UNITED24 - Make a charitable donation in support of Ukraine!

Military

HR 2216 EH

107th CONGRESS

1st Session

H. R. 2216


AN ACT

Making supplemental appropriations for the fiscal year ending September 30, 2001, and for other purposes.

    Be it enacted by the Senate and House of Representatives of the United States of America in Congress assembled,

    That the following sums are appropriated, out of any money in the Treasury not otherwise appropriated, for the fiscal year ending September 30, 2001, and for other purposes, namely:

TITLE I

NATIONAL SECURITY MATTERS

CHAPTER 1

DEPARTMENT OF DEFENSE-MILITARY

MILITARY PERSONNEL

Military Personnel, Army

    For an additional amount for `Military Personnel, Army', $164,000,000.

Military Personnel, Navy

    For an additional amount for `Military Personnel, Navy', $84,000,000.

Military Personnel, Marine Corps

    For an additional amount for `Military Personnel, Marine Corps', $69,000,000.

Military Personnel, Air Force

    For an additional amount for `Military Personnel, Air Force', $119,500,000.

Reserve Personnel, Army

    For an additional amount for `Reserve Personnel, Army', $52,000,000.

Reserve Personnel, Air Force

    For an additional amount for `Reserve Personnel, Air Force', $8,500,000.

National Guard Personnel, Army

    For an additional amount for `National Guard Personnel, Army', $6,000,000.

National Guard Personnel, Air Force

    For an additional amount for `National Guard Personnel, Air Force', $12,000,000.

OPERATION AND MAINTENANCE

Operation and Maintenance, Army

    For an additional amount for `Operation and Maintenance, Army', $659,600,000: Provided, That of the funds made available under this heading, $6,800,000 shall remain available for obligation until September 30, 2002.

Operation and Maintenance, Navy

    For an additional amount for `Operation and Maintenance, Navy', $948,100,000: Provided, That of the funds made available under this heading, $7,200,000 shall remain available for obligation until September 30, 2002.

Operation and Maintenance, Marine Corps

    For an additional amount for `Operation and Maintenance, Marine Corps', $54,400,000.

Operation and Maintenance, Air Force

    For an additional amount for `Operation and Maintenance, Air Force', $840,000,000: Provided, That of the funds made available under this heading, $3,000,000 shall remain available for obligation until September 30, 2002.

Operation and Maintenance, Defense-Wide

    For an additional amount for `Operation and Maintenance, Defense-Wide', $123,100,000.

Operation and Maintenance, Army Reserve

    For an additional amount for `Operation and Maintenance, Army Reserve', $20,500,000.

Operation and Maintenance, Navy Reserve

    For an additional amount for `Operation and Maintenance, Navy Reserve', $12,500,000.

Operation and Maintenance, Marine Corps Reserve

    For an additional amount for `Operation and Maintenance, Marine Corps Reserve', $1,900,000.

Operation and Maintenance, Air Force Reserve

    For an additional amount for `Operation and Maintenance, Air Force Reserve', $34,000,000.

Operation and Maintenance, Army National Guard

    For an additional amount for `Operation and Maintenance, Army National Guard', $38,900,000.

Operation and Maintenance, Air National Guard

    For an additional amount for `Operation and Maintenance, Air National Guard', $119,300,000.

PROCUREMENT

Other Procurement, Army

    For an additional amount for `Other Procurement, Army', $3,000,000.

Shipbuilding and Conversion, Navy

(INCLUDING TRANSFER OF FUNDS)

    For an additional amount for `Shipbuilding and Conversion, Navy', $222,000,000, to remain available until September 30, 2001: Provided, That upon enactment of this Act, the Secretary of Defense shall transfer such funds to the following appropriations in the amounts specified: Provided further, That the amounts transferred shall be merged with and shall be available for the same purposes and for the same time period as the appropriation to which transferred:

      To:

        Under the heading, `Shipbuilding and Conversion, Navy, 1995/2001':

          Carrier Replacement Program, $84,000,000; and

          DDG-51 Destroyer Program, $300,000.

        Under the heading, `Shipbuilding and Conversion, Navy, 1996/2001':

          DDG-51 Destroyer Program, $14,600,000; and

          LPD-17 Amphibious Transport Dock Ship Program, $65,000,000.

        Under the heading, `Shipbuilding and Conversion, Navy, 1997/2001':

          DDG-51 Destroyer Program, $12,600,000.

        Under the heading, `Shipbuilding and Conversion, Navy, 1998/2001':

          NSSN Program, $32,000,000; and

          DDG-51 Destroyer Program, $13,500,000.

Aircraft Procurement, Air Force

    For an additional amount for `Aircraft Procurement, Air Force', $84,000,000.

Missile Procurement, Air Force

    For an additional amount for `Missile Procurement, Air Force', $15,500,000.

Procurement of Ammunition, Air Force

    For an additional amount for `Procurement of Ammunition, Air Force', $73,000,000.

Other Procurement, Air Force

    For an additional amount for `Other Procurement, Air Force', $85,400,000.

Procurement, Defense-Wide

    For an additional amount for `Procurement, Defense-Wide', $5,800,000.

RESEARCH, DEVELOPMENT, TEST AND EVALUATION

Research, Development, Test and Evaluation, Army

    For an additional amount for `Research, Development, Test and Evaluation, Army', $5,000,000.

Research, Development, Test and Evaluation, Navy

    For an additional amount for `Research, Development, Test and Evaluation, Navy', $151,000,000.

Research, Development, Test and Evaluation, Air Force

    For an additional amount for `Research, Development, Test and Evaluation, Air Force', $275,500,000.

Research, Development, Test and Evaluation, Defense-Wide

    For an additional amount for `Research, Development, Test and Evaluation, Defense-Wide', $94,100,000.

REVOLVING AND MANAGEMENT FUNDS

Defense Working Capital Funds

    For an additional amount for `Defense Working Capital Funds', $178,400,000, to remain available until expended.

OTHER DEPARTMENT OF DEFENSE PROGRAMS

Defense Health Program

    For an additional amount for `Defense Health Program', $1,453,400,000 for Operation and maintenance: Provided, That such funds may be used to cover increases in TRICARE contract costs associated with the provision of health care services to eligible beneficiaries of all the uniformed services.

    For an additional amount for `Defense Health Program', $200,000,000 for Operation and maintenance, to remain available until expended, only for the use of the Army, Navy, and Air Force Surgeons General to improve the quality of care provided at military treatment facilities, of which $50,000,000 shall be available only to optimize health care services at Army military treatment facilities, $50,000,000 shall be available only to optimize health care services at Navy military treatment facilities, $50,000,000 shall be available only to optimize health care services at Air Force military treatment facilities, and $50,000,000 shall be available only to finance advances in medical practices to be equally divided between the services and to be administered solely by the Surgeons General: Provided, That none of the funds provided in this paragraph may be made available for optimization projects or activities unless the Surgeon General of the respective service determines that: (1) such project or activity shall be self-financing within not more than 3 years of its initiation after which time the project or activity will require no net increase in Defense Health Program funds, or (2) that such project or activity is necessary to address a serious health care deficiency at a military treatment facility that could threaten health care outcomes: Provided further, That none of the funds provided in this paragraph may be made available to a service unless the Secretary of Defense certifies to the congressional defense committees that all projects or activities to be financed by that service with said funds will be continued and adequately financed in the Department of Defense six year budget plan known as the Program Objective Memorandum.

Drug Interdiction and Counter-Drug Activities, Defense

    For an additional amount for `Drug Interdiction and Counter-Drug Activities, Defense', $1,900,000.

GENERAL PROVISIONS--THIS CHAPTER

    SEC. 1101. Except as otherwise specifically provided in this Act, amounts provided to the Department of Defense under each of the headings in this chapter shall be available for the same period as the amounts appropriated under each such heading in the Department of Defense Appropriations Act, 2001 (Public Law 106-259).

    SEC. 1102. Funds appropriated by this Act, or made available by the transfer of funds in this Act, for intelligence activities are deemed to be specifically authorized by the Congress for purposes of section 504 of the National Security Act of 1947 (50 U.S.C. 414).

(INCLUDING TRANSFER OF FUNDS)

    SEC. 1103. In addition to the amount appropriated in section 308 of Division A, Miscellaneous Appropriations Act, 2001, as enacted by section 1(a)(4) of Public Law 106-554 (114 Stat. 2763A-181 and 182), $44,000,000 is hereby appropriated for `Operation and Maintenance, Navy', to remain available until expended: Provided, That such amount, and the amount previously appropriated in section 308, shall be for costs associated with the stabilization, return, refitting, necessary force protection upgrades, and repair of the U.S.S. COLE, including any costs previously incurred for such purposes: Provided further, That the Secretary of Defense may transfer these funds to appropriations accounts for procurement: Provided further, That the funds transferred shall be merged with and shall be available for the same purposes and for the same time period as the appropriations to which transferred: Provided further, That the transfer authority provided herein is in addition to any other transfer authority available to the Department of Defense: Provided further, That the entire amount made available in this section is designated by the Congress as an emergency requirement pursuant to section 251(b)(2)(A) of the Balanced Budget and Emergency Deficit Control Act of 1985, as amended.

(RESCISSIONS)

    SEC. 1104. Of the funds made available in Department of Defense Appropriations Acts, the following funds are hereby rescinded, from the following accounts in the specified amounts:

      `Procurement, Marine Corps, 2000/2002', $3,000,000;

      `Overseas Contingency Operations Transfer Fund, 2001', $81,000,000;

      `Aircraft Procurement, Navy 2001/2003', $330,000,000;

      `Procurement, Marine Corps, 2001/2003', $5,000,000;

      `Aircraft Procurement, Air Force, 2001/2003', $260,000,000;

      `Other Procurement, Air Force, 2001/2003', $65,000,000;

      `Procurement, Defense-Wide, 2001/2003', $85,000,000; and

      `Intelligence Community Management Account, 2001', $5,000,000.

    SEC. 1105. In addition to amounts appropriated or otherwise made available elsewhere in this Act for the Department of Defense or in the Department of Defense Appropriations Act, 2001 (Public Law 106-259), $39,900,000 is hereby appropriated to the Department of Defense, for facilities repair and damages resulting from natural disasters, as follows:

      `Operation and Maintenance, Army', $6,500,000;

      `Operation and Maintenance, Navy', $23,000,000;

      `Operation and Maintenance, Air Force', $8,000,000;

      `Operation and Maintenance, Army Reserve', $200,000;

      `Operation and Maintenance, Air Force Reserve', $200,000;

      `Operation and Maintenance, Army National Guard', $400,000;

      `Operation and Maintenance, Air National Guard', $400,000; and

      `Defense Health Program', $1,200,000:

    Provided, That the entire amount made available in this section is designated by the Congress as an emergency requirement pursuant to section 251(b)(2)(A) of the Balanced Budget and Emergency Deficit Control Act of 1985, as amended.

    SEC. 1106. The authority to purchase or receive services under the demonstration project authorized by section 816 of the National Defense Authorization Act for Fiscal Year 1995 (Public Law 103-337) may be exercised through January 31, 2002, notwithstanding subsection (c) of that section.

CHAPTER 2

DEPARTMENT OF ENERGY

National Nuclear Security Administration

Weapons Activities

    For an additional amount for `Weapons Activities', $140,000,000, to remain available until expended: Provided, That funding is authorized for Project 01-D-107, Atlas Relocation and Operations, and Project 01-D-108, Microsystems and Engineering Sciences Application Complex.

Other Defense Related Activities

Defense Environmental Restoration and Waste Management

    For an additional amount for `Defense Environmental Restoration and Waste Management', $100,000,000, to remain available until expended.

Defense Facilities Closure Projects

    For an additional amount for `Defense Facilities Closure Projects', $21,000,000, to remain available until expended.

Defense Environmental Management Privatization

    For an additional amount for `Defense Environmental Management Privatization', $27,472,000, to remain available until expended.

CHAPTER 3

MILITARY CONSTRUCTION

Military Construction, Army

    For an additional amount for `Military Construction, Army', $67,400,000: Provided, That notwithstanding any other provision of law, such funds may be obligated or expended to carry out planning and design and military construction projects not otherwise authorized by law.

Military Construction, Navy

    For an additional amount for `Military Construction, Navy', $10,500,000: Provided, That notwithstanding any other provision of law, such funds may be obligated or expended to carry out planning and design and military construction projects not otherwise authorized by law.

Military Construction, Air Force

    For an additional amount for `Military Construction, Air Force', $8,000,000: Provided, That notwithstanding any other provision of law, such funds may be obligated or expended to carry out planning and design and military construction projects not otherwise authorized by law.

Family Housing, Army

    For an additional amount for `Family Housing, Army', $29,480,000 for operation and maintenance.

Family Housing, Navy and Marine Corps

    For an additional amount for `Family Housing, Navy and Marine Corps', $20,300,000 for operation and maintenance.

Family Housing, Air Force

    For an additional amount for `Family Housing, Air Force', $18,000,000 for operation and maintenance.

Base Realignment and Closure Account, Part IV

    For an additional amount for deposit into the `Department of Defense Base Realignment and Closure Account 1990', $9,000,000, to remain available until expended.

GENERAL PROVISIONS--THIS CHAPTER

    SEC. 1301. (a) CADET PHYSICAL DEVELOPMENT CENTER- Notwithstanding section 138 of the Military Construction Appropriations Act, 2001 (division A of Public Law 106-246; 114 Stat. 524), the Secretary of the Army may expend appropriated funds in excess of the amount specified by such section to construct and renovate the Cadet Physical Development Center at the United States Military Academy, except that--

      (1) such additional expenditures may be used only for the purposes of meeting unanticipated price increases and related construction contingency costs and making minor changes to the project to incorporate design features that result in reducing long-term operating costs; and

      (2) such additional expenditures may not exceed the difference between the authorized amount for the project and the amount specified in such section.

    (b) LIMITATIONS AND REPORTS- No sums may be expended for final phase construction of the project until 15 days after the Secretary of the Army submits a report to the congressional defense committees describing the revised cost estimates referred to in subsection (a), the methodology used in making these cost estimates, and the changes in project costs compared to estimates made in October, 2000. Not later than August 1, 2001, the Secretary of the Army shall submit a report to the congressional defense committees explaining the plan of the Department of the Army to expend privately donated funds for capital improvements at the United States Military Academy between fiscal years 2001 and 2011.

    SEC. 1302. Except as otherwise specifically provided in this Chapter, amounts provided to the Department of Defense under each of the headings in this Chapter shall be made available for the same time period as the amounts appropriated under each such heading in Public Law 106-246.

(RESCISSION)

    SEC. 1303. Of the funds provided in previous Military Construction Appropriations Acts, $70,500,000 is hereby rescinded as of the date of the enactment of this Act.

TITLE II

OTHER SUPPLEMENTAL APPROPRIATIONS

CHAPTER 1

GENERAL PROVISION--THIS CHAPTER

    SEC. 2101. The paragraph under the heading `Rural Community Advancement Program' in title III of the Agriculture, Rural Development, Food and Drug Administration, and Related Agencies Appropriations Act, 2001 (as enacted by Public Law 106-387; 114 Stat. 1549A-17), is amended--

      (1) in the third proviso, by striking `ability of' and inserting `ability of low income rural communities and'; and

      (2) in the fourth proviso, by striking `assistance to' the first place it appears and inserting `assistance and to'.

CHAPTER 2

DISTRICT OF COLUMBIA

District of Columbia Funds

Governmental Direction and Support

(INCLUDING RESCISSION)

    For an additional amount for `Governmental Direction and Support', $5,400,000 from local funds for increases in natural gas costs.

    Of the funds appropriated under this heading in the District of Columbia Appropriations Act, 2001, approved November 22, 2000 (Public Law 106-522; 114 Stat. 2447), $250,000 to simplify employee compensation systems is rescinded.

Economic Development and Regulation

    For an additional amount for `Economic Development and Regulation', $1,625,000 from local funds to be allocated as follows: $1,000,000 for the implementation of the New E-Conomy Transformation Act of 2000 (D.C. Act 13-543); and $625,000 for the Department of Consumer and Regulatory Affairs to carry out the purposes of D.C. Code, sec. 5-513: Provided, That the fees established and collected pursuant to Bill 13-646 shall be identified, and an accounting provided, to the Committee on Consumer and Regulatory Affairs of the Council of the District of Columbia.

Public Safety and Justice

(INCLUDING RESCISSION)

    For an additional amount for `Public Safety and Justice', $8,901,000 from local funds to be allocated as follows: $2,800,000 is for the Metropolitan Police Department of which $800,000 is for the speed camera program and $2,000,000 is for the Fraternal Order of Police arbitration award and the Fair Labor Standards Act liability; $5,940,000 is for the Fire and Emergency Medical Services Department of which $5,540,000 is for pre-tax payments for pension, health and life insurance premiums and $400,000 is for the fifth fire fighter on trucks initiative; and $161,000 is for the Child Fatality Review Committee established pursuant to the Child Fatality Review Committee Establishment Emergency Act of 2001 (D.C. Act 14-40) and the Child Fatality Review Committee Establishment Temporary Act of 2001 (D.C. Bill 14-165).

    Of the funds appropriated under this heading in the District of Columbia Appropriations Act, 2001, approved November 22, 2000 (Public Law 106-522), $131,000 for Taxicab Inspectors is rescinded.

Public Education System

(INCLUDING TRANSFER OF FUNDS)

    For an additional amount for `Public Education System', $14,000,000, of which $250,000 shall be derived by transfer from the amount provided under the heading `Federal Payment for Plan To Simplify Employee Compensation Systems' in the District of Columbia Appropriations Act, 2001 (Public Law 106-522; 114 Stat. 2444) and $13,750,000 from local funds, to be allocated as follows: $12,000,000 from local funds for the District of Columbia Public Schools to conduct the 2001 summer school program; $1,000,000 from local funds for the State Education Office for a census-type audit of the student enrollment of each District of Columbia Public School and of each public charter school; and $1,000,000, of which $250,000 shall be from the funds transferred earlier in this paragraph and $750,000 from local funds, for the Excel Institute Adult Education Program: Provided, That section 108(b) of the District of Columbia Public Education Act, Public Law 89-791 as amended (D.C. Code, sec. 31-1408), is amended by adding at the end of the paragraph the following: `In addition, any proceeds and interest accruing thereon, which remain from the sale of the former radio station WDCU in an escrow account of the District of Columbia Financial Management and Assistance Authority for the benefit of the University of the District of Columbia, shall be used for the University of the District of Columbia's Endowment Fund, and such proceeds may be invested in equity based securities if approved by the Chief Financial Officer of the District of Columbia.'.

Human Support Services

    For an additional amount for `Human Support Services', $28,000,000 from local funds to be allocated as follows: $15,000,000 for expansion of the Medicaid program; $4,000,000 to increase the local share for Disproportionate Share to Hospitals (DSH) payments; $3,000,000 for the Disability Compensation Fund; $1,000,000 for the Office of Latino Affairs for Latino Community Education grants; and $5,000,000 for the Children Investment Trust.

Public Works

    For an additional amount for `Public Works', $131,000 from local funds for Taxicab Inspectors.

Workforce Investments

    For expenses associated with the workforce investments program, $40,500,000 from local funds.

Wilson Building

    For an additional amount for `Wilson Building', $7,100,000 from local funds.

Enterprise and Other Funds

Water and Sewer Authority and the Washington Aqueduct

    For an additional amount for `Water and Sewer Authority and the Washington Aqueduct', $2,151,000 from local funds for the Water and Sewer Authority for initiatives associated with complying with stormwater legislation and proposed right-of-way fees.

CHAPTER 3

DEPARTMENT OF DEFENSE--CIVIL

DEPARTMENT OF THE ARMY

Corps of Engineers--Civil

Flood Control, Mississippi River and Tributaries, Arkansas, Illinois, Kentucky, Louisiana, Mississippi, Missouri, and Tennessee

    For an additional amount for `Flood Control, Mississippi River and Tributaries, Arkansas, Illinois, Kentucky, Louisiana, Mississippi, Missouri, and Tennessee', for emergency expenses due to flooding and other natural disasters, $18,000,000, to remain available until expended: Provided, That the entire amount is designated by the Congress as an emergency requirement pursuant to section 251(b)(2)(A) of the Balanced Budget and Emergency Deficit Control Act of 1985, as amended.

Operation and Maintenance, General

    For an additional amount for `Operation and Maintenance, General', for emergency expenses due to flooding and other natural disasters, $115,500,000, to remain available until expended: Provided, That the entire amount is designated by the Congress as an emergency requirement pursuant to section 251(b)(2)(A) of the Balanced Budget and Emergency Deficit Control Act of 1985, as amended: Provided further, That using $1,900,000 of the funds appropriated herein, the Secretary of the Army, acting through the Chief of Engineers, is directed to undertake the project authorized by section 518 of Public Law 106-53, at full Federal expense.

Flood Control and Coastal Emergencies

    For expenses necessary for emergency flood control, hurricane, and shore protection activities, as authorized by section 5 of the Flood Control Act of August 18, 1941, as amended, $50,000,000, to remain available until expended: Provided, That the entire amount is designated by the Congress as an emergency requirement pursuant to section 251(b)(2)(A) of the Balanced Budget and Emergency Deficit Control Act of 1985, as amended.

DEPARTMENT OF ENERGY

Energy Programs

Non-Defense Environmental Management

    For an additional amount for `Non-Defense Environmental Management', $11,950,000, to remain available until expended.

Uranium Facilities Maintenance and Remediation

    For an additional amount for `Uranium Facilities Maintenance and Remediation', $18,000,000, to be derived from the Uranium Enrichment Decontamination and Decommissioning Fund, to remain available until expended.

Power Marketing Administrations

Construction, Rehabilitation, Operation and Maintenance, Western Area Power Administration

    For an additional amount for `Construction, Rehabilitation, Operation and Maintenance, Western Area Power Administration', $1,578,000, to remain available until expended: Provided, That these funds shall be non-reimbursable.

GENERAL PROVISION--THIS CHAPTER

    SEC. 2301. Of the amounts appropriated under the heading `Operation and Maintenance, General' under title I of the Energy and Water Appropriations Act, 2001 (enacted by Public Law 106-377; 114 Stat. 1441 A-62), the $500,000 made available for the Chickamauga Lock, Tennessee, shall be available for completion of the feasibility study for Chickamauga Lock, Tennessee.

    SEC. 2302. The amounts otherwise provided by this Act for `National Nuclear Security Administration--Weapons Activities' are reduced by $23,700,000. For an additional amount for `Corps of Engineers--Civil--Operation and Maintenance, General', $23,700,000, to remain available until expended.

CHAPTER 4

DEPARTMENT OF THE INTERIOR

Bureau of Indian Affairs

Operation of Indian Programs

    For an additional amount for `Operation of Indian Programs', $50,000,000, to remain available until September 30, 2002, for electric power operations at the San Carlos Irrigation Project, of which such amounts as necessary may be transferred to other appropriations accounts for repayment of advances previously made for such power operations: Provided, That the entire amount is designated by the Congress as an emergency requirement pursuant to section 251(b)(2)(A) of the Balanced Budget and Emergency Deficit Control Act of 1985, as amended.

United States Fish and Wildlife Service

Construction

    For an additional amount for `Construction', $17,700,000, to remain available until expended, to repair damages caused by floods, ice storms, and earthquakes in the States of Washington, Illinois, Iowa, Minnesota, Missouri, Wisconsin, New Mexico, Oklahoma, and Texas: Provided, That the entire amount is designated by the Congress as an emergency requirement pursuant to section 251(b)(2)(A) of the Balanced Budget and Emergency Deficit Control Act of 1985, as amended.

National Park Service

United States Park Police

    For an additional amount for `United States Park Police', $1,700,000, to remain available until September 30, 2002, for unbudgeted increases in pension costs for retired United States Park Police officers.

RELATED AGENCY

DEPARTMENT OF AGRICULTURE

Forest Service

State and Private Forestry

    For an additional amount for `State and Private Forestry', $22,000,000, to remain available until expended, to repair damages caused by ice storms in the States of Arkansas and Oklahoma, and for emergency pest suppression and prevention on Federal, State and private lands: Provided, That the entire amount is designated by the Congress as an emergency requirement pursuant to section 251(b)(2)(A) of the Balanced Budget and Emergency Deficit Control Act of 1985, as amended.

National Forest System

    For an additional amount for `National Forest System', $12,000,000, to remain available until expended, to repair damages caused by ice storms in the States of Arkansas and Oklahoma and to address illegal cultivation of marijuana in California and Kentucky: Provided, That the entire amount is designated by the Congress as an emergency requirement pursuant to section 251(b)(2)(A) of the Balanced Budget and Emergency Deficit Control Act of 1985, as amended.

Wildland Fire Management

    For an additional amount for `Wildland Fire Management', $100,000,000, to remain available until expended, for emergency rehabilitation, presuppression due to emergencies, and wildland fire suppression activities: Provided, That the entire amount is designated by the Congress as an emergency requirement pursuant to section 251(b)(2)(A) of the Balanced Budget and Emergency Deficit Control Act of 1985, as amended.

Capital Improvement and Maintenance

    For an additional amount for `Capital Improvement and Maintenance', $4,000,000, to remain available until expended, to repair damages caused by ice storms in the States of Arkansas and Oklahoma: Provided, That the entire amount is designated by the Congress as an emergency requirement pursuant to section 251(b)(2)(A) of the Balanced Budget and Emergency Deficit Control Act of 1985, as amended.

GENERAL PROVISIONS--THIS CHAPTER

    SEC. 2401. Of the funds appropriated to `Operation of the National Park System' in Public Law 106-291, $200,000 for completion of a wilderness study at Apostle Islands National Lakeshore, Wisconsin, shall remain available until expended.

    SEC. 2402. (a) The unobligated balances as of September 30, 2001, of the funds transferred to the Secretary of the Interior pursuant to section 311 of chapter 3 of division A of the Miscellaneous Appropriations Act, 2001 (as enacted into law by Public Law 106-554) for maintenance, protection, or preservation of the land and interests in land described in section 3 of the Minuteman Missile National Historic Site Establishment Act of 1999 (Public Law 106-115), are rescinded.

    (b) Subsection (a) shall be effective on September 30, 2001.

    (c) The amount rescinded pursuant to subsection (a) is appropriated to the Secretary of the Interior for the purposes specified in such subsection, to remain available until expended.

    SEC. 2403. Section 338 of Public Law 106-291 is amended by striking `105-825' and inserting in lieu thereof: `105-277'.

    SEC. 2404. Section 2 of Public Law 106-558 is amended by striking subsection (b) in its entirety and inserting in lieu thereof:

    `(b) EFFECTIVE DATE- The amendments made by this section shall take effect on the date of enactment of this Act.'.

    SEC. 2405. Federal Highway Administration emergency relief for federally-owned roads, made available to the Forest Service as Federal-aid highways funds, may be used to reimburse Forest Service accounts for expenditures previously completed only to the extent that such expenditures would otherwise have qualified for the use of Federal-aid highways funds.

CHAPTER 5

DEPARTMENT OF HEALTH AND HUMAN SERVICES

Administration for Children and Families

Low Income Home Energy Assistance

    For an additional amount for `Low Income Home Energy Assistance' under section 2602(e) of the Omnibus Budget Reconciliation Act of 1981 (42 U.S.C. 8621(e)), $300,000,000: Provided, That these funds are for the home energy assistance needs of one or more States, as authorized by section 2604(e) of that Act and notwithstanding the designation requirement of section 2602(e) of such Act.

DEPARTMENT OF EDUCATION

Education Reform

    In the statement of the managers of the committee of conference accompanying H.R. 4577 (Public Law 106-554; H. Rept. 106-1033), in title III of the explanatory language on H.R. 5656 (Departments of Labor, Health and Human Services, and Education, and Related Agencies Appropriations Act, 2001), in the matter relating to Technology Innovation Challenge Grants under the heading `Education Reform', the amount specified for Western Kentucky University to improve teacher preparation programs that help incorporate technology into the school curriculum shall be deemed to be $400,000.

Education for the Disadvantaged

    The matter under this heading in the Departments of Labor, Health and Human Services, and Education, and Related Agencies Appropriations Act, 2001 (as enacted into law by Public Law 106-554) is amended by striking `$7,332,721,000' and inserting `$7,237,721,000'.

    For an additional amount (to the corrected amount under this heading) for `Education for the Disadvantaged' to carry out part A of title I of the Elementary and Secondary Education Act of 1965 in accordance with the eighth proviso under that heading, $161,000,000, which shall become available on July 1, 2001, and shall remain available through September 30, 2002.

Impact Aid

    Of the $12,802,000 available under the heading `Impact Aid' in the Departments of Labor, Health and Human Services, and Education, and Related Agencies Appropriations Act, 2001 (as enacted into law by Public Law 106-554) for construction under section 8007 of the Elementary and Secondary Education Act of 1965, $6,802,000 shall be used as directed in the first proviso under that heading, and the remaining $6,000,000 shall be distributed to eligible local educational agencies under section 8007, as such section was in effect on September 30, 2000.

Special Education

    In the statement of the managers of the committee of conference accompanying H.R. 4577 (Public Law 106-554; H. Rept. 106-1033), in title III of the explanatory language on H.R. 5656 (Departments of Labor, Health and Human Services, and Education, and Related Agencies Appropriations Act, 2001), in the matter relating to Special Education Research and Innovation under the heading `Special Education', the provision for training, technical support, services and equipment through the Early Childhood Development Project in the Mississippi Delta Region shall be applied by substituting `Easter Seals--Arkansas' for `the National Easter Seals Society'.

Education Research, Statistics, and Improvement

    The matter under this heading in the Departments of Labor, Health and Human Services, and Education, and Related Agencies Appropriations Act, 2001 (as enacted into law by Public Law 106-554) is amended by striking `$139,624,000' and inserting `$139,853,000'.

    In the statement of the managers of the committee of conference accompanying H.R. 4577 (Public Law 106-554; H. Rept. 106-1033), in title III of the explanatory language on H.R. 5656 (Departments of Labor, Health and Human Services, and Education, and Related Agencies Appropriations Act, 2001), in the matter relating to the Fund for the Improvement of Education under the heading `Education Research, Statistics and Improvement'--

      (1) the aggregate amount specified shall be deemed to be $139,853,000;

      (2) the amount specified for the National Mentoring Partnership in Washington D.C. for establishing the National E-Mentoring Clearinghouse shall be deemed to be $461,000; and

      (3) the provision specifying $1,275,000 for one-to-one computing shall be deemed to read as follows: `$1,275,000--NetSchools Corporation, to provide one-to-one e-learning pilot programs for Dover Elementary School in San Pablo, California, Belle Haven Elementary School in East Menlo Park, California, East Rock Magnet School in New Haven, Connecticut, Reid Elementary School in Searchlight, Nevada, and McDermitt Combined School in McDermitt, Nevada;'.

CHAPTER 6

LEGISLATIVE BRANCH

Congressional Operations

House of Representatives

Payments to Widows and Heirs of Deceased Members of Congress

    For payment to Rhonda B. Sisisky, widow of Norman Sisisky, late a Representative from the Commonwealth of Virginia, $145,100.

    For payment to Barbara Cheney, heir of John Joseph Moakley, late a Representative from the Commonwealth of Massachusetts, $145,100.

Salaries and Expenses

    For an additional amount for salaries and expenses of the House of Representatives, $61,662,000, as follows:

Members' Representational Allowances, Standing Committees, Special and Select, Committee on Appropriations, Allowances and Expenses

    For an additional amount for Members' Representational Allowances, Standing Committees, Special and Select, Committee on Appropriations, and Allowances and Expenses, $44,214,000, with any allocations to such accounts subject to approval by the Committee on Appropriations of the House of Representatives: Provided, That $9,776,000 of such amount shall remain available for such salaries and expenses until December 31, 2002.

Salaries, Officers and Employees

    For an additional amount for compensation and expenses of officers and employees, as authorized by law, $17,448,000, including: for salaries and expenses of the Office of the Clerk, $3,150,000; and for salaries and expenses of the Office of the Chief Administrative Officer, $14,298,000, of which $11,181,000 shall be for salaries, expenses, and temporary personal services of House Information Resources and $3,000,000 shall be for separate upgrades for committee rooms: Provided, That $500,000 of the funds provided to the Office of the Chief Administrative Officer for separate upgrades for committee rooms may be transferred to the Office of the Architect of the Capitol for the same purpose, subject to the approval of the Committee on Appropriations of the House of Representatives: Provided further, That all of the funds provided under this heading shall remain available until expended.

OFFICE OF COMPLIANCE

Salaries and Expenses

    For an additional amount for salaries and expenses of the Office of Compliance, as authorized by section 305 of the Congressional Accountability Act of 1995 (2 U.S.C. 1385), $35,000.

GOVERNMENT PRINTING OFFICE

Congressional Printing and Binding

    For an additional amount for authorized printing and binding for the Congress and the distribution of Congressional information in any format; printing and binding for the Architect of the Capitol; expenses necessary for preparing the semimonthly and session index to the Congressional Record, as authorized by law (44 U.S.C. 902); printing and binding of Government publications authorized by law to be distributed to Members of Congress; and printing, binding, and distribution of Government publications authorized by law to be distributed without charge to the recipient, $11,900,000.

Government Printing Office Revolving Fund

    For payment to the Government Printing Office Revolving Fund, $6,000,000, to remain available until expended, for air-conditioning and lighting systems.

LIBRARY OF CONGRESS

Salaries and Expenses

    For an additional amount for salaries and expenses, Library of Congress, $600,000, to remain available until expended, for a collaborative Library of Congress telecommunications project with the United States Military Academy.

CHAPTER 7

DEPARTMENT OF TRANSPORTATION

FEDERAL AVIATION ADMINISTRATION

Grants-in-Aid for Airports

(AIRPORT AND AIRWAY TRUST FUND)

(RESCISSION OF CONTRACT AUTHORIZATION)

    Of the unobligated balances authorized under 49 U.S.C. 48103, as amended, $30,000,000 are rescinded.

COAST GUARD

Operating Expenses

    For an additional amount for `Operating expenses', $92,000,000, to remain available until September 30, 2002.

CHAPTER 8

DEPARTMENT OF THE TREASURY

Financial Management Service

salaries and expenses

    For an additional amount for `Salaries and Expenses', $49,576,000, to remain available through September 30, 2002.

Internal Revenue Service

PROCESSING, ASSISTANCE, AND MANAGEMENT

    For an additional amount for `Processing, Assistance, and Management', $66,200,000, to remain available through September 30, 2002.

CHAPTER 9

DEPARTMENT OF VETERANS AFFAIRS

Veterans Benefits Administration

COMPENSATION AND PENSIONS

    For an additional amount for `Compensation and pensions', $589,413,000 to remain available until expended.

READJUSTMENT BENEFITS

    For an additional amount for `Readjustment benefits', $347,000,000 to remain available until expended.

Veterans Health Administration

MEDICAL AND PROSTHETIC RESEARCH

    Of the amount provided for `Medical and prosthetic research' in the Departments of Veterans Affairs and Housing and Urban Development, and Independent Agencies Appropriations Act, 2001 (Public Law 106-377), up to $3,500,000 may be used for associated travel expenses.

Departmental Administration

GENERAL OPERATING EXPENSES

(INCLUDING TRANSFER OF FUNDS)

    Of the amount provided for `Medical care' in the Departments of Veterans Affairs and Housing and Urban Development, and Independent Agencies Appropriations Act, 2001 (Public Law 106-377), up to $19,000,000 may be transferred to `General operating expenses' of which up to $5,000,000 may be used for associated travel expenses.

DEPARTMENT OF HOUSING AND URBAN DEVELOPMENT

Public and Indian Housing

HOUSING CERTIFICATE FUND

(RESCISSION)

    $114,300,000 is rescinded from unobligated balances remaining from funds appropriated to the Department of Housing and Urban Development under this heading in fiscal year 2001 or the heading `Annual contributions for assisted housing' or any other heading for fiscal year 2000 and prior years: Provided, That any such balances governed by reallocation provisions under the statute authorizing the program for which the funds were originally appropriated shall not be available for this rescission.

Community Planning and Development

COMMUNITY DEVELOPMENT FUND

    The referenced statement of the managers in the seventh undesignated paragraph under this heading in title II of Public Law 106-377 is deemed to be amended by striking `women's and children's hospital' in reference to an appropriation for Hackensack University Medical Center, and inserting `the construction of the Audrey Hepburn Children's House'.

    The referenced statement of the managers in the seventh undesignated paragraph under this heading in title II of Public Law 106-377 is deemed to be amended by striking `$100,000 to Essex County, Massachusetts for cyberdistrict economic development initiatives;' in reference to an appropriation for Essex County, and inserting `$75,000 to improve cyber-districts in Haverhill, Massachusetts and $25,000 to improve cyber-districts in Amesbury, Massachusetts;'.

    The referenced statement of the managers in the seventh undesignated paragraph under this heading in title II of Public Law 106-377 is deemed to be amended by striking `$500,000 for Essex County, Massachusetts for its wastewater and combined sewer overflow program;' in reference to an appropriation for Essex County, and inserting `$500,000 to the following Massachusetts communities for wastewater and combined sewer overflow infrastructure improvements: Beverly ($32,000); Peabody ($32,000); Salem ($32,000); Lynn ($32,000); Newburyport ($32,000); Glouchester ($32,000); Marblehead ($30,000); Danvers ($30,000); Ipswich ($17,305); Amesbury ($17,305); Manchester ($17,305); Essex ($17,305); Rockport ($17,305); and Haverhill ($161,475);'.

Housing Programs

MANUFACTURED HOUSING FEES TRUST FUND

    For necessary expenses as authorized by the National Manufactured Housing Construction and Safety Standards Act of 1974, as amended (42 U.S.C. 5401 et seq.), $6,100,000, to remain available until expended, to be derived from the Manufactured Housing Fees Trust Fund (in this heading referred to as `the Fund'): Provided, That all balances of fees collected before December 27, 2000, pursuant to such Act shall be transferred to and merged with amounts in the Fund: Provided further, That not to exceed the amount appropriated under this heading shall be available from the general fund of the Treasury to the extent necessary to incur obligations and make expenditures pending the receipt of collections to the Fund pursuant to section 620 of such Act: Provided further, That the amount made available under this heading from the general fund shall be reduced as such collections are received during fiscal year 2001 so as to result in a final fiscal year 2001 appropriation from the general fund estimated at not more than $0.

Federal Housing Administration

FHA--MUTUAL MORTGAGE INSURANCE PROGRAM ACCOUNT

    Of the amounts available for administrative expenses and administrative contract expenses under the headings, `FHA--mutual mortgage insurance program account', `FHA--general and special risk program account', and `Salaries and expenses, management and administration' in title II of the Departments of Veterans Affairs and Housing and Urban Development, and Independent Agencies Appropriations Act, 2001, as enacted by Public Law 106-377, not to exceed $8,000,000 is available to liquidate deficiencies incurred in fiscal year 2000 in the `FHA--mutual mortgage insurance program account'.

FHA--GENERAL AND SPECIAL RISK PROGRAM ACCOUNT

    For an additional amount for the cost of guaranteed loans, as authorized by sections 238 and 519 of the National Housing Act (12 U.S.C. 1715z-3 and 1735c), including the cost of loan guarantee modifications as that term is defined in section 502 of the Congressional Budget Act of 1974, as amended, $40,000,000, to remain available until expended: Provided, That funding under this heading shall be made available only upon implementation of an interim final rule revising the premium structure for programs provided for under this heading.

INDEPENDENT AGENCIES

DEPARTMENT OF DEFENSE--CIVIL

Cemeterial Expenses, Army

SALARIES AND EXPENSES

    For an additional amount for `Salaries and expenses', $243,059 to remain available until expended.

Environmental Protection Agency

ENVIRONMENTAL PROGRAMS AND MANAGEMENT

    From the amounts appropriated for Cortland County, New York and Central New York Watersheds under this heading in title III of Public Law 106-377 and in future Acts, the Administrator is authorized to award grants for work on New York watersheds.

STATE AND TRIBAL ASSISTANCE GRANTS

    The referenced statement of the managers under this heading in Public Law 106-377 is deemed to be amended by striking all after the words `Limestone County Water and Sewer Authority in Alabama for' in reference to item number 13, and inserting the words `drinking water improvements'.

    The referenced statement of the managers under this heading in Public Law 106-377 is deemed to be amended by striking the words `the City of Hartselle' in reference to item number 11, and inserting the words `Hartselle Utilities'.

    The referenced statement of the managers under this heading in Public Law 106-377 is deemed to be amended by striking the words `Florida Department of Environmental Protection' in reference to item number 48, and inserting the words `Southwest Florida Water Management District'.

    The referenced statement of the managers under this heading in Public Law 106-377 is deemed to be amended by striking all after the words `Beloit, Wisconsin' in reference to item number 236, and inserting the words `extension of separate sanitary sewers and extension of separate storm sewers'.

    Under this heading in title III of Public Law 106-377, strike `$3,628,740,000' and insert `$3,641,341,386'.

Federal Emergency Management Agency

DISASTER RELIEF

(RESCISSION)

    Of the funds made available in the second paragraph under this heading in the Departments of Veterans Affairs and Housing and Urban Development, and Independent Agencies Appropriations Act, 2001 (as enacted into law by Public Law 106-377), $389,200,000 are hereby rescinded.

National Aeronautics and Space Administration

HUMAN SPACE FLIGHT

    The last proviso under the heading, `Human space flight', in Public Law 106-74, is deleted. Of the unobligated balances made available pursuant to the preceding sentence, $15,000,000 shall be used only for research to be carried out on the International Space Station.

GENERAL PROVISION--THIS CHAPTER

    SEC. 2901. (a) The unobligated balances as of September 30, 2001, of funds appropriated in the first seven undesignated paragraphs under the heading `Community development fund', in the Departments of Veterans Affairs and Housing and Urban Development, and Independent Agencies Appropriations Act, 2001 (as enacted into law by Public Law 106-377), are rescinded.

    (b) Subsection (a) shall be effective on September 30, 2001.

    (c) The amount rescinded pursuant to subsection (a) is appropriated for the purposes named in the first seven undesignated paragraphs under the heading `Community development fund', of the Departments of Veterans Affairs and Housing and Urban Development, and Independent Agencies Appropriations Act, 2001 (as enacted into law by Public Law 106-377), to remain available until September 30, 2003.

TITLE III

GENERAL PROVISION--THIS ACT

    SEC. 3001. No part of any appropriation contained in this Act shall remain available for obligation beyond the current fiscal year unless expressly so provided herein.

    SEC. 3002. Within 5 days of the enactment of this Act, the Secretary of State is directed to report to the Committee on Appropriations on the projected uses of the unobligated balances of funds available under the heading `Agency for International Development, International Disaster Assistance', including plans for allocating additional resources to respond to the damage caused by the earthquakes that occurred in El Salvador in January and February of 2001.

    SEC. 3003. No funds made available under this Act shall be made available to any person or entity who has been convicted of violating the Act of March 3, 1933 (41 U.S.C. 10a-10c, popularly know as the `Buy American Act').

    This Act may be cited as the `2001 Supplemental Appropriations Act'.

Passed the House of Representatives June 20, 2001.

Attest:

Clerk.

107th CONGRESS

1st Session

H. R. 2216

AN ACT

Making supplemental appropriations for the fiscal year ending September 30, 2001, and for other purposes.

END



NEWSLETTER
Join the GlobalSecurity.org mailing list