHHr-tp Hf Hf HHi CMOOr HHOOOOO I I I I I ttt » » »' a-H^FH^(MN9'IOMC0 5 :::::::::::::::::::::::::::::::::::::::: : ¥::::::::::::::::::::::::::::::::::::::::: (fl 1 ;; I ! 235 General Counsel 225 Inspector General 235 Law Revision Counsel 239 Legislative Counsel 242 Minority employees 37 Parliamentarian 233 Republican Conference 32 Training and Program Development 38 Republican Steering Committee 36 Sergeant at Arms 227 Speaker's Office for Legislative Floor Activities 37 Stationery (revolving fund) 3197 Year 2000 Preparation 247 STATEMENT OF DISBURSEMENTS OF THE HOUSE FROM APRIL 1. 1999 STATEMENT OF ACCOUNTABILITY FOR APPROPRIATIONS AND OTHER FUNDS Unexpended balance, April 1, 1999 $487,920,475.68 Appropriations $106,581,000.00 Receipts to be deposited in general fund of the Treasury $47,329.30 106,628,329.30 Total funds available 594,548,804.98 Expenditures: Disbursements for salaries and expenses and canceled checks 197,498,346.93 Transfers: Deposited in general fund of the Treas- uiy 47,329.30 197,545,676.23 Unexpended balance, June 30, 1999 $397,003,128.75 SUMMARY OF TRANSACTIONS BY APPROPRIATIONS Purpose Funds available Net disbunemenls Transfers House Leadership Offices: 1997 $1,152,498.59 $0.00 $1,152,498.59 1998 1,057,967.81 552.18 1,057,415.63 1999 8,093,237.23 3,106,709.14 4,986,528.09 Salaries, officers and employees: 1997 5,505,332.61 290,516.36 5,214,816.25 1998 13,624,158.65 2,144,424.71 11,479.733.94 1999 67,822,467.10 20,481,599.19 47,340,867.91 Members' Representational Allow- ance: 1997 4,153,724.94 31,975.34 4,121,749.60 1998 630,221.36 340,748.20 289,473.16 1999 205,149,268.23 96,399,545.14 108,749,723.09 Committee on Appropriations: 1992 372.73 0.00 372.73 1997 199,644.17 4,440.18 195,203.99 1998/1999 332,379.80 27,526.48 304,853.32 1999/2001 11,145,618.98 4,539,512.16 6,606,10682 Committee on the Budget: 1992 1,337.28 0.00 1,337.28 Attending Physician: 1997 58,074.06 0.00 58,074.06 1998 72,722.66 12.27 72,710.39 1999 1,282.256.87 986,219.70 296,037.17 Special and Select Committees: 1997 2,568,066.67 626.02 2,567,440.65 1998/1999 1,915,230.57 46,225.68 1.869,004.89 1999/2001 45,507,850.94 21,631,443.84 23.876,407.10 (VII) VIII SUMMARY OF TRANSACTIONS BY APPROPRIATIONS— Continued Purpose Net disbursements House Child Care Center: 1992 11 05 19 3.688.16 Statement of Appropriations: 1997 15,000.00 1998 15,000.00 1999 15,000.00 Allowances and expenses: 1992 4.870.52 1997 290,266 17 1998 698,605 08 1999 74,058,054.48 Joint Committee on Taxation: 1997 7,960.57 1998 47,992.81 1999 3,253,250.75 Capitol Police Board: 1997 105,15295 1998 35,851.70 1999 19,800,699.66 General expenses — Capitol Police: 1997 236,481.33 1998 174,149.89 1999 5,093,393.19 Capitol Police Security 7,664,014.90 Capitol Police Security Enhance- ment Fund 102,621,000.00 House Stationery revolving fund (no year) 4,820,364.41 House Recording Studio revolving fund (no year) 2.823,640.03 House Restaurant revolving fund (no year) 845,799 93 House Beauty Shop revolving fund (no year) 16,928.82 House Barber Shop revolving fund (no year) 60,463,66 Page revolving fund (no year) 1,577,142 10 Suspense account (no year) (55,406.64) State withholding taxes— sus- pense account (no year) (331.09) Gifts to United States for reduc- tion of the public debt — Bureau of Government Financial Oper- ations 3,416.92 General fund receipts 43,912.38 Total $594,548,804.98 0,00 11.05 000 0.00 (4,004.05) 7,692.21 0.00 15,000.00 0.00 15,000.00 0.00 15,000.00 0.00 4,870.52 15,901.58 274.364.59 (1,886.73) 700,491.81 32,554,347.83 41,503,70665 (400.00) 8,360.57 147.00 47,845.81 1,534,121.74 1,719,129.01 0.00 - 105,152.95 (2,630.61) 38,482.31 11,198,623.60 8,602,076.06 0.00 236,481.33 22,377.44 151,772.45 1,361,297.61 3,732,095.58 1,268,231.98 6,395,78292 0.00 102,621,000.00 (146,855.91) 4,967,220.32 (221,918.77) 3,045,558.80 (91,031.66) 936,831.59 (4.331.71) 21,260.53 (3.245.72) 63,709.38 3,189.21 1,573,952.89 (15,662.49) (39,744.15) 0.00 (331.09) 0.00 0.00 3,416.92 43,912.38 0.00 0.00 $197,498,346.93 $47,32930 $397,003,128,75 IX SUMMARY OF GENERAL FUND RECEIPTS AND GIFTS TO UNITED STATES FOR REDUCTION OF THE PUBLIC DEBT Miscellaneous receipts $43,912.38 Gifts to United States for reduction of public debt by House Members (salary): Berry, Marion $775.02 Franks, Bob 867.15 Minge, David 250.00 Rivers, Lynn N 600.00 Strickland, Ted 924.75 3.416.92 Total general fund receipts $47,329.30 ID in (OMMKlrfll 2SSSSS2S22222222S ooooooooooooooooooooooooooooooooujujiflinir.i SISl PS gl : ; ; : - -ii ; IHUi .ujujtuujiiju Juj Iiju JUJUJUJUJUi UJUJli JUJUJUJUJUJUJIUUJUJUJIl J CO(0(/](/]KK * h-K uuu UUUUUUUUUUUUUUUUJNi HOC\l^'-4r Hi HCs Ji HFHCMr Or Of Oi HOf HOOC\i O OOOOOOOOOOOOOOOOOOi Hi HF^OO(H)H(Hp H(HOOOOOOOOOi HOOO .::::::::::::::::::::::::::::::::::::::: ij^ g ::::::::::::::::::::::::::::::::::::::: :" ¥•::::::::::::::::::::::::::::::::::::::l N CM Csl O CM Cs J CSJ CM Csi N So- ny 9-000000000000000000000000000 a^ooooooooooooooooooooooooooo o o o o o o O O O O i H i-l i Hi Hi Hi-tp^p^OO i^i^l oooooooooooooooooooooooooooooo iooooooooooooooooooooooooooooooooooooooooo l M^ 0- 0~ 0^ c 0~ a- 0- 0- 0- » 0~ »• 9- 0- N S s s s N N s N N s N f H O in CO o v T r-t 00 CO tfl trt M O m C\J CM S N v s S N N S s s •s ffl* -? i HKtf'i HCsl^Ulini AUIIAOVCOtt O ONv S S % M r^ n 1^ ■& O O N p4 O S S V. « in in in in e o o o o UJUJUJIl JIi JUJUJIUIii UJUUJUJUJIJJMM a a goooooooooooooooooo zxoooooooooooooooxz aainininininininininininininininaa. a ss 88 SNNNSNSNNS' ff*^ff^O^^^^^^^^^ff*»Hr HC0ff* N N S \ "^ S I CM N N oj eg 4l-4 Z OQM M MMMMMMMOQ M ZOHZMMM SSSSMU1M3W SSSMMw SMSSSSSSSSu WWMMMKMMUJMw Sul KSa COe K ^H^H^JO•Hrt■HO«^I^JMI0^^•HMr HWe\IOl H. NVSNNNNv VNNNNN' VNNN^v SSXNNN^v^ OOOOOOOOO' , N N V N S V N V \ N o o o o o o o oooooooooooooooooooooooooo o o o o o NVS^NVNVNN ooooooooooooooooooooooooo I Q a • -I ■ on • -I : z -I • M ;r IZZQ^i-ioeuj: ' uj ae u fi Z K u 8 2 8 I S 1 S SS888S88 oooooooooooooooo eeeooooeeooooooe ooeeeeeeeeeeeeoe HFHf Hi HFHi Hf Hi Hi HHf Hi Hf Hf Hf H oeooooooooooooo ! 106th Congress — 1st Session January 6-November 22, 1999 House Document No. 113 SUPERINTENDENT OF UUCUMENTS DEPOSITORY ENTSl STATEMENT OF DISBURSEMENTS OF HOUSE APRIL 1-JUNE 30, 1999 PART 1 OF 2 United States Congressional Serial Set Serial Number 14584 United States Government Printing Office Washington : 2001 T-' 106th Congress 1 „^,.„„ ^„ ^„^^„„„..„.^.,^„ f Document 1st Session ) HOUSE OF REPRESENTATIVES j No.

||

Reports required to be submitted to the House of Representatives under this statute shall be printed as House documents.

104a and the direction of the Committee on House Administration, I herewith submit a quarterly report of the Statement of Disbursements of the House of Representatives covering receipts and expenditures of ap- propriations and other funds for the period April 1, 1999 through June 30, 1999.

H■H^a Kll HI0rrt O^Jp^Jr^MJJrtrt^^pp(050^l^lp^rt N. 8^ I I e o I e o ooo OOOOOOOOOi eeeoooeeei oooooeeeoi Mr^r-CHi Hi Hi Hi Hi Hi OOOOOOOOOI i Hp HHHr-tp Hf Hf HHi CMOOr HHOOOOO I I I I I ttt » » »' a-H^FH^(MN9'IOMC0 5 :::::::::::::::::::::::::::::::::::::::: : ¥::::::::::::::::::::::::::::::::::::::::: (fl 1 ;; I !

235 General Counsel 225 Inspector General 235 Law Revision Counsel 239 Legislative Counsel 242 Minority employees 37 Parliamentarian 233 Republican Conference 32 Training and Program Development 38 Republican Steering Committee 36 Sergeant at Arms 227 Speaker's Office for Legislative Floor Activities 37 Stationery (revolving fund) 3197 Year 2000 Preparation 247 STATEMENT OF DISBURSEMENTS OF THE HOUSE FROM APRIL 1. 1999 STATEMENT OF ACCOUNTABILITY FOR APPROPRIATIONS AND OTHER FUNDS Unexpended balance, April 1, 1999 $487,920,475.68 Appropriations $106,581,000.00 Receipts to be deposited in general fund of the Treasury $47,329.30 106,628,329.30 Total funds available 594,548,804.98 Expenditures: Disbursements for salaries and expenses and canceled checks 197,498,346.93 Transfers: Deposited in general fund of the Treas- uiy 47,329.30 197,545,676.23 Unexpended balance, June 30, 1999 $397,003,128.75 SUMMARY OF TRANSACTIONS BY APPROPRIATIONS Purpose Funds available Net disbunemenls Transfers House Leadership Offices: 1997 $1,152,498.59 $0.00 $1,152,498.59 1998 1,057,967.81 552.18 1,057,415.63 1999 8,093,237.23 3,106,709.14 4,986,528.09 Salaries, officers and employees: 1997 5,505,332.61 290,516.36 5,214,816.25 1998 13,624,158.65 2,144,424.71 11,479.733.94 1999 67,822,467.10 20,481,599.19 47,340,867.91 Members' Representational Allow- ance: 1997 4,153,724.94 31,975.34 4,121,749.60 1998 630,221.36 340,748.20 289,473.16 1999 205,149,268.23 96,399,545.14 108,749,723.09 Committee on Appropriations: 1992 372.73 0.00 372.73 1997 199,644.17 4,440.18 195,203.99 1998/1999 332,379.80 27,526.48 304,853.32 1999/2001 11,145,618.98 4,539,512.16 6,606,10682 Committee on the Budget: 1992 1,337.28 0.00 1,337.28 Attending Physician: 1997 58,074.06 0.00 58,074.06 1998 72,722.66 12.27 72,710.39 1999 1,282.256.87 986,219.70 296,037.17 Special and Select Committees: 1997 2,568,066.67 626.02 2,567,440.65 1998/1999 1,915,230.57 46,225.68 1.869,004.89 1999/2001 45,507,850.94 21,631,443.84 23.876,407.10 (VII) VIII SUMMARY OF TRANSACTIONS BY APPROPRIATIONS— Continued Purpose Net disbursements House Child Care Center: 1992 11 05 19 3.688.16 Statement of Appropriations: 1997 15,000.00 1998 15,000.00 1999 15,000.00 Allowances and expenses: 1992 4.870.52 1997 290,266 17 1998 698,605 08 1999 74,058,054.48 Joint Committee on Taxation: 1997 7,960.57 1998 47,992.81 1999 3,253,250.75 Capitol Police Board: 1997 105,15295 1998 35,851.70 1999 19,800,699.66 General expenses — Capitol Police: 1997 236,481.33 1998 174,149.89 1999 5,093,393.19 Capitol Police Security 7,664,014.90 Capitol Police Security Enhance- ment Fund 102,621,000.00 House Stationery revolving fund (no year) 4,820,364.41 House Recording Studio revolving fund (no year) 2.823,640.03 House Restaurant revolving fund (no year) 845,799 93 House Beauty Shop revolving fund (no year) 16,928.82 House Barber Shop revolving fund (no year) 60,463,66 Page revolving fund (no year) 1,577,142 10 Suspense account (no year) (55,406.64) State withholding taxes— sus- pense account (no year) (331.09) Gifts to United States for reduc- tion of the public debt — Bureau of Government Financial Oper- ations 3,416.92 General fund receipts 43,912.38 Total $594,548,804.98 0,00 11.05 000 0.00 (4,004.05) 7,692.21 0.00 15,000.00 0.00 15,000.00 0.00 15,000.00 0.00 4,870.52 15,901.58 274.364.59 (1,886.73) 700,491.81 32,554,347.83 41,503,70665 (400.00) 8,360.57 147.00 47,845.81 1,534,121.74 1,719,129.01 0.00 - 105,152.95 (2,630.61) 38,482.31 11,198,623.60 8,602,076.06 0.00 236,481.33 22,377.44 151,772.45 1,361,297.61 3,732,095.58 1,268,231.98 6,395,78292 0.00 102,621,000.00 (146,855.91) 4,967,220.32 (221,918.77) 3,045,558.80 (91,031.66) 936,831.59 (4.331.71) 21,260.53 (3.245.72) 63,709.38 3,189.21 1,573,952.89 (15,662.49) (39,744.15) 0.00 (331.09) 0.00 0.00 3,416.92 43,912.38 0.00 0.00 $197,498,346.93 $47,32930 $397,003,128,75 IX SUMMARY OF GENERAL FUND RECEIPTS AND GIFTS TO UNITED STATES FOR REDUCTION OF THE PUBLIC DEBT Miscellaneous receipts $43,912.38 Gifts to United States for reduction of public debt by House Members (salary): Berry, Marion $775.02 Franks, Bob 867.15 Minge, David 250.00 Rivers, Lynn N 600.00 Strickland, Ted 924.75 3.416.92 Total general fund receipts $47,329.30 ID in (OMMKlrfll 2SSSSS2S22222222S ooooooooooooooooooooooooooooooooujujiflinir.i SISl PS gl : ; ; : - -ii ; IHUi .ujujtuujiiju Juj Iiju JUJUJUJUJUi UJUJli JUJUJUJUJUJUJIUUJUJUJIl J CO(0(/](/]KK * h-K uuu UUUUUUUUUUUUUUUUJNi HOC\l^'-4r Hi HCs Ji HFHCMr Or Of Oi HOf HOOC\i O OOOOOOOOOOOOOOOOOOi Hi HF^OO(H)H(Hp H(HOOOOOOOOOi HOOO .::::::::::::::::::::::::::::::::::::::: ij^ g ::::::::::::::::::::::::::::::::::::::: :" ¥•::::::::::::::::::::::::::::::::::::::l N CM Csl O CM Cs J CSJ CM Csi N So- ny 9-000000000000000000000000000 a^ooooooooooooooooooooooooooo o o o o o o O O O O i H i-l i Hi Hi Hi-tp^p^OO i^i^l oooooooooooooooooooooooooooooo iooooooooooooooooooooooooooooooooooooooooo l M^ 0- 0~ 0^ c 0~ a- 0- 0- 0- » 0~ »• 9- 0- N S s s s N N s N N s N f H O in CO o v T r-t 00 CO tfl trt M O m C\J CM S N v s S N N S s s •s ffl* -? i HKtf'i HCsl^Ulini AUIIAOVCOtt O ONv S S % M r^ n 1^ ■& O O N p4 O S S V. « in in in in e o o o o UJUJUJIl JIi JUJUJIUIii UJUUJUJUJIJJMM a a goooooooooooooooooo zxoooooooooooooooxz aainininininininininininininininaa. a ss 88 SNNNSNSNNS' ff*^ff^O^^^^^^^^^ff*»Hr HC0ff* N N S \ "^ S I CM N N oj eg 4l-4 Z OQM M MMMMMMMOQ M ZOHZMMM SSSSMU1M3W SSSMMw SMSSSSSSSSu WWMMMKMMUJMw Sul KSa COe K ^H^H^JO•Hrt■HO«^I^JMI0^^•HMr HWe\IOl H. 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106th Congress — 1st Session January 6-November 22, 1999 House Document No.

113 SUPERINTENDENT OF UUCUMENTS DEPOSITORY ENTSl STATEMENT OF DISBURSEMENTS OF HOUSE APRIL 1-JUNE 30, 1999 PART 1 OF 2 United States Congressional Serial Set Serial Number 14584 United States Government Printing Office Washington : 2001 T-' 106th Congress 1 „^,.„„ ^„ ^„^^„„„..„.^.,^„ f Document 1st Session ) HOUSE OF REPRESENTATIVES j No.

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Reports required to be submitted to the House of Representatives under this statute shall be printed as House documents. 104a and the direction of the Committee on House Administration, I herewith submit a quarterly report of the Statement of Disbursements of the House of Representatives covering receipts and expenditures of ap- propriations and other funds for the period April 1, 1999 through June 30, 1999. H■H^a Kll HI0rrt O^Jp^Jr^MJJrtrt^^pp(050^l^lp^rt N. 8^ I I e o I e o ooo OOOOOOOOOi eeeoooeeei oooooeeeoi Mr^r-CHi Hi Hi Hi Hi Hi OOOOOOOOOI i Hp HHHr-tp Hf Hf HHi CMOOr HHOOOOO I I I I I ttt » » »' a-H^FH^(MN9'IOMC0 5 :::::::::::::::::::::::::::::::::::::::: : ¥::::::::::::::::::::::::::::::::::::::::: (fl 1 ;; I ! 235 General Counsel 225 Inspector General 235 Law Revision Counsel 239 Legislative Counsel 242 Minority employees 37 Parliamentarian 233 Republican Conference 32 Training and Program Development 38 Republican Steering Committee 36 Sergeant at Arms 227 Speaker's Office for Legislative Floor Activities 37 Stationery (revolving fund) 3197 Year 2000 Preparation 247 STATEMENT OF DISBURSEMENTS OF THE HOUSE FROM APRIL 1. 1999 STATEMENT OF ACCOUNTABILITY FOR APPROPRIATIONS AND OTHER FUNDS Unexpended balance, April 1, 1999 $487,920,475.68 Appropriations $106,581,000.00 Receipts to be deposited in general fund of the Treasury $47,329.30 106,628,329.30 Total funds available 594,548,804.98 Expenditures: Disbursements for salaries and expenses and canceled checks 197,498,346.93 Transfers: Deposited in general fund of the Treas- uiy 47,329.30 197,545,676.23 Unexpended balance, June 30, 1999 $397,003,128.75 SUMMARY OF TRANSACTIONS BY APPROPRIATIONS Purpose Funds available Net disbunemenls Transfers House Leadership Offices: 1997 $1,152,498.59 $0.00 $1,152,498.59 1998 1,057,967.81 552.18 1,057,415.63 1999 8,093,237.23 3,106,709.14 4,986,528.09 Salaries, officers and employees: 1997 5,505,332.61 290,516.36 5,214,816.25 1998 13,624,158.65 2,144,424.71 11,479.733.94 1999 67,822,467.10 20,481,599.19 47,340,867.91 Members' Representational Allow- ance: 1997 4,153,724.94 31,975.34 4,121,749.60 1998 630,221.36 340,748.20 289,473.16 1999 205,149,268.23 96,399,545.14 108,749,723.09 Committee on Appropriations: 1992 372.73 0.00 372.73 1997 199,644.17 4,440.18 195,203.99 1998/1999 332,379.80 27,526.48 304,853.32 1999/2001 11,145,618.98 4,539,512.16 6,606,10682 Committee on the Budget: 1992 1,337.28 0.00 1,337.28 Attending Physician: 1997 58,074.06 0.00 58,074.06 1998 72,722.66 12.27 72,710.39 1999 1,282.256.87 986,219.70 296,037.17 Special and Select Committees: 1997 2,568,066.67 626.02 2,567,440.65 1998/1999 1,915,230.57 46,225.68 1.869,004.89 1999/2001 45,507,850.94 21,631,443.84 23.876,407.10 (VII) VIII SUMMARY OF TRANSACTIONS BY APPROPRIATIONS— Continued Purpose Net disbursements House Child Care Center: 1992 11 05 19 3.688.16 Statement of Appropriations: 1997 15,000.00 1998 15,000.00 1999 15,000.00 Allowances and expenses: 1992 4.870.52 1997 290,266 17 1998 698,605 08 1999 74,058,054.48 Joint Committee on Taxation: 1997 7,960.57 1998 47,992.81 1999 3,253,250.75 Capitol Police Board: 1997 105,15295 1998 35,851.70 1999 19,800,699.66 General expenses — Capitol Police: 1997 236,481.33 1998 174,149.89 1999 5,093,393.19 Capitol Police Security 7,664,014.90 Capitol Police Security Enhance- ment Fund 102,621,000.00 House Stationery revolving fund (no year) 4,820,364.41 House Recording Studio revolving fund (no year) 2.823,640.03 House Restaurant revolving fund (no year) 845,799 93 House Beauty Shop revolving fund (no year) 16,928.82 House Barber Shop revolving fund (no year) 60,463,66 Page revolving fund (no year) 1,577,142 10 Suspense account (no year) (55,406.64) State withholding taxes— sus- pense account (no year) (331.09) Gifts to United States for reduc- tion of the public debt — Bureau of Government Financial Oper- ations 3,416.92 General fund receipts 43,912.38 Total $594,548,804.98 0,00 11.05 000 0.00 (4,004.05) 7,692.21 0.00 15,000.00 0.00 15,000.00 0.00 15,000.00 0.00 4,870.52 15,901.58 274.364.59 (1,886.73) 700,491.81 32,554,347.83 41,503,70665 (400.00) 8,360.57 147.00 47,845.81 1,534,121.74 1,719,129.01 0.00 - 105,152.95 (2,630.61) 38,482.31 11,198,623.60 8,602,076.06 0.00 236,481.33 22,377.44 151,772.45 1,361,297.61 3,732,095.58 1,268,231.98 6,395,78292 0.00 102,621,000.00 (146,855.91) 4,967,220.32 (221,918.77) 3,045,558.80 (91,031.66) 936,831.59 (4.331.71) 21,260.53 (3.245.72) 63,709.38 3,189.21 1,573,952.89 (15,662.49) (39,744.15) 0.00 (331.09) 0.00 0.00 3,416.92 43,912.38 0.00 0.00 $197,498,346.93 $47,32930 $397,003,128,75 IX SUMMARY OF GENERAL FUND RECEIPTS AND GIFTS TO UNITED STATES FOR REDUCTION OF THE PUBLIC DEBT Miscellaneous receipts $43,912.38 Gifts to United States for reduction of public debt by House Members (salary): Berry, Marion $775.02 Franks, Bob 867.15 Minge, David 250.00 Rivers, Lynn N 600.00 Strickland, Ted 924.75 3.416.92 Total general fund receipts $47,329.30 ID in (OMMKlrfll 2SSSSS2S22222222S ooooooooooooooooooooooooooooooooujujiflinir.i SISl PS gl : ; ; : - -ii ; IHUi .ujujtuujiiju Juj Iiju JUJUJUJUJUi UJUJli JUJUJUJUJUJUJIUUJUJUJIl J CO(0(/](/]KK * h-K uuu UUUUUUUUUUUUUUUUJNi HOC\l^'-4r Hi HCs Ji HFHCMr Or Of Oi HOf HOOC\i O OOOOOOOOOOOOOOOOOOi Hi HF^OO(H)H(Hp H(HOOOOOOOOOi HOOO .::::::::::::::::::::::::::::::::::::::: ij^ g ::::::::::::::::::::::::::::::::::::::: :" ¥•::::::::::::::::::::::::::::::::::::::l N CM Csl O CM Cs J CSJ CM Csi N So- ny 9-000000000000000000000000000 a^ooooooooooooooooooooooooooo o o o o o o O O O O i H i-l i Hi Hi Hi-tp^p^OO i^i^l oooooooooooooooooooooooooooooo iooooooooooooooooooooooooooooooooooooooooo l M^ 0- 0~ 0^ c 0~ a- 0- 0- 0- » 0~ »• 9- 0- N S s s s N N s N N s N f H O in CO o v T r-t 00 CO tfl trt M O m C\J CM S N v s S N N S s s •s ffl* -? i HKtf'i HCsl^Ulini AUIIAOVCOtt O ONv S S % M r^ n 1^ ■& O O N p4 O S S V. « in in in in e o o o o UJUJUJIl JIi JUJUJIUIii UJUUJUJUJIJJMM a a goooooooooooooooooo zxoooooooooooooooxz aainininininininininininininininaa. a ss 88 SNNNSNSNNS' ff*^ff^O^^^^^^^^^ff*»Hr HC0ff* N N S \ "^ S I CM N N oj eg 4l-4 Z OQM M MMMMMMMOQ M ZOHZMMM SSSSMU1M3W SSSMMw SMSSSSSSSSu WWMMMKMMUJMw Sul KSa COe K ^H^H^JO•Hrt■HO«^I^JMI0^^•HMr HWe\IOl H. NVSNNNNv VNNNNN' VNNN^v SSXNNN^v^ OOOOOOOOO' , N N V N S V N V \ N o o o o o o o oooooooooooooooooooooooooo o o o o o NVS^NVNVNN ooooooooooooooooooooooooo I Q a • -I ■ on • -I : z -I • M ;r IZZQ^i-ioeuj: ' uj ae u fi Z K u 8 2 8 I S 1 S SS888S88 oooooooooooooooo eeeooooeeooooooe ooeeeeeeeeeeeeoe HFHf Hi HFHi Hf Hi Hi HHf Hi Hf Hf Hf H oeooooooooooooo ! 106th Congress — 1st Session January 6-November 22, 1999 House Document No. 113 SUPERINTENDENT OF UUCUMENTS DEPOSITORY ENTSl STATEMENT OF DISBURSEMENTS OF HOUSE APRIL 1-JUNE 30, 1999 PART 1 OF 2 United States Congressional Serial Set Serial Number 14584 United States Government Printing Office Washington : 2001 T-' 106th Congress 1 „^,.„„ ^„ ^„^^„„„..„.^.,^„ f Document 1st Session ) HOUSE OF REPRESENTATIVES j No.

||

Reports required to be submitted to the House of Representatives under this statute shall be printed as House documents.

104a and the direction of the Committee on House Administration, I herewith submit a quarterly report of the Statement of Disbursements of the House of Representatives covering receipts and expenditures of ap- propriations and other funds for the period April 1, 1999 through June 30, 1999.

H■H^a Kll HI0rrt O^Jp^Jr^MJJrtrt^^pp(050^l^lp^rt N. 8^ I I e o I e o ooo OOOOOOOOOi eeeoooeeei oooooeeeoi Mr^r-CHi Hi Hi Hi Hi Hi OOOOOOOOOI i Hp HHHr-tp Hf Hf HHi CMOOr HHOOOOO I I I I I ttt » » »' a-H^FH^(MN9'IOMC0 5 :::::::::::::::::::::::::::::::::::::::: : ¥::::::::::::::::::::::::::::::::::::::::: (fl 1 ;; I !

235 General Counsel 225 Inspector General 235 Law Revision Counsel 239 Legislative Counsel 242 Minority employees 37 Parliamentarian 233 Republican Conference 32 Training and Program Development 38 Republican Steering Committee 36 Sergeant at Arms 227 Speaker's Office for Legislative Floor Activities 37 Stationery (revolving fund) 3197 Year 2000 Preparation 247 STATEMENT OF DISBURSEMENTS OF THE HOUSE FROM APRIL 1. 1999 STATEMENT OF ACCOUNTABILITY FOR APPROPRIATIONS AND OTHER FUNDS Unexpended balance, April 1, 1999 $487,920,475.68 Appropriations $106,581,000.00 Receipts to be deposited in general fund of the Treasury $47,329.30 106,628,329.30 Total funds available 594,548,804.98 Expenditures: Disbursements for salaries and expenses and canceled checks 197,498,346.93 Transfers: Deposited in general fund of the Treas- uiy 47,329.30 197,545,676.23 Unexpended balance, June 30, 1999 $397,003,128.75 SUMMARY OF TRANSACTIONS BY APPROPRIATIONS Purpose Funds available Net disbunemenls Transfers House Leadership Offices: 1997 $1,152,498.59 $0.00 $1,152,498.59 1998 1,057,967.81 552.18 1,057,415.63 1999 8,093,237.23 3,106,709.14 4,986,528.09 Salaries, officers and employees: 1997 5,505,332.61 290,516.36 5,214,816.25 1998 13,624,158.65 2,144,424.71 11,479.733.94 1999 67,822,467.10 20,481,599.19 47,340,867.91 Members' Representational Allow- ance: 1997 4,153,724.94 31,975.34 4,121,749.60 1998 630,221.36 340,748.20 289,473.16 1999 205,149,268.23 96,399,545.14 108,749,723.09 Committee on Appropriations: 1992 372.73 0.00 372.73 1997 199,644.17 4,440.18 195,203.99 1998/1999 332,379.80 27,526.48 304,853.32 1999/2001 11,145,618.98 4,539,512.16 6,606,10682 Committee on the Budget: 1992 1,337.28 0.00 1,337.28 Attending Physician: 1997 58,074.06 0.00 58,074.06 1998 72,722.66 12.27 72,710.39 1999 1,282.256.87 986,219.70 296,037.17 Special and Select Committees: 1997 2,568,066.67 626.02 2,567,440.65 1998/1999 1,915,230.57 46,225.68 1.869,004.89 1999/2001 45,507,850.94 21,631,443.84 23.876,407.10 (VII) VIII SUMMARY OF TRANSACTIONS BY APPROPRIATIONS— Continued Purpose Net disbursements House Child Care Center: 1992 11 05 19 3.688.16 Statement of Appropriations: 1997 15,000.00 1998 15,000.00 1999 15,000.00 Allowances and expenses: 1992 4.870.52 1997 290,266 17 1998 698,605 08 1999 74,058,054.48 Joint Committee on Taxation: 1997 7,960.57 1998 47,992.81 1999 3,253,250.75 Capitol Police Board: 1997 105,15295 1998 35,851.70 1999 19,800,699.66 General expenses — Capitol Police: 1997 236,481.33 1998 174,149.89 1999 5,093,393.19 Capitol Police Security 7,664,014.90 Capitol Police Security Enhance- ment Fund 102,621,000.00 House Stationery revolving fund (no year) 4,820,364.41 House Recording Studio revolving fund (no year) 2.823,640.03 House Restaurant revolving fund (no year) 845,799 93 House Beauty Shop revolving fund (no year) 16,928.82 House Barber Shop revolving fund (no year) 60,463,66 Page revolving fund (no year) 1,577,142 10 Suspense account (no year) (55,406.64) State withholding taxes— sus- pense account (no year) (331.09) Gifts to United States for reduc- tion of the public debt — Bureau of Government Financial Oper- ations 3,416.92 General fund receipts 43,912.38 Total $594,548,804.98 0,00 11.05 000 0.00 (4,004.05) 7,692.21 0.00 15,000.00 0.00 15,000.00 0.00 15,000.00 0.00 4,870.52 15,901.58 274.364.59 (1,886.73) 700,491.81 32,554,347.83 41,503,70665 (400.00) 8,360.57 147.00 47,845.81 1,534,121.74 1,719,129.01 0.00 - 105,152.95 (2,630.61) 38,482.31 11,198,623.60 8,602,076.06 0.00 236,481.33 22,377.44 151,772.45 1,361,297.61 3,732,095.58 1,268,231.98 6,395,78292 0.00 102,621,000.00 (146,855.91) 4,967,220.32 (221,918.77) 3,045,558.80 (91,031.66) 936,831.59 (4.331.71) 21,260.53 (3.245.72) 63,709.38 3,189.21 1,573,952.89 (15,662.49) (39,744.15) 0.00 (331.09) 0.00 0.00 3,416.92 43,912.38 0.00 0.00 $197,498,346.93 $47,32930 $397,003,128,75 IX SUMMARY OF GENERAL FUND RECEIPTS AND GIFTS TO UNITED STATES FOR REDUCTION OF THE PUBLIC DEBT Miscellaneous receipts $43,912.38 Gifts to United States for reduction of public debt by House Members (salary): Berry, Marion $775.02 Franks, Bob 867.15 Minge, David 250.00 Rivers, Lynn N 600.00 Strickland, Ted 924.75 3.416.92 Total general fund receipts $47,329.30 ID in (OMMKlrfll 2SSSSS2S22222222S ooooooooooooooooooooooooooooooooujujiflinir.i SISl PS gl : ; 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106th Congress — 1st Session January 6-November 22, 1999 House Document No.

113 SUPERINTENDENT OF UUCUMENTS DEPOSITORY ENTSl STATEMENT OF DISBURSEMENTS OF HOUSE APRIL 1-JUNE 30, 1999 PART 1 OF 2 United States Congressional Serial Set Serial Number 14584 United States Government Printing Office Washington : 2001 T-' 106th Congress 1 „^,.„„ ^„ ^„^^„„„..„.^.,^„ f Document 1st Session ) HOUSE OF REPRESENTATIVES j No.

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,152,498.59 1998 1,057,967.81 552.18 1,057,415.63 1999 8,093,237.23 3,106,709.14 4,986,528.09 Salaries, officers and employees: 1997 5,505,332.61 290,516.36 5,214,816.25 1998 13,624,158.65 2,144,424.71 11,479.733.94 1999 67,822,467.10 20,481,599.19 47,340,867.91 Members' Representational Allow- ance: 1997 4,153,724.94 31,975.34 4,121,749.60 1998 630,221.36 340,748.20 289,473.16 1999 205,149,268.23 96,399,545.14 108,749,723.09 Committee on Appropriations: 1992 372.73 0.00 372.73 1997 199,644.17 4,440.18 195,203.99 1998/1999 332,379.80 27,526.48 304,853.32 1999/2001 11,145,618.98 4,539,512.16 6,606,10682 Committee on the Budget: 1992 1,337.28 0.00 1,337.28 Attending Physician: 1997 58,074.06 0.00 58,074.06 1998 72,722.66 12.27 72,710.39 1999 1,282.256.87 986,219.70 296,037.17 Special and Select Committees: 1997 2,568,066.67 626.02 2,567,440.65 1998/1999 1,915,230.57 46,225.68 1.869,004.89 1999/2001 45,507,850.94 21,631,443.84 23.876,407.10 (VII) VIII SUMMARY OF TRANSACTIONS BY APPROPRIATIONS— Continued Purpose Net disbursements House Child Care Center: 1992 11 05 19 3.688.16 Statement of Appropriations: 1997 15,000.00 1998 15,000.00 1999 15,000.00 Allowances and expenses: 1992 4.870.52 1997 290,266 17 1998 698,605 08 1999 74,058,054.48 Joint Committee on Taxation: 1997 7,960.57 1998 47,992.81 1999 3,253,250.75 Capitol Police Board: 1997 105,15295 1998 35,851.70 1999 19,800,699.66 General expenses — Capitol Police: 1997 236,481.33 1998 174,149.89 1999 5,093,393.19 Capitol Police Security 7,664,014.90 Capitol Police Security Enhance- ment Fund 102,621,000.00 House Stationery revolving fund (no year) 4,820,364.41 House Recording Studio revolving fund (no year) 2.823,640.03 House Restaurant revolving fund (no year) 845,799 93 House Beauty Shop revolving fund (no year) 16,928.82 House Barber Shop revolving fund (no year) 60,463,66 Page revolving fund (no year) 1,577,142 10 Suspense account (no year) (55,406.64) State withholding taxes— sus- pense account (no year) (331.09) Gifts to United States for reduc- tion of the public debt — Bureau of Government Financial Oper- ations 3,416.92 General fund receipts 43,912.38 Total 4,548,804.98 0,00 11.05 000 0.00 (4,004.05) 7,692.21 0.00 15,000.00 0.00 15,000.00 0.00 15,000.00 0.00 4,870.52 15,901.58 274.364.59 (1,886.73) 700,491.81 32,554,347.83 41,503,70665 (400.00) 8,360.57 147.00 47,845.81 1,534,121.74 1,719,129.01 0.00 - 105,152.95 (2,630.61) 38,482.31 11,198,623.60 8,602,076.06 0.00 236,481.33 22,377.44 151,772.45 1,361,297.61 3,732,095.58 1,268,231.98 6,395,78292 0.00 102,621,000.00 (146,855.91) 4,967,220.32 (221,918.77) 3,045,558.80 (91,031.66) 936,831.59 (4.331.71) 21,260.53 (3.245.72) 63,709.38 3,189.21 1,573,952.89 (15,662.49) (39,744.15) 0.00 (331.09) 0.00 0.00 3,416.92 43,912.38 0.00 0.00 7,498,346.93 ,32930 7,003,128,75 IX SUMMARY OF GENERAL FUND RECEIPTS AND GIFTS TO UNITED STATES FOR REDUCTION OF THE PUBLIC DEBT Miscellaneous receipts ,912.38 Gifts to United States for reduction of public debt by House Members (salary): Berry, Marion 5.02 Franks, Bob 867.15 Minge, David 250.00 Rivers, Lynn N 600.00 Strickland, Ted 924.75 3.416.92 Total general fund receipts ,329.30 ID in (OMMKlrfll 2SSSSS2S22222222S ooooooooooooooooooooooooooooooooujujiflinir.i SISl PS gl : ; ; : - -ii ; IHUi .ujujtuujiiju Juj Iiju JUJUJUJUJUi UJUJli JUJUJUJUJUJUJIUUJUJUJIl J CO(0(/](/]KK * h-K uuu UUUUUUUUUUUUUUUUJNi HOC\l^'-4r Hi HCs Ji HFHCMr Or Of Oi HOf HOOC\i O OOOOOOOOOOOOOOOOOOi Hi HF^OO(H)H(Hp H(HOOOOOOOOOi HOOO .::::::::::::::::::::::::::::::::::::::: ij^ g ::::::::::::::::::::::::::::::::::::::: :" ¥•::::::::::::::::::::::::::::::::::::::l N CM Csl O CM Cs J CSJ CM Csi N So- ny 9-000000000000000000000000000 a^ooooooooooooooooooooooooooo o o o o o o O O O O i H i-l i Hi Hi Hi-tp^p^OO i^i^l oooooooooooooooooooooooooooooo iooooooooooooooooooooooooooooooooooooooooo l M^ 0- 0~ 0^ c 0~ a- 0- 0- 0- » 0~ »• 9- 0- N S s s s N N s N N s N f H O in CO o v T r-t 00 CO tfl trt M O m C\J CM S N v s S N N S s s •s ffl* -? i HKtf'i HCsl^Ulini AUIIAOVCOtt O ONv S S % M r^ n 1^ ■& O O N p4 O S S V. « in in in in e o o o o UJUJUJIl JIi JUJUJIUIii UJUUJUJUJIJJMM a a goooooooooooooooooo zxoooooooooooooooxz aainininininininininininininininaa. a ss 88 SNNNSNSNNS' ff*^ff^O^^^^^^^^^ff*»Hr HC0ff* N N S \ "^ S I CM N N oj eg 4l-4 Z OQM M MMMMMMMOQ M ZOHZMMM SSSSMU1M3W SSSMMw SMSSSSSSSSu WWMMMKMMUJMw Sul KSa COe K ^H^H^JO•Hrt■HO«^I^JMI0^^•HMr HWe\IOl H. NVSNNNNv VNNNNN' VNNN^v SSXNNN^v^ OOOOOOOOO' , N N V N S V N V \ N o o o o o o o oooooooooooooooooooooooooo o o o o o NVS^NVNVNN ooooooooooooooooooooooooo I Q a • -I ■ on • -I : z -I • M ;r IZZQ^i-ioeuj: ' uj ae u fi Z K u 8 2 8 I S 1 S SS888S88 oooooooooooooooo eeeooooeeooooooe ooeeeeeeeeeeeeoe HFHf Hi HFHi Hf Hi Hi HHf Hi Hf Hf Hf H oeooooooooooooo ! 106th Congress — 1st Session January 6-November 22, 1999 House Document No. 113 SUPERINTENDENT OF UUCUMENTS DEPOSITORY ENTSl STATEMENT OF DISBURSEMENTS OF HOUSE APRIL 1-JUNE 30, 1999 PART 1 OF 2 United States Congressional Serial Set Serial Number 14584 United States Government Printing Office Washington : 2001 T-' 106th Congress 1 „^,.„„ ^„ ^„^^„„„..„.^.,^„ f Document 1st Session ) HOUSE OF REPRESENTATIVES j No.

.00 ,152,498.59 1998 1,057,967.81 552.18 1,057,415.63 1999 8,093,237.23 3,106,709.14 4,986,528.09 Salaries, officers and employees: 1997 5,505,332.61 290,516.36 5,214,816.25 1998 13,624,158.65 2,144,424.71 11,479.733.94 1999 67,822,467.10 20,481,599.19 47,340,867.91 Members' Representational Allow- ance: 1997 4,153,724.94 31,975.34 4,121,749.60 1998 630,221.36 340,748.20 289,473.16 1999 205,149,268.23 96,399,545.14 108,749,723.09 Committee on Appropriations: 1992 372.73 0.00 372.73 1997 199,644.17 4,440.18 195,203.99 1998/1999 332,379.80 27,526.48 304,853.32 1999/2001 11,145,618.98 4,539,512.16 6,606,10682 Committee on the Budget: 1992 1,337.28 0.00 1,337.28 Attending Physician: 1997 58,074.06 0.00 58,074.06 1998 72,722.66 12.27 72,710.39 1999 1,282.256.87 986,219.70 296,037.17 Special and Select Committees: 1997 2,568,066.67 626.02 2,567,440.65 1998/1999 1,915,230.57 46,225.68 1.869,004.89 1999/2001 45,507,850.94 21,631,443.84 23.876,407.10 (VII) VIII SUMMARY OF TRANSACTIONS BY APPROPRIATIONS— Continued Purpose Net disbursements House Child Care Center: 1992 11 05 19 3.688.16 Statement of Appropriations: 1997 15,000.00 1998 15,000.00 1999 15,000.00 Allowances and expenses: 1992 4.870.52 1997 290,266 17 1998 698,605 08 1999 74,058,054.48 Joint Committee on Taxation: 1997 7,960.57 1998 47,992.81 1999 3,253,250.75 Capitol Police Board: 1997 105,15295 1998 35,851.70 1999 19,800,699.66 General expenses — Capitol Police: 1997 236,481.33 1998 174,149.89 1999 5,093,393.19 Capitol Police Security 7,664,014.90 Capitol Police Security Enhance- ment Fund 102,621,000.00 House Stationery revolving fund (no year) 4,820,364.41 House Recording Studio revolving fund (no year) 2.823,640.03 House Restaurant revolving fund (no year) 845,799 93 House Beauty Shop revolving fund (no year) 16,928.82 House Barber Shop revolving fund (no year) 60,463,66 Page revolving fund (no year) 1,577,142 10 Suspense account (no year) (55,406.64) State withholding taxes— sus- pense account (no year) (331.09) Gifts to United States for reduc- tion of the public debt — Bureau of Government Financial Oper- ations 3,416.92 General fund receipts 43,912.38 Total 4,548,804.98 0,00 11.05 000 0.00 (4,004.05) 7,692.21 0.00 15,000.00 0.00 15,000.00 0.00 15,000.00 0.00 4,870.52 15,901.58 274.364.59 (1,886.73) 700,491.81 32,554,347.83 41,503,70665 (400.00) 8,360.57 147.00 47,845.81 1,534,121.74 1,719,129.01 0.00 - 105,152.95 (2,630.61) 38,482.31 11,198,623.60 8,602,076.06 0.00 236,481.33 22,377.44 151,772.45 1,361,297.61 3,732,095.58 1,268,231.98 6,395,78292 0.00 102,621,000.00 (146,855.91) 4,967,220.32 (221,918.77) 3,045,558.80 (91,031.66) 936,831.59 (4.331.71) 21,260.53 (3.245.72) 63,709.38 3,189.21 1,573,952.89 (15,662.49) (39,744.15) 0.00 (331.09) 0.00 0.00 3,416.92 43,912.38 0.00 0.00 7,498,346.93 ,32930 7,003,128,75 IX SUMMARY OF GENERAL FUND RECEIPTS AND GIFTS TO UNITED STATES FOR REDUCTION OF THE PUBLIC DEBT Miscellaneous receipts ,912.38 Gifts to United States for reduction of public debt by House Members (salary): Berry, Marion 5.02 Franks, Bob 867.15 Minge, David 250.00 Rivers, Lynn N 600.00 Strickland, Ted 924.75 3.416.92 Total general fund receipts ,329.30 ID in (OMMKlrfll 2SSSSS2S22222222S ooooooooooooooooooooooooooooooooujujiflinir.i SISl PS gl : ; ; : - -ii ; IHUi .ujujtuujiiju Juj Iiju JUJUJUJUJUi UJUJli JUJUJUJUJUJUJIUUJUJUJIl J CO(0(/](/]KK * h-K uuu UUUUUUUUUUUUUUUUJNi HOC\l^'-4r Hi HCs Ji HFHCMr Or Of Oi HOf HOOC\i O OOOOOOOOOOOOOOOOOOi Hi HF^OO(H)H(Hp H(HOOOOOOOOOi HOOO .::::::::::::::::::::::::::::::::::::::: ij^ g ::::::::::::::::::::::::::::::::::::::: :" ¥•::::::::::::::::::::::::::::::::::::::l N CM Csl O CM Cs J CSJ CM Csi N So- ny 9-000000000000000000000000000 a^ooooooooooooooooooooooooooo o o o o o o O O O O i H i-l i Hi Hi Hi-tp^p^OO i^i^l oooooooooooooooooooooooooooooo iooooooooooooooooooooooooooooooooooooooooo l M^ 0- 0~ 0^ c 0~ a- 0- 0- 0- » 0~ »• 9- 0- N S s s s N N s N N s N f H O in CO o v T r-t 00 CO tfl trt M O m C\J CM S N v s S N N S s s •s ffl* -? i HKtf'i HCsl^Ulini AUIIAOVCOtt O ONv S S % M r^ n 1^ ■& O O N p4 O S S V. « in in in in e o o o o UJUJUJIl JIi JUJUJIUIii UJUUJUJUJIJJMM a a goooooooooooooooooo zxoooooooooooooooxz aainininininininininininininininaa. a ss 88 SNNNSNSNNS' ff*^ff^O^^^^^^^^^ff*»Hr HC0ff* N N S \ "^ S I CM N N oj eg 4l-4 Z OQM M MMMMMMMOQ M ZOHZMMM SSSSMU1M3W SSSMMw SMSSSSSSSSu WWMMMKMMUJMw Sul KSa COe K ^H^H^JO•Hrt■HO«^I^JMI0^^•HMr HWe\IOl H. NVSNNNNv VNNNNN' VNNN^v SSXNNN^v^ OOOOOOOOO' , N N V N S V N V \ N o o o o o o o oooooooooooooooooooooooooo o o o o o NVS^NVNVNN ooooooooooooooooooooooooo I Q a • -I ■ on • -I : z -I • M ;r IZZQ^i-ioeuj: ' uj ae u fi Z K u 8 2 8 I S 1 S SS888S88 oooooooooooooooo eeeooooeeooooooe ooeeeeeeeeeeeeoe HFHf Hi HFHi Hf Hi Hi HHf Hi Hf Hf Hf H oeooooooooooooo !

106th Congress — 1st Session January 6-November 22, 1999 House Document No.

113 SUPERINTENDENT OF UUCUMENTS DEPOSITORY ENTSl STATEMENT OF DISBURSEMENTS OF HOUSE APRIL 1-JUNE 30, 1999 PART 1 OF 2 United States Congressional Serial Set Serial Number 14584 United States Government Printing Office Washington : 2001 T-' 106th Congress 1 „^,.„„ ^„ ^„^^„„„..„.^.,^„ f Document 1st Session ) HOUSE OF REPRESENTATIVES j No.

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CL MMCf CSMMCf UVUUMM mm OOmm OOOOOMM KKXxai Kxxxxxaa! NSSSNSSNN oooooooooooooooooooooooooooooooo N eg I I I I I I I I -.-,-,.,-.-,.,-.-,-.-, — -.-. Ill S a o o 6 i Miflrv^Kr^r^Ki M'^uimifloooi ZOOOOOOOOi UJOOOOOOOOi ZOOOOOOOOl &Mi Hp Hf-l FHWFHi Hi CMOiojcsi Mcsjcsjcjcjc Mcaegcg I I I I I I I I I I I I I I OOOOOOOOOOOOOO a.a.a.a.II u R u o o o S. K V) o V) KI-KI-t-l-Kl- K M IH M M M k-l-Hh-h-l-Hk-H(-t-Kt-(-H MIHMMMHM 1- 1- 1- 1- M O O O O O ' OOO'Hp Hi Hr-t OCMp HCMOOt HCMOOCMOOl IOCMi HOOOOCMOOCMr Hf-4i NNNNNNNNNNNNNNNNNNNNNNNNNNNNNNNNNNNNNNNNNNNNN e MCMCMCMCMp Hr-(CMCMCSim CMf HF4CMe Mf-li-(CMCMi Hp He MCMi H(MCMi HCMi-(K\CMr HCJCMCMCMCM^i-(i-l F^CMK)»0 OOOOOOOOOOOOOOOOOOOOOOOOOOOOOOOi-IOOOOOOOOOOOOO OOOg OQg^^'^^^^^^'^^'^^'^^^"^^^^^^'^^^^NSVVV\VNNS\ I CJ C«l r H i H m N N I INm CMKICMIOi HNCJIOi HKINHl CJIOCVim NNNCMNCjrd oooeeoooooooooooooooooooooooooooooooi Hoooo ! i »| w g 8 3 S S o w M -J 9 3 z ^10^ ^Z n V- o I 9. OC^^O't OOOOirtp H OLfll Oi A&Al OIAK1N^Nt OOOOOOOOOO 9'9^Q^0^9'9'9^9'9'9-9'9'9'9^9^9'9'9'9'0^0^9^0^0^9^9'9'0^Q^9'9-9^ l OJCSJOr HCNj Mfg OO"'"" N. (n I I o a o 888 888 a Q a uj tu 8 8 8 ^4■4■^^C^IC^J OOOOOOOOOO NNNNVNNN csjcsj^^'^^'^'^cgcg OOOOOOOOOO a. -1 1- 1- 1- 1- 1- ee KKKae Kae Kaicxa EQsaixi XKai/ii/i MMt/ic^c/) a: a 0! Enclosure (III) CONTENTS Allowances and expenses: Government contributions 3268 Miscellaneous items 3262 Official expenses of Members..; 3007 Supplies, materials, administrative costs and Federal tort claims 3247 Capitol Police 3147 Child Care Center 3235 Committee employees and special and select committees: Committee on: Agricultiu-e 3030 Appropriations 3009 Armed Services 3036 Banking and Financial Services 3040 Budget 3025 Commerce 3055 Education and the Workforce 3047 Reserve Fund — Oversight/Investigations 3054 Reserve Fund — Teamsters Investigation 3055 Government Reform 3063 Reserve Fund — Census 3075 Reserve Fund — Campaign Finance 3075 House Administration 3076 International Relations 3090 Judiciary 3093 Reserve Fund — Department of Justice Investigation 3104 1999 Managers — Impeachment of President Clinton 3105 Resources 3081 Rules 3113 Science 3116 Small Business 3121 Standards of Official Conduct 3126 Transportation and Infrastructure 3106 Veterans' Affairs 3129 Ways and Means 3133 Select Committee on: Intelligence, Permanent 3139 U. National Security and Military/Commercial Concerns with the People's Repub Uc of China 3144 Committee mail 3271 House Leadership Offices, salaries and expenses: The Speaker 1 Majority Floor Leader 6 Minority Floor Leader 10 Majority Whip 16 Chief Deputy Majority Whip 19 Minority Whip 22 Chief Deputy Minority Whip 25 House Recording Studio (revolving fund) 3228 Index of House officers and employees 3299 Joint Committee on Taxation 3237 Member of Congress Mass Mail Information 3274 Members' Representational Allowance 250, 3283 Office of the Attending Physician 3229 Official mail 3260 Page (revolving fund) 3243 Restaxu-ant (revolving fund) 3227 (V) VI Page Salaries, officers and employees: Attending Physician (Technical Assistants) 235 Chaplain 232 Chief Administrative Officer 39 Clerk 194 Compilation of Precedents 234 Corrections Calendar Office 245 Democratic Caucus 28 Democratic Steering Committee 26 Training and Program Development 38 Former Speaker's staff. in in in tt\ in : :ig OOOOOOOOOOOOO Oi HOOOWOi-IOOOi Ht M c Mro««^n4'ln^tln'^lnlnln OOOOOOOOOOOOO ■ -uu • -uuuuu • • • -MM • -MMWIHM • • XX X X X X X Q. w •••;;;•;;;;; lu 55 ; ; ; ;s : ; ; ; ; ; i ; i ; • • • • ^ • ^ • • 5 i : : :i S88I I a a o a CO I 18888^! N r Ol H^J•^*«0-*^n^.l-l rooioin^^' N N S S N S l OCOWl , .l-V)Ml-l-Ml-UJb. i-iujav Sg22 S2S S2iil l AMOOIft Csl O'i HMCDOf HO OOmr HNMOpl^^lfl^'A OOOOOOOOOOOOO ^OOOOOOOOOOOOO OOOOOOOOOOOOOOO OOOOOOOOOOOOO f Hi Hf-tp Hi Hf Hi-lf Hi Hi Hf Hi-4i-li-(i-4H a.B.aaaao.a. NNSN\^^SNNVV\SNSNNS l Jiti***.»W*e5M**M*lfl M**lfl**lfl H»Hf Hrtf Hf Hi H. p4 « « I q in in Ki M ifl in • • f H r^ i H f O f H to fn o r Ar OK^K»fnr AMr OKii I Ki ro m ro m M SSNNNNNNNSNNN-SNNNNNNNNNNNNNNNNNN oooooooooooooooooooooooooooooooooooooooooo OOOOOOOOOOOOOOOOOOOOOOOOOOOOOOOOOOOOONOOOO oooooooooooooooooooooooooooooooooooooooooo I 8 -I w H o ooooooooo . -J Ifl U1 lil 'C'A -A -A - _ _ _ - -r- ^ _i ^ ^ eooooooooooooooooooooooeoooooooo a Hlp HF4Cs JKt I I t I I I I I ^OOOOOOOO 18 ; : ; . s s * m * o o o oooooooo^^lno^•oo'otn•H ooooooooroinoinoo'ONe ooooooooioin OFHOo^otpo ooooolnlnoc Olnln Kto9-ln^ro ooooof^rs.ooo^inoino'csi N. eeeeoeoooooooooeoooooooooooooeoooooooooooeoo *'»**a^o^**a^*»**'i 36 i-l O-OO-f OOOi I O Csl i H I y C f H f4 r-t M MV'ff'l'^ » * « I •.

106-113 STATEMENT OF DISBURSEMENTS OF THE HOUSE AS COMPILED BY THE CHIEF ADMINISTRATIVE OFFICER FROM April 1, 1999 to June 30, 1999 Part 1 of 2 August 5, 1999. — Referred to the Committee on House Administration and ordered to be printed U. GOVERNMENT PRINTING OFFICE 58-614 WASHINGTON : 1999 LETTER OF SUBMITTAL August 5, 1999 Hon.

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