[Appendix]
[Detailed Budget Estimates by Agency]
[Legislative Branch]
[From the U.S. Government Printing Office, www.gpo.gov]


[[Page 17]]


                           LEGISLATIVE BRANCH

 
                                 SENATE

                           expense allowances

    For expense allowances of the Vice President, $10,000; the President 
Pro Tempore of the Senate, $10,000; Majority Leader of the Senate, 
$10,000; Minority Leader of the Senate, $10,000; Majority Whip of the 
Senate, $5,000; Minority Whip of the Senate, $5,000; and Chairmen of the 
Majority and Minority Conference Committees, $3,000 for each Chairman; 
in all, $56,000.

                                

     representation allowances for the majority and minority leaders

    For representation allowances of the Majority and Minority Leaders 
of the Senate, $15,000 for each such Leader; in all, $30,000.

                                

                    Salaries, Officers and Employees

    For compensation of officers, employees, and others as authorized by 
law, including agency contributions, [$89,968,000] $93,253,000, which 
shall be paid from this appropriation without regard to the below 
limitations, as follows:

                      office of the vice president

    For the Office of the Vice President, [$1,721,000] $1,785,000.

                   office of the president pro tempore

    For the Office of the President Pro Tempore, [$437,000] $453,000.

              offices of the majority and minority leaders

    For Offices of the Majority and Minority Leaders, [$2,644,000] 
$2,742,000.

               offices of the majority and minority whips

    For Offices of the Majority and Minority Whips, [$1,634,000] 
$1,770,000.

                       committee on appropriations

    For salaries of the Committee on Appropriations, [$6,525,000] 
$6,917,000.

                          conference committees

    For the Conference of the Majority and the Conference of the 
Minority, at rates of compensation to be fixed by the Chairman of each 
such committee, [$1,132,000] $1,175,000 for each such committee; in all, 
[$2,264,000] $2,350,000.

  offices of the secretaries of the conference of the majority and the 
                       conference of the minority

    For Offices of the Secretaries of the Conference of the Majority and 
the Conference of the Minority, [$590,000] $732,000.

                            policy committees

    For salaries of the Majority Policy Committee and the Minority 
Policy Committee, [$1,151,000] $1,254,000 for each such committee; in 
all, [$2,302,000] $2,508,000.

                         office of the chaplain

    For Office of the Chaplain, [$277,000] $288,000.

                         office of the secretary

    For Office of the Secretary, [$14,202,000] $14,738,000.

              office of the sergeant at arms and doorkeeper

    For Office of the Sergeant at Arms and Doorkeeper, [$34,794,000] 
$35,341,000.

        offices of the secretaries for the majority and minority

    For Offices of the Secretary for the Majority and the Secretary for 
the Minority, [$1,246,000] $1,292,000.

                agency contributions and related expenses

    For agency contributions for employee benefits, as authorized by 
law, and related expenses, [$21,332,000] $22,337,000.

                                

             Office of the Legislative Counsel of the Senate

    For salaries and expenses of the Office of the Legislative Counsel 
of the Senate, [$3,901,000] $4,046,000.

                                

                     Office of Senate Legal Counsel

    For salaries and expenses of the Office of Senate Legal Counsel, 
[$1,035,000] $1,069,000.

                                

Expense Allowances of the Secretary of the Senate, Sergeant at Arms and 
Doorkeeper of the Senate, and Secretaries for the Majority and Minority 
                              of the Senate

    For expense allowances of the Secretary of the Senate, $3,000; 
Sergeant at Arms and Doorkeeper of the Senate, $3,000; Secretary for the 
Majority of the Senate, $3,000; Secretary for the Minority of the 
Senate, $3,000; in all, $12,000.

                                

                    Contingent Expenses of the Senate

                      inquiries and investigations

    For expenses of inquiries and investigations ordered by the Senate, 
or conducted pursuant to section 134(a) of Public Law 601, Seventy-ninth 
Congress, as amended, section 112 of Public Law 96-304 and Senate 
Resolution 281, agreed to March 11, 1980, [$71,604,000] $74,136,000.

                                

 expenses of the united states senate caucus on international narcotics 
                                 control

    For expenses of the United States Senate Caucus on International 
Narcotics Control, [$370,000] $370,000.

                                

                         secretary of the senate

    For expenses of the Office of the Secretary of the Senate, 
$1,511,000.

                                

              sergeant at arms and doorkeeper of the senate

    For expenses of the Office of the Sergeant at Arms and Doorkeeper of 
the Senate, [$66,261,000] $101,228,000.

                                

                           miscellaneous items

    For miscellaneous items, [$8,665,000] $8,655,000.

                                

         senators' official personnel and office expense account

    For Senators' Official Personnel and Office Expense Account, 
[$245,703,000] $273,366,000.

                                

                           official mail costs

    For expenses necessary for official mail costs of the Senate, 
$300,000.

[[Page 18]]

                                

                       [administrative provisions]

    [Section 1. Effective in the case of any fiscal year which begins on 
or after October 1, 1999, clause (iii) of paragraph (3)(A) of section 
506(b) of the Supplemental Appropriations Act, 1973 (2 U.S.C. 58(b)) is 
amended to read as follows:
        ``(iii) subject to subparagraph (B)--
                ``(I) in case the Senator represents Alabama, $116,300, 
            Alaska, $221,600, Arizona, $128,975, Arkansas, $118,250, 
            California, $168,950, Colorado, $124,100, Connecticut, 
            $105,575, Delaware, $95,825, Florida, $120,200, Georgia, 
            $116,300, Hawaii, $245,000, Idaho, $128,000, Illinois, 
            $138,725, Indiana, $116,300, Iowa, $119,225, Kansas, 
            $119,225, Kentucky, $115,325, Louisiana, $120,200, Maine, 
            $110,450, Maryland, $100,700, Massachusetts, $114,350, 
            Michigan, $124,100, Minnesota, $120,200, Mississippi, 
            $118,250, Missouri, $121,175, Montana, $128,000, Nebraska, 
            $120,200, Nevada, $129,950, New Hampshire, $106,550, New 
            Jersey, $110,450, New Mexico, $125,075, New York, $145,550, 
            North Carolina, $112,400, North Dakota, $119,225, Ohio, 
            $129,950, Oklahoma, $123,125, Oregon, $132,875, 
            Pennsylvania, $128,975, Rhode Island, $104,600, South 
            Carolina, $110,450, South Dakota, $120,200, Tennessee, 
            $116,300, Texas, $149,450, Utah, $128,000, Vermont, 
            $105,575, Virginia, $106,550, Washington, $135,800, West 
            Virginia, $105,575, Wisconsin, $119,225, Wyoming, $123,125, 
            plus
                ``(II) the amount that is equal to the Senator's share 
            for the fiscal year, as determined in accordance with 
            regulations of the Committee on Rules and Administration, of 
            the amount made available within the Senators' Official 
            Personnel and Office Expense Account in the contingent fund 
            of the Senate for official mail expenses of Senators, 
            plus''.
    (b) Subparagraph (B) of section 506(b)(3) of the Supplemental 
Appropriations Act, 1973 (2 U.S.C. 58(b)(3)) is amended--
        (1) by striking ``that part of the amount referred to in 
    subparagraph (A)(iii) that is not specifically allocated for 
    official mail expenses'' and inserting ``the amount referred to in 
    subparagraph (A)(iii)(I)''; and
        (2) by striking ``the part of the amount referred to in 
    subparagraph (A)(iii) that is allocated for official mail expenses'' 
    and inserting ``the amount referred to in subparagraph 
    (A)(iii)(II)''.
    (c) The amendments made by this section shall apply to any fiscal 
year which begins on or after October 1, 1999.]
    [Sec. 2. Effective on and after October 1, 1999, each of the dollar 
amounts contained in the table under section 105(d)(1)(A) of the 
Legislative Branch Appropriations Act, 1968 (2 U.S.C. 61-1(d)(1)(A)) 
shall be deemed to be the dollar amounts in that table, as increased by 
section 8 of Public Law 105-275, increased by an additional $50,000 
each.]
    [Sec. 3. Senate Office Space Allocations. Section 3 under the 
heading ``Administrative Provisions'' in the appropriation for the 
Senate in the Legislative Branch Appropriations Act, 1975 (2 U.S.C. 59; 
88 Stat. 428) is amended--
        (1) in subsection (b)--
                (A) by striking paragraphs (1) and (2) and inserting the 
            following:
        ``(1) 5,000 square feet if the population of the State of the 
    Senator is less than 3,000,000;'';
                (B) by striking ``8,000'' in paragraph (13) and 
            inserting ``8,200''; and
                (C) by redesignating paragraphs (3) through (13) as 
            paragraphs (2) through (12), respectively; and
        (2) in subsection (c)(2)--
                (A) by striking ``$30,000'' and inserting ``$40,000'';
                (B) by striking ``4,800'' and inserting ``5,000'';
                (C) by striking ``$734'' and inserting ``$1,000''; and
                (D) by adding at the end the following: ``Effective 
            beginning with the 106th Congress, the aggregate amount in 
            effect under this paragraph for any Congress shall be 
            increased by the inflation adjustment factor for the 
            calendar year in which the Congress begins. For purposes of 
            the preceding sentence, the inflation adjustment factor for 
            any calendar year is a fraction the numerator of which is 
            the implicit price deflator for the gross domestic product 
            as computed and published by the Department of Commerce for 
            the preceding calendar year and the denominator of which is 
            such deflator for the calendar year 1998.''.]
    [Sec. 4. Section 6(c) of the Legislative Branch Appropriations Act, 
1999 (Public Law 105-275; 2 U.S.C. 121b-1(c)) is amended by adding at 
the end the following:
    ``(3) The provisions of section 4 of the Act of July 31, 1946 (40 
U.S.C. 193d), except for the provisions relating to solicitation, shall 
not apply to any activity carried out pursuant to this section, subject 
to approval of such activities by the Committee on Rules and 
Administration.''.]
    [Sec. 5. The first section of Public Law 87-82 (40 U.S.C. 174j-1) is 
amended by adding at the end the following: ``The provisions of section 
4 of the Act of July 31, 1946 (40 U.S.C. 193d), except for the 
provisions relating to solicitation, shall not apply to any activity 
carried out pursuant to this section, subject to the approval of such 
activities by the Committee on Rules and Administration.''.]
    [Sec. 6. The Legislative Counsel may, subject to the approval of the 
President pro tempore of the Senate, designate one of the Senior 
Counsels appointed under section 102 of the Legislative Branch 
Appropriation Act, 1979 (2 U.S.C. 274 note; Public Law 95-391; 92 Stat. 
771) as Deputy Legislative Counsel. The Deputy Legislative Counsel shall 
perform the functions of the Legislative Counsel during the absence or 
disability of the Legislative Counsel, or when the office is vacant.]
    [Sec. 7. Section 814(i) of the Foreign Relations Authorization Act, 
Fiscal Years 1986 and 1987 (22 U.S.C. 2291 note) is amended by striking 
``September 30, 1999'' and inserting ``September 30, 2002''.] 
(Congressional Operations Appropriations Act, 2000.)
    [Sec. 223. For a payment to Virginia C. Chafee, widow of John H. 
Chafee, late a Senator from Rhode Island, $136,700.] (Miscellaneous 
Appropriations, 2000, as enacted by section 1000(a)(5) of the 
Consolidated Appropriations Act, 2000 (P.L. 106-113).)

                                


 
                        HOUSE OF REPRESENTATIVES

                          Salaries and Expenses

    For salaries and expenses of the House of Representatives, 
[$760,884,000] $800,738,000, as follows:

                        house leadership offices

    For salaries and expenses, as authorized by law, [$14,202,000] 
$14,704,000, including: Office of the Speaker, [$1,740,000] $1,798,000, 
including $25,000 for official expenses of the Speaker; Office of the 
Majority Floor Leader, [$1,705,000] $1,761,000, including $10,000 for 
official expenses of the Majority Leader; Office of the Minority Floor 
Leader, [$2,071,000] $2,140,000, including $10,000 for official expenses 
of the Minority Leader; Office of the Majority Whip, including the Chief 
Deputy Majority Whip, [$1,423,000] $1,500,000, including $5,000 for 
official expenses of the Majority Whip; Office of the Minority Whip, 
including the Chief Deputy Minority Whip, [$1,057,000] $1,121,000, 
including $5,000 for official expenses of the Minority Whip; Speaker's 
Office for Legislative Floor Activities, [$406,000] $417,000; Republican 
Steering Committee, [$757,000] $779,000; Republican Conference, 
[$1,244,000] $1,289,000; Democratic Steering and Policy Committee, 
[$1,337,000] $1,381,000; Democratic Caucus, [$664,000] $687,000; nine 
minority employees, [$1,218,000] $1,251,000; training and program 
development--majority, $290,000; and training and program development--
minority, $290,000[: Provided, That the amounts otherwise provided under 
this heading for the various leadership offices shall be reduced in a 
manner approved by the Committee on Appropriations such that the 
aggregate amount appropriated under this heading is $142,000 less than 
the aggregate amount otherwise provided].

                  Members' Representational Allowances

    Including Members' Clerk Hire, Official Expenses of Members, and 
                              Official Mail

    For Members' representational allowances, including Members' clerk 
hire, official expenses, and official mail, [$406,279,000] $422,894,000.

                           Committee Employees

                 Standing Committees, Special and Select

    For salaries and expenses of standing committees, special and 
select, authorized by House resolutions, [$93,878,000] $99,242,000: 
Provided, That such amount shall remain available for such salaries and 
expenses until December 31, [2000] 2002.

[[Page 19]]

                       Committee on Appropriations

    For salaries and expenses of the Committee on Appropriations, 
[$21,095,000] $22,530,000, including studies and examinations of 
executive agencies and temporary personal services for such committee, 
to be expended in accordance with section 202(b) of the Legislative 
Reorganization Act of 1946 and to be available for reimbursement to 
agencies for services performed: Provided, That such amount shall remain 
available for such salaries and expenses until December 31, [2000] 2002.

                    salaries, officers and employees

    For compensation and expenses of officers and employees, as 
authorized by law, [$90,150,000] $98,546,000, including: for salaries 
and expenses of the Office of the Clerk, including not more than $3,500, 
of which not more than $2,500 is for the Family Room, for official 
representation and reception expenses, [$14,881,000] $15,862,000; for 
salaries and expenses of the Office of the Sergeant at Arms, including 
the position of Superintendent of Garages, and including not more than 
$750 for official representation and reception expenses, [$3,746,000] 
$3,858,000; for salaries and expenses of the Office of the Chief 
Administrative Officer, [$57,289,000] $64,180,000, of which [$2,500,000] 
$3,173,000 shall remain available until expended, including 
[$25,519,000] $27,028,000 for salaries, expenses and temporary personal 
services of House Information Resources, of which [$24,641,000] 
$26,928,000 is provided herein: Provided, That of the amount provided 
for House Information Resources, [$6,260,000] $6,416,000 shall be for 
net expenses of telecommunications: Provided further, That House 
Information Resources is authorized to receive reimbursement from 
Members of the House of Representatives and other governmental entities 
for services provided and such reimbursement shall be deposited in the 
Treasury for credit to this account; for salaries and expenses of the 
Office of the Inspector General, [$3,926,000] $4,040,000; for salaries 
and expenses of the Office of General Counsel, [$840,000] $877,000; for 
the Office of the Chaplain, [$136,000] $139,000; for salaries and 
expenses of the Office of the Parliamentarian, including the 
Parliamentarian and $2,000 for preparing the Digest of Rules, 
[$1,172,000] $1,256,000; for salaries and expenses of the Office of the 
Law Revision Counsel of the House, [$2,045,000] $2,130,000; for salaries 
and expenses of the Office of the Legislative Counsel of the House, 
[$5,085,000] $5,140,000; for salaries and expenses of the Corrections 
Calendar Office, [$825,000] $851,000; and for other authorized 
employees, [$205,000] $213,000.

                         allowances and expenses

    For allowances and expenses as authorized by House resolution or 
law, [$135,422,000] $142,822,000, including: supplies, materials, 
administrative costs and Federal tort claims, [$2,741,000] $3,381,000; 
official mail for committees, leadership offices, and administrative 
offices of the House, $410,000; Government contributions for health, 
retirement, Social Security, and other applicable employee benefits, 
[$131,595,000] $138,355,000; and miscellaneous items including purchase, 
exchange, maintenance, repair and operation of House motor vehicles, 
interparliamentary receptions, and gratuities to heirs of deceased 
employees of the House, $676,000.

                            child care center

    For salaries and expenses of the House of Representatives Child Care 
Center, such amounts as are deposited in the account established by 
section 312(d)(1) of the Legislative Branch Appropriations Act, 1992 (40 
U.S.C. 184g(d)(1)), subject to the level specified in the budget of the 
Center, as submitted to the Committee on Appropriations of the House of 
Representatives. (Congressional Operations Appropriations Act, 2000.)

                                

                       [Administrative Provisions]

    [Sec. 101. (a) Compliance With Admission Requirements.--The General 
Counsel of the House of Representatives and any other counsel in the 
Office of the General Counsel of the House of Representatives, including 
any counsel specially retained by the Office of General Counsel, shall 
be entitled, for the purpose of performing the counsel's functions, to 
enter an appearance in any proceeding before any court of the United 
States or of any State or political subdivision thereof without 
compliance with any requirements for admission to practice before such 
court, except that the authorization conferred by this subsection shall 
not apply with respect to the admission of any such person to practice 
before the United States Supreme Court.]
    [(b) Notification by Attorney General.--The Attorney PGeneral shall 
notify the General Counsel of the House of Representatives with respect 
to any proceeding in which the United States is a party of any 
determination by the Attorney General or Solicitor General not to appeal 
any court decision affecting the constitutionality of an Act or joint 
resolution of Congress within such time as will enable the House to 
direct the General Counsel to intervene as a party in such proceeding 
pursuant to applicable rules of the House of Representatives.]
    [(c) General Counsel Definition.--In this section, the term 
``General Counsel of the House of Representatives'' means--
        (1) the head of the Office of General Counsel established and 
    operating under clause 8 of rule II of the Rules of the House of 
    Representatives;
        (2) the head of any successor office to the Office of General 
    Counsel which is established after the date of the enactment of this 
    Act; and
        (3) any other person authorized and directed in accordance with 
    the Rules of the House of Representatives to provide legal 
    assistance and representation to the House in connection with the 
    matters described in this section.]
    [(d) Effective Date.--The provisions of this section shall become 
effective beginning with the date of the enactment of this Act.]
    [Sec. 102. Section 104(a) of the Legislative Branch Appropriations 
Act, 1999 (Public Law 105-275; 112 Stat. 2439) is amended by striking 
``(2 U.S.C. 59(e)(2))'' and inserting ``(2 U.S.C. 59e(e)(2))''.]
    [Sec. 103. (a) Clarification of Rules Regarding Use of Funds for 
Official Mail.--
        (1) In general.--Section 311(e)(1) of the Legislative Branch 
    Appropriations Act, 1991 (2 U.S.C. 59e(e)(1)) is amended--
                (A) in the matter preceding subparagraph (A), by 
            striking ``There is established'' and all that follows 
            through ``shall be prescribed--'' and inserting the 
            following: ``The use of funds of the House of 
            Representatives which are made available for official mail 
            of Members, officers, and employees of the House of 
            Representatives who are persons entitled to use the 
            congressional frank shall be governed by regulations 
            promulgated--''; and
                (B) in subparagraph (A), by striking ``the Allowance'' 
            and inserting ``official mail (except as provided in 
            subparagraph (B))''.
        (2) Limitations on availability of funds.--Section 311(e)(2) of 
    such Act (2 U.S.C. 59e(e)(2)), as amended by section 104(a) of the 
    Legislative Branch Appropriations Act, 1999, is amended--
                (A) in the matter preceding subparagraph (A), by 
            striking ``The Official Mail Allowance'' and inserting 
            ``Funds used for official mail'';
                (B) by striking subparagraph (A); and
                (C) by redesignating subparagraphs (B) and (C) as 
            subparagraphs (A) and (B).
        (3) Repeal of obsolete transfer authority.--Section 311(e) of 
    such Act (2 U.S.C. 59e(e)) is amended by striking paragraph (3).
        (4) Conforming amendments.--(A) Section 1(a) of House Resolution 
    457, Ninety-second Congress, agreed to July 21, 1971, as enacted 
    into permanent law by chapter IV of the Supplemental Appropriations 
    Act, 1972 (2 U.S.C. 57(a)), is amended by striking ``the Official 
    Mail Allowance'' each place it appears and inserting ``official 
    mail''.
        (B) Section 311(a)(3) of the Legislative Branch Appropriations 
    Act, 1991 (2 U.S.C. 59e(a)(3)) is amended by striking ``costs 
    charged against the Official Mail Allowance for'' and inserting 
    ``costs incurred for official mail by''.]
    [(b) Repeal of Obsolete References to Clerk Hire PAllowance.--
        (1) In general.--Section 104(a) of the House of Representatives 
    Administrative Reform Technical Corrections Act (2 U.S.C. 92(a)) is 
    amended by striking ``clerk hire'' each place it appears.
        (2) Conforming amendment.--The heading of section 104 of such 
    Act (2 U.S.C. 92(a)) is amended by striking ``CLERK HIRE''.]
    [(c) Effective Date.--The amendments made by this section shall 
apply with respect to the first session of the One Hundred Sixth 
Congress and each succeeding session of Congress.]
    [Sec. 104. Requiring Amounts Remaining in Members' PRepresentational 
Allowances to be Used for Deficit Reduction or to Reduce the Federal 
Debt.--Notwithstanding any other provision of law, any amounts 
appropriated under this Act for ``HOUSE OF REPRESENTATIVES--Salaries and 
Expenses--Members' Rep

[[Page 20]]

resentational Allowances'' shall be available only for fiscal year 2000. 
Any amount remaining after all payments are made under such allowances 
for fiscal year 2000 shall be deposited in the Treasury and used for 
deficit reduction (or, if there is no Federal budget deficit after all 
such payments have been made, for reducing the Federal debt, in such 
manner as the Secretary of the Treasury considers appropriate).] 
(Congressional Operations Appropriations Act, 2000.)

                                


 
                               JOINT ITEMS

    For Joint Committees, as follows:

                        Joint Economic Committee

    For salaries and expenses of the Joint Economic Committee, 
[$3,200,000] $3,315,000, to be disbursed by the Secretary of the Senate.

                                

                       Joint Committee on Taxation

    For salaries and expenses of the Joint Committee on Taxation, 
[$6,456,000] $6,747,000, to be disbursed by the Chief Administrative 
Officer of the House.

                                

    For other joint items, as follows:

                    Office of the Attending Physician

    For medical supplies, equipment, and contingent expenses of the 
emergency rooms, and for the Attending Physician and his assistants, 
including: (1) an allowance of $1,500 per month to the Attending 
Physician; (2) an allowance of $500 per month each to three medical 
officers while on duty in the Office of the Attending Physician; (3) an 
allowance of $500 per month to one assistant and $400 per month each not 
to exceed 11 assistants on the basis heretofore provided for such 
assistants; and (4) [$1,002,600] $1,159,904 for reimbursement to the 
Department of the Navy for expenses incurred for staff and equipment 
assigned to the Office of the Attending Physician, which shall be 
advanced and credited to the applicable appropriation or appropriations 
from which such salaries, allowances, and other expenses are payable and 
shall be available for all the purposes thereof, [$1,898,000] 
$1,835,000, to be disbursed by the Chief Administrative Officer of the 
House.

                                

                          Capitol Police Board

                             Capitol Police

                                salaries

    For the Capitol Police Board for salaries of officers, members, and 
employees of the Capitol Police, including overtime, hazardous duty pay 
differential, clothing allowance of not more than $600 each for members 
required to wear civilian attire, and Government contributions for 
health, retirement, Social Security, and other applicable employee 
benefits, [$78,501,000] $101,292,000, of which [$37,725,000] $49,366,000 
is provided to the Sergeant at Arms of the House of Representatives, to 
be disbursed by the Chief Administrative Officer of the House, and 
[$40,776,000] $51,926,000 is provided to the Sergeant at Arms and 
Doorkeeper of the Senate, to be disbursed by the Secretary of the 
Senate: Provided, That, of the amounts appropriated under this heading, 
such amounts as may be necessary may be transferred between the Sergeant 
at Arms of the House of Representatives and the Sergeant at Arms and 
Doorkeeper of the Senate, upon approval of the Committee on 
Appropriations of the House of Representatives and the Committee on 
Appropriations of the Senate.

                            general expenses

    For the Capitol Police Board for necessary expenses of the Capitol 
Police, including motor vehicles, communications and other equipment, 
security equipment and installation, uniforms, weapons, supplies, 
materials, training, medical services, forensic services, stenographic 
services, personal and professional services, the employee assistance 
program, not more than $2,000 for the awards program, postage, telephone 
service, travel advances, relocation of instructor and liaison personnel 
for the Federal Law Enforcement Training Center, and $85 per month for 
extra services performed for the Capitol Police Board by an employee of 
the Sergeant at Arms of the Senate or the House of Representatives 
designated by the Chairman of the Board, [$6,574,000] $9,960,000, to be 
disbursed by the Capitol Police Board or their delegee: Provided, That, 
notwithstanding any other provision of law, the cost of basic training 
for the Capitol Police at the Federal Law Enforcement Training Center 
for fiscal year [2000] 2001 shall be paid by the Secretary of the 
Treasury from funds available to the Department of the Treasury. 
(Congressional Operations Appropriations Act, 2000.)

                                

                        administrative provision

    Sec. [105] 101. Amounts appropriated for fiscal year [2000] 2001 for 
the Capitol Police Board for the Capitol Police may be transferred 
between the headings ``salaries'' and ``general expenses'' upon the 
approval of--
        (1) the Committee on Appropriations of the House of 
    Representatives, in the case of amounts transferred from the 
    appropriation provided to the Sergeant at Arms of the House of 
    Representatives under the heading ``salaries'';
        (2) the Committee on Appropriations of the Senate, in the case 
    of amounts transferred from the appropriation provided to the 
    Sergeant at Arms and Doorkeeper of the Senate under the heading 
    ``salaries''; and
        (3) the Committees on Appropriations of the Senate and the House 
    of Representatives, in the case of other transfers.

                                

            Capitol Guide Service and Special Services Office

     For salaries and expenses of the Capitol Guide Service and Special 
Services Office, [$2,293,000] $2,371,000, to be disbursed by the 
Secretary of the Senate: Provided, That no part of such amount may be 
used to employ more than 43 individuals: Provided further, That the 
Capitol Guide Board is authorized, during emergencies, to employ not 
more than two additional individuals for not more than 120 days each, 
and not more than 10 additional individuals for not more than 6 months 
each, for the Capitol Guide Service.

                                

                      Statements of Appropriations

    For the preparation, under the direction of the Committees on 
Appropriations of the Senate and the House of Representatives, of the 
statements for the [first] second session of the One Hundred Sixth 
Congress, showing appropriations made, indefinite appropriations, and 
contracts authorized, together with a chronological history of the 
regular appropriations Acts as required by law, $30,000, to be paid to 
the persons designated by the chairmen of such committees to supervise 
the work. (Congressional Operations Appropriations Act, 2000.)

                                


 
                          OFFICE OF COMPLIANCE

                              Federal Funds

General and special funds:

                          Salaries and Expenses

    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), [$2,000,000] $2,095,000. (Congressional Operations Appropriations 
Act, 2000.)

               Program and Financing (in millions of dollars)

----------------------------------------------------------------------------
Identification code 09-1600-0-1-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------

    Obligations by program activity:
10.00 Total new obligations.............           2           2           2
----------------------------------------------------------------------------

    Budgetary resources available for obligation:
22.00 New budget authority (gross)......           2           2           2
23.95 Total new obligations.............          -2          -2          -2
----------------------------------------------------------------------------

[[Page 21]]



    New budget authority (gross), detail:
      Discretionary:

40.00   Appropriation...................           2           2           2
----------------------------------------------------------------------------

    Change in unpaid obligations:
73.10 Total new obligations.............           2           2           2
73.20 Total outlays (gross).............          -2          -2          -2
----------------------------------------------------------------------------

    Outlays (gross), detail:
86.90 Outlays from new discretionary 
        authority.......................           2           2           2
----------------------------------------------------------------------------

    Net budget authority and outlays:
89.00 Budget authority..................           2           2           2
90.00 Outlays...........................           2           2           2
---------------------------------------------------------------------------

    The Congressional Accountability Act of 1995 (CAA) established an 
independent Office of Compliance to apply the rights and protections of 
the following eleven labor and employment statutes to covered employees 
within the legislative branch: the Fair Labor Standards Act of 1938, 
Title VII of the Civil Rights Act of 1964, the Americans with 
Disabilities Act of 1990, the Age Discrimination in Employment Act of 
1967, the Family and Medical Leave Act of 1993, the Occupational Safety 
and Health Act of 1970, chapter 71 of title 5 of the U.S. Code (relating 
to Federal service labor-management relations), the Employee Polygraph 
Protection Act of 1988, the Worker Adjustment and Retraining 
Notification Act, the Rehabilitation Act of 1973, and chapter 43 of 
title 38 of the U.S. Code (relating to veterans' employment and 
reemployment).

    The Office provides employees with an independent, neutral dispute 
resolution process, as an alternative to the court system, through which 
they may pursue claims under the laws applied by the CAA. The Office is 
headed by a five-member Board of Directors, who are appointed jointly by 
the House and Senate majority and minority leadership.

               Object Classification (in millions of dollars)

----------------------------------------------------------------------------
Identification code 09-1600-0-1-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------
11.1  Direct obligations: Personnel 
        compensation: Full-time 
        permanent.......................           1           1           1
99.5  Below reporting threshold.........           1           1           1
                                           ---------   ---------  ----------
99.9    Total new obligations...........           2           2           2
---------------------------------------------------------------------------

                              Personnel Summary

----------------------------------------------------------------------------
Identification code 09-1600-0-1-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------
1011  Total compensable workyears: 
        Exempt Full-time equivalent 
        employment......................          17          17          15
---------------------------------------------------------------------------

                                


 
                       CONGRESSIONAL BUDGET OFFICE

                              Federal Funds

General and special funds:

                          Salaries and Expenses

    For salaries and expenses necessary to carry out the provisions of 
the Congressional Budget Act of 1974 (Public Law 93-344), including not 
more than [$2,500] $3,000 to be expended on the certification of the 
Director of the Congressional Budget Office in connection with official 
representation and reception expenses, [$26,221,000] $28,493,000: 
Provided, That no part of such amount may be used for the purchase or 
hire of a passenger motor vehicle. (2 U.S.C. 601 et seq.; Congressional 
Operations Appropriations Act, 2000.)

               Program and Financing (in millions of dollars)

----------------------------------------------------------------------------
Identification code 08-0100-0-1-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------

    Obligations by program activity:
10.00 Total new obligations.............          25          26          28
----------------------------------------------------------------------------

    Budgetary resources available for obligation:
22.00 New budget authority (gross)......          26          26          28
23.95 Total new obligations.............         -25         -26         -28
23.98 Unobligated balance expiring or 
        withdrawn.......................          -1
----------------------------------------------------------------------------

    New budget authority (gross), detail:
      Discretionary:

40.00   Appropriation...................          26          26          28
----------------------------------------------------------------------------

    Change in unpaid obligations:
72.40 Unpaid obligations, start of year: 
        Obligated balance, start of year           2           4           3
73.10 Total new obligations.............          25          26          28
73.20 Total outlays (gross).............         -24         -27         -29
74.40 Unpaid obligations, end of year: 
        Obligated balance, end of year..           4           3           2
----------------------------------------------------------------------------

    Outlays (gross), detail:
86.90 Outlays from new discretionary 
        authority.......................          22          24          26
86.93 Outlays from discretionary 
        balances........................           2           3           3
                                           ---------   ---------  ----------
87.00   Total outlays (gross)...........          24          27          29
----------------------------------------------------------------------------

    Net budget authority and outlays:
89.00 Budget authority..................          26          26          28
90.00 Outlays...........................          24          27          29
---------------------------------------------------------------------------

    The Congressional Budget Office was created by Title II of the 
Congressional Budget and Impoundment Control Act of 1974 (2 U.S.C. 601 
et seq.) to provide assistance to Congress in fulfilling its 
responsibilities to ensure effective congressional control over the 
budgetary process; to determine each year the appropriate level of 
Federal revenues and expenditures; and to establish national budget 
priorities.

               Object Classification (in millions of dollars)

----------------------------------------------------------------------------
Identification code 08-0100-0-1-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------

      Personnel compensation:

11.1    Full-time permanent.............          16          17          18
11.3    Other than full-time permanent..           1           1           1
                                           ---------   ---------  ----------
11.9      Total personnel compensation..          17          18          19
12.1  Civilian personnel benefits.......           4           5           5
25.2  Other services....................           1           1           1
25.3  Purchases of goods and services 
        from Government accounts........           1           1           1
31.0  Equipment.........................           2           1           1
                                           ---------   ---------  ----------
99.0      Subtotal, direct obligations..          25          26          27
99.5  Below reporting threshold.........                                   1
                                           ---------   ---------  ----------
99.9    Total new obligations...........          25          26          28
---------------------------------------------------------------------------

                              Personnel Summary

----------------------------------------------------------------------------
Identification code 08-0100-0-1-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------
1011  Total compensable workyears: 
        Exempt Full-time equivalent 
        employment......................         215         225         228
---------------------------------------------------------------------------

                                

                       [Administrative Provision]

    [Sec. 106. (a) The Director of the Congressional Budget Office shall 
have the authority to make lump-sum payments to enhance staff 
recruitment and to reward exceptional performance by an employee or a 
group of employees.
    (b) Subsection (a) shall apply with respect to fiscal years 
beginning after September 30, 1999.] (Legislative Branch Appropriations 
Act, 2000.)

                                

[Sec. 224. Paragraph (5) of section 201(a) of the Congressional Budget 
Act of 1974 (2 U.S.C. 601(a)) is amended to read as follows:
        ``(5)(A) The Director shall receive compensation at an annual 
    rate of pay that is equal to the lower of--
                ``(i) the highest annual rate of compensation of any 
            officer of the Senate; or
                ``(ii) the highest annual rate of compensation of any 
            officer of the House of Representatives.

[[Page 22]]

        ``(B) The Deputy Director shall receive compensation at an 
    annual rate of pay that is $1,000 less than the annual rate of pay 
    received by the Director, as determined under subparagraph (A).''.] 
    (Miscellaneous Appropriations, 2000, as enacted by section 
    1000(a)(5) of the Consolidated Appropriations Act, 2000 (P.L. 106-
    113).)

                                


 
                        ARCHITECT OF THE CAPITOL

                              Federal Funds

General and special funds:

                      Capitol Buildings and Grounds

                            capitol buildings

                          salaries and expenses

    For salaries for the Architect of the Capitol, the Assistant 
Architect of the Capitol, and other personal services, at rates of pay 
provided by law; for surveys and studies in connection with activities 
under the care of the Architect of the Capitol; for all necessary 
expenses for the maintenance, care and operation of the Capitol and 
electrical substations of the Senate and House office buildings under 
the jurisdiction of the Architect of the Capitol, including furnishings 
and office equipment, including not more than $1,000 for official 
reception and representation expenses, to be expended as the Architect 
of the Capitol may approve; for purchase or exchange, maintenance and 
operation of a passenger motor vehicle; and not to exceed $20,000 for 
attendance, when specifically authorized by the Architect of the 
Capitol, at meetings or conventions in connection with subjects related 
to work under the Architect of the Capitol, [$46,836,000] $60,038,000, 
of which [$4,390,000] $13,935,000 shall remain available until expended. 
(2 U.S.C. 141; 5 U.S.C. 5304, 5306, 5318, 5341-5344, 5346, 5349; 40 
U.S.C. 161, 162, 162a, 163, 163a, 166, 166a-1, 166b-2, 166b-3b, 166b-7, 
166f; Congressional Operations Appropriations Act, 2000.)

               Program and Financing (in millions of dollars)

----------------------------------------------------------------------------
Identification code 01-0105-0-1-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------

    Obligations by program activity:
10.00 Total new obligations.............          43          55          59
----------------------------------------------------------------------------

    Budgetary resources available for obligation:
21.40 Unobligated balance available, 
        start of year...................          17          16           8
22.00 New budget authority (gross)......          45          47          60
22.21 Unobligated balance transferred to 
        other accounts..................          -3
22.22 Unobligated balance transferred 
        from other accounts.............           2
                                           ---------   ---------  ----------
23.90   Total budgetary resources 
          available for obligation......          60          63          68
23.95 Total new obligations.............         -43         -55         -59
23.98 Unobligated balance expiring or 
        withdrawn.......................          -1
24.40 Unobligated balance available, end 
        of year.........................          16           8           9
----------------------------------------------------------------------------

    New budget authority (gross), detail:
      Discretionary:

40.00   Appropriation...................          44          47          60
42.00   Transferred from other accounts.           1
                                           ---------   ---------  ----------
43.00     Appropriation (total 
            discretionary)..............          45          47          60
----------------------------------------------------------------------------

    Change in unpaid obligations:
72.40 Unpaid obligations, start of year: 
        Obligated balance, start of year          10          13           6
73.10 Total new obligations.............          43          55          59
73.20 Total outlays (gross).............         -40         -62         -60
74.40 Unpaid obligations, end of year: 
        Obligated balance, end of year..          13           6           5
----------------------------------------------------------------------------

    Outlays (gross), detail:
86.90 Outlays from new discretionary 
        authority.......................          29          40          49
86.93 Outlays from discretionary 
        balances........................          11          22          12
                                           ---------   ---------  ----------
87.00   Total outlays (gross)...........          40          62          60
----------------------------------------------------------------------------

    Net budget authority and outlays:
89.00 Budget authority..................          45          47          60
90.00 Outlays...........................          40          62          60
---------------------------------------------------------------------------

    Included in this presentation are ``Contingent expenses,'' 
``Alterations and improvements, buildings and grounds, to provide 
facilities for the physically handicapped,'' and ``West central front of 
the Capitol.''

               Object Classification (in millions of dollars)

----------------------------------------------------------------------------
Identification code 01-0105-0-1-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------

      Personnel compensation:

11.1    Full-time permanent.............          14          17          19
11.5    Other personnel compensation....           1           1           1
                                           ---------   ---------  ----------
11.9      Total personnel compensation..          15          18          20
12.1  Civilian personnel benefits.......           7           7           8
13.0  Benefits for former personnel.....                       1           1
23.2  Rental payments to others.........           1           1           1
25.4  Operation and maintenance of 
        facilities......................          19          27          28
26.0  Supplies and materials............           1           1           1
                                           ---------   ---------  ----------
99.9    Total new obligations...........          43          55          59
---------------------------------------------------------------------------

                              Personnel Summary

----------------------------------------------------------------------------
Identification code 01-0105-0-1-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------
1011  Total compensable workyears: 
        Exempt Full-time equivalent 
        employment......................         346         388         388
---------------------------------------------------------------------------

                                

                             capitol grounds

    For all necessary expenses for care and improvement of grounds 
surrounding the Capitol, the Senate and House office buildings, and the 
Capitol Power Plant, [$5,427,000] $6,120,000, of which [$155,000] 
$355,000 shall remain available until expended. (5 U.S.C. 5304, 5306, 
5318, 5341-5344, 5346, 5349; 40 U.S.C. 162, 166a-1, 166b-3b, 166b-7, 
184a, 193a, 223; Congressional Operations Appropriations Act, 2000.)

               Program and Financing (in millions of dollars)

----------------------------------------------------------------------------
Identification code 01-0108-0-1-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------

    Obligations by program activity:
10.00 Total new obligations.............           6          14          12
----------------------------------------------------------------------------

    Budgetary resources available for obligation:
21.40 Unobligated balance available, 
        start of year...................          20          16           7
22.00 New budget authority (gross)......           6           5           6
22.21 Unobligated balance transferred to 
        other accounts..................          -4
                                           ---------   ---------  ----------
23.90   Total budgetary resources 
          available for obligation......          22          21          13
23.95 Total new obligations.............          -6         -14         -12
24.40 Unobligated balance available, end 
        of year.........................          16           7           1
----------------------------------------------------------------------------

    New budget authority (gross), detail:
      Discretionary:

40.00   Appropriation...................           6           5           6
----------------------------------------------------------------------------

    Change in unpaid obligations:
72.40 Unpaid obligations, start of year: 
        Obligated balance, start of year           1           1           1
73.10 Total new obligations.............           6          14          12
73.20 Total outlays (gross).............          -5         -14         -12
74.40 Unpaid obligations, end of year: 
        Obligated balance, end of year..           1           1           1
----------------------------------------------------------------------------

    Outlays (gross), detail:
86.90 Outlays from new discretionary 
        authority.......................           4           5           5
86.93 Outlays from discretionary 
        balances........................           1          10           8
                                           ---------   ---------  ----------
87.00   Total outlays (gross)...........           5          14          12
----------------------------------------------------------------------------

    Net budget authority and outlays:
89.00 Budget authority..................           6           5           6
90.00 Outlays...........................           5          14          12
---------------------------------------------------------------------------

               Object Classification (in millions of dollars)

----------------------------------------------------------------------------
Identification code 01-0108-0-1-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------
11.1  Personnel compensation: Full-time 
        permanent.......................           3           3           3

[[Page 23]]

12.1  Civilian personnel benefits.......           1           1           1
25.2  Other services....................           2          10           8
                                           ---------   ---------  ----------
99.9    Total new obligations...........           6          14          12
---------------------------------------------------------------------------

                              Personnel Summary

----------------------------------------------------------------------------
Identification code 01-0108-0-1-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------
1011  Total compensable workyears: 
        Exempt Full-time equivalent 
        employment......................          70          75          75
---------------------------------------------------------------------------

                                

                         congressional cemetery

               Program and Financing (in millions of dollars)

----------------------------------------------------------------------------
Identification code 01-0110-0-1-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------

    Obligations by program activity:
10.00 Total new obligations (object 
        class 41.0).....................           1
----------------------------------------------------------------------------

    Budgetary resources available for obligation:
22.00 New budget authority (gross)......           1
23.95 Total new obligations.............          -1
----------------------------------------------------------------------------

    New budget authority (gross), detail:
      Discretionary:

40.00   Appropriation...................           1
----------------------------------------------------------------------------

    Change in unpaid obligations:
73.10 Total new obligations.............           1
----------------------------------------------------------------------------

    Outlays (gross), detail:
86.90 Outlays from new discretionary 
        authority.......................           1
----------------------------------------------------------------------------

    Net budget authority and outlays:
89.00 Budget authority..................           1
90.00 Outlays...........................           1
---------------------------------------------------------------------------

                                

                         senate office buildings

    For all necessary expenses for maintenance, care and operation of 
Senate office buildings; and furniture and furnishings to be expended 
under the control and supervision of the Architect of the Capitol, 
[$64,038,000] $66,628,000, of which [$22,305,000] $22,119,000 shall 
remain available until expended. (5 U.S.C. 5304, 5306, 5318, 5341-5344, 
5346, 5349; 40 U.S.C. 166a-1, 166b-2, 166b-3b, 166b-7, 174b, 174b-1, 
174c, 174j-1, 174j-8, 185a; Congressional Operations Appropriations Act, 
2000.)

               Program and Financing (in millions of dollars)

----------------------------------------------------------------------------
Identification code 01-0123-0-1-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------

    Obligations by program activity:
10.00 Total new obligations.............          54          61          60
----------------------------------------------------------------------------

    Budgetary resources available for obligation:
21.40 Unobligated balance available, 
        start of year...................          15          12          15
22.00 New budget authority (gross)......          54          64          67
22.21 Unobligated balance transferred to 
        other accounts..................          -2
                                           ---------   ---------  ----------
23.90   Total budgetary resources 
          available for obligation......          67          76          82
23.95 Total new obligations.............         -54         -61         -60
23.98 Unobligated balance expiring or 
        withdrawn.......................          -1
24.40 Unobligated balance available, end 
        of year.........................          12          15          22
----------------------------------------------------------------------------

    New budget authority (gross), detail:
      Discretionary:

40.00   Appropriation...................          54          64          67
----------------------------------------------------------------------------

    Change in unpaid obligations:
72.40 Unpaid obligations, start of year: 
        Obligated balance, start of year           8          11           5
73.10 Total new obligations.............          54          61          60
73.20 Total outlays (gross).............         -51         -67         -58
74.40 Unpaid obligations, end of year: 
        Obligated balance, end of year..          11           5           6
----------------------------------------------------------------------------

    Outlays (gross), detail:
86.90 Outlays from new discretionary 
        authority.......................          36          47          40
86.93 Outlays from discretionary 
        balances........................          15          19          17
                                           ---------   ---------  ----------
87.00   Total outlays (gross)...........          51          67          58
----------------------------------------------------------------------------

    Net budget authority and outlays:
89.00 Budget authority..................          54          64          67
90.00 Outlays...........................          52          67          58
---------------------------------------------------------------------------

    This presentation includes the Senate restaurant fund.

               Object Classification (in millions of dollars)

----------------------------------------------------------------------------
Identification code 01-0123-0-1-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------

      Personnel compensation:

11.1    Full-time permanent.............          15          19          21
11.5    Other personnel compensation....           3           3           3
                                           ---------   ---------  ----------
11.9      Total personnel compensation..          18          22          24
12.1  Civilian personnel benefits.......           4           6           7
23.3  Communications, utilities, and 
        miscellaneous charges...........           7           7           7
25.4  Operation and maintenance of 
        facilities......................          23          24          19
26.0  Supplies and materials............           1           1           1
31.0  Equipment.........................           1           1           2
                                           ---------   ---------  ----------
99.9    Total new obligations...........          54          61          60
---------------------------------------------------------------------------

                              Personnel Summary

----------------------------------------------------------------------------
Identification code 01-0123-0-1-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------
1011  Total compensable workyears: 
        Exempt Full-time equivalent 
        employment......................         516         609         609
---------------------------------------------------------------------------

                                

                         house office buildings

    For all necessary expenses for the maintenance, care and operation 
of the House office buildings, [$37,279,000] $53,269,000, of which 
[$4,442,000] $18,134,000 shall remain available until expended. (5 
U.S.C. 5304, 5306, 5318, 5341-5344, 5346, 5349; 40 U.S.C. 166a-1, 166b-
2, 166b-3b, 166b-7, 174k, 175, 193a; 45 Stat. 1071-1072; 69 Stat. 41-42; 
Congressional Operations Appropriations Act, 2000.)

               Program and Financing (in millions of dollars)

----------------------------------------------------------------------------
Identification code 01-0127-0-1-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------

    Obligations by program activity:
10.00 Total new obligations.............          38          48          56
----------------------------------------------------------------------------

    Budgetary resources available for obligation:
21.40 Unobligated balance available, 
        start of year...................          11          19           8
22.00 New budget authority (gross)......          48          37          53
                                           ---------   ---------  ----------
23.90   Total budgetary resources 
          available for obligation......          58          56          61
23.95 Total new obligations.............         -38         -48         -56
23.98 Unobligated balance expiring or 
        withdrawn.......................          -1
24.40 Unobligated balance available, end 
        of year.........................          19           8           5
----------------------------------------------------------------------------

    New budget authority (gross), detail:
      Discretionary:

40.00   Appropriation...................          42          37          53
40.15   Appropriation (emergency).......           6
                                           ---------   ---------  ----------
43.00     Appropriation (total 
            discretionary)..............          48          37          53
----------------------------------------------------------------------------

    Change in unpaid obligations:
72.40 Unpaid obligations, start of year: 
        Obligated balance, start of year           5          12           4
73.10 Total new obligations.............          38          48          56
73.20 Total outlays (gross).............         -31         -55         -55
74.40 Unpaid obligations, end of year: 
        Obligated balance, end of year..          12           4           5
----------------------------------------------------------------------------

    Outlays (gross), detail:
86.90 Outlays from new discretionary 
        authority.......................          26          33          43
86.93 Outlays from discretionary 
        balances........................           5          22          12
                                           ---------   ---------  ----------
87.00   Total outlays (gross)...........          31          55          55
----------------------------------------------------------------------------

    Net budget authority and outlays:
89.00 Budget authority..................          48          37          53

[[Page 24]]

90.00 Outlays...........................          31          55          55
---------------------------------------------------------------------------

    This presentation includes the House of Representatives gymnasium 
fund.

               Object Classification (in millions of dollars)

----------------------------------------------------------------------------
Identification code 01-0127-0-1-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------

      Personnel compensation:

11.1    Full-time permanent.............          16          19          21
11.5    Other personnel compensation....           3           3           3
                                           ---------   ---------  ----------
11.9      Total personnel compensation..          19          22          24
12.1  Civilian personnel benefits.......           5           6           6
25.4  Operation and maintenance of 
        facilities......................          13          19          25
26.0  Supplies and materials............           1           1           1
                                           ---------   ---------  ----------
99.9    Total new obligations...........          38          48          56
---------------------------------------------------------------------------

                              Personnel Summary

----------------------------------------------------------------------------
Identification code 01-0127-0-1-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------
1011  Total compensable workyears: 
        Exempt Full-time equivalent 
        employment......................         528         649         649
---------------------------------------------------------------------------

                                

                           capitol power plant

    For all necessary expenses for the maintenance, care and operation 
of the Capitol Power Plant; lighting, heating, power (including the 
purchase of electrical energy) and water and sewer services for the 
Capitol, Senate and House office buildings, Library of Congress 
buildings, and the grounds about the same, Botanic Garden, Senate 
garage, and air conditioning refrigeration not supplied from plants in 
any of such buildings; heating the Government Printing Office and 
Washington City Post Office, and heating and chilled water for air 
conditioning for the Supreme Court Building, the Union Station complex, 
the Thurgood Marshall Federal Judiciary Building and the Folger 
Shakespeare Library, expenses for which shall be advanced or reimbursed 
upon request of the Architect of the Capitol and amounts so received 
shall be deposited into the Treasury to the credit of this 
appropriation, [$38,054,000] $40,872,000, of which [$3,000,000] $873,000 
shall remain available until expended: Provided, That not more than 
[$4,000,000] $4,400,000 of the funds credited or to be reimbursed to 
this appropriation as herein provided shall be available for obligation 
during fiscal year [2000] 2001. (5 U.S.C. 5304, 5306, 5318, 5341-5344, 
5346, 5349; 40 U.S.C. 166a-1, 166b-7, 185; 33 Stat. 479; 34 Stat. 36; 42 
Stat. 767-768; 44 Stat. 1262; 45 Stat. 1071-1072, 1694-1696; 46 Stat. 
51, 583-584; 50 Stat. 9-10; 52 Stat. 392; 62 Stat. 1028-1029; 63 Stat. 
933-934; 68 Stat. 803; 69 Stat. 41; 79 Stat. 987; 85 Stat. 637; 86 Stat. 
1510; 91 Stat. 1374; 95 Stat. 1672; 102 Stat. 2170, 2331; 103 Stat. 
1280-1282; 111 Stat. 2667-2668; Congressional Operations Appropriations 
Act, 2000.)

               Program and Financing (in millions of dollars)

----------------------------------------------------------------------------
Identification code 01-0133-0-1-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------

    Obligations by program activity:
00.01 Direct Program Activity...........          32          42          41
09.01 Reimbursable program..............           4           4           4
                                           ---------   ---------  ----------
10.00   Total new obligations...........          36          46          45
----------------------------------------------------------------------------

    Budgetary resources available for obligation:
21.40 Unobligated balance available, 
        start of year...................           2           7           3
22.00 New budget authority (gross)......          42          42          45
                                           ---------   ---------  ----------
23.90   Total budgetary resources 
          available for obligation......          44          49          48
23.95 Total new obligations.............         -36         -46         -45
23.98 Unobligated balance expiring or 
        withdrawn.......................          -1
24.40 Unobligated balance available, end 
        of year.........................           7           3           3
----------------------------------------------------------------------------

    New budget authority (gross), detail:
      Discretionary:

40.00   Appropriation...................          38          38          41
68.00 Spending authority from offsetting 
        collections: Offsetting 
        collections (cash)..............           4           4           4
                                           ---------   ---------  ----------
70.00   Total new budget authority 
          (gross).......................          42          42          45
----------------------------------------------------------------------------

    Change in unpaid obligations:
72.40 Unpaid obligations, start of year: 
        Obligated balance, start of year           3           4           6
73.10 Total new obligations.............          36          46          45
73.20 Total outlays (gross).............         -36         -44         -44
74.40 Unpaid obligations, end of year: 
        Obligated balance, end of year..           4           6           7
----------------------------------------------------------------------------

    Outlays (gross), detail:
86.90 Outlays from new discretionary 
        authority.......................          32          36          43
86.93 Outlays from discretionary 
        balances........................           4           8           3
                                           ---------   ---------  ----------
87.00   Total outlays (gross)...........          36          44          44
----------------------------------------------------------------------------

    Offsets:
      Against gross budget authority and outlays:

88.00   Offsetting collections (cash) 
          from: Federal sources.........          -4          -4          -4
----------------------------------------------------------------------------

    Net budget authority and outlays:
89.00 Budget authority..................          38          38          41
90.00 Outlays...........................          32          40          44
---------------------------------------------------------------------------

               Object Classification (in millions of dollars)

----------------------------------------------------------------------------
Identification code 01-0133-0-1-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------

      Direct obligations:

11.1    Personnel compensation: Full-
          time permanent................           3           4           4
12.1    Civilian personnel benefits.....           1           1           1
23.3    Communications, utilities, and 
          miscellaneous charges.........          25          27          31
25.4    Operation and maintenance of 
          facilities....................           2           9           3
26.0    Supplies and materials..........           1           1           2
                                           ---------   ---------  ----------
99.0      Subtotal, direct obligations..          32          42          41
99.0  Reimbursable obligations..........           4           4           4
                                           ---------   ---------  ----------
99.9    Total new obligations...........          36          46          45
---------------------------------------------------------------------------

                              Personnel Summary

----------------------------------------------------------------------------
Identification code 01-0133-0-1-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------
    Direct:
1011  Total compensable workyears: 
        Exempt Full-time equivalent 
        employment......................          78          78          78
    Reimbursable:
2011  Total compensable workyears: 
        Exempt Full-time equivalent 
        employment......................          10          19          19
---------------------------------------------------------------------------

                                

                      Library Buildings and Grounds

                     structural and mechanical care

    For all necessary expenses for the mechanical and structural 
maintenance, care and operation of the Library buildings and grounds, 
[$16,033,000] $20,278,000, of which [$3,650,000] $7,150,000 shall remain 
available until expended. (2 U.S.C. 141, 167j; 5 U.S.C. 5304, 5306, 
5318, 5341-5344, 5346, 5349; 40 U.S.C. 166a-1, 166b-3b, 166b-7; 46 Stat. 
583-584; Legislative Branch Appropriations Act, 2000.)

               Program and Financing (in millions of dollars)

----------------------------------------------------------------------------
Identification code 01-0155-0-1-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------

    Obligations by program activity:
10.00 Total new obligations.............          17          18          18
----------------------------------------------------------------------------

    Budgetary resources available for obligation:
21.40 Unobligated balance available, 
        start of year...................           7           7           5
22.00 New budget authority (gross)......          15          16          20
22.22 Unobligated balance transferred 
        from other accounts.............           3
                                           ---------   ---------  ----------

[[Page 25]]


23.90   Total budgetary resources 
          available for obligation......          24          23          25
23.95 Total new obligations.............         -17         -18         -18
24.40 Unobligated balance available, end 
        of year.........................           7           5           6
----------------------------------------------------------------------------

    New budget authority (gross), detail:
      Discretionary:

40.00   Appropriation...................          13          16          20
42.00   Transferred from other accounts.           2
                                           ---------   ---------  ----------
43.00     Appropriation (total 
            discretionary)..............          15          16          20
----------------------------------------------------------------------------

    Change in unpaid obligations:
72.40 Unpaid obligations, start of year: 
        Obligated balance, start of year           5          10           3
73.10 Total new obligations.............          17          18          18
73.20 Total outlays (gross).............         -11         -26         -19
74.40 Unpaid obligations, end of year: 
        Obligated balance, end of year..          10           3           2
----------------------------------------------------------------------------

    Outlays (gross), detail:
86.90 Outlays from new discretionary 
        authority.......................           9          13          14
86.93 Outlays from discretionary 
        balances........................           2          13           7
                                           ---------   ---------  ----------
87.00   Total outlays (gross)...........          11          26          19
----------------------------------------------------------------------------

    Net budget authority and outlays:
89.00 Budget authority..................          15          16          20
90.00 Outlays...........................          11          26          19
---------------------------------------------------------------------------

               Object Classification (in millions of dollars)

----------------------------------------------------------------------------
Identification code 01-0155-0-1-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------

      Personnel compensation:

11.1    Full-time permanent.............           5           6           6
11.5    Other personnel compensation....           1           1           1
                                           ---------   ---------  ----------
11.9      Total personnel compensation..           6           7           7
12.1  Civilian personnel benefits.......           1           1           1
25.4  Operation and maintenance of 
        facilities......................           9           9           9
26.0  Supplies and materials............           1           1           1
                                           ---------   ---------  ----------
99.9    Total new obligations...........          17          18          18
---------------------------------------------------------------------------

                              Personnel Summary

----------------------------------------------------------------------------
Identification code 01-0155-0-1-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------
1011  Total compensable workyears: 
        Exempt Full-time equivalent 
        employment......................         134         144         144
---------------------------------------------------------------------------

                                

                         Capitol Visitor Center

               Program and Financing (in millions of dollars)

----------------------------------------------------------------------------
Identification code 01-0161-0-1-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------

    Obligations by program activity:
10.00 Total new obligations.............                      15          85
----------------------------------------------------------------------------

    Budgetary resources available for obligation:
21.40 Unobligated balance available, 
        start of year...................                     100          85
22.00 New budget authority (gross)......         100
                                           ---------   ---------  ----------
23.90   Total budgetary resources 
          available for obligation......         100         100          85
23.95 Total new obligations.............                     -15         -85
24.40 Unobligated balance available, end 
        of year.........................         100          85
----------------------------------------------------------------------------

    New budget authority (gross), detail:
      Discretionary:

40.15   Appropriation (emergency).......         100
----------------------------------------------------------------------------

    Change in unpaid obligations:
72.40 Unpaid obligations, start of year: 
        Obligated balance, start of year                                   5
73.10 Total new obligations.............                      15          85
73.20 Total outlays (gross).............                     -10         -21
74.40 Unpaid obligations, end of year: 
        Obligated balance, end of year..                       5          69
----------------------------------------------------------------------------

    Outlays (gross), detail:
86.93 Outlays from discretionary 
        balances........................                      10          21
----------------------------------------------------------------------------

    Net budget authority and outlays:
89.00 Budget authority..................         100
90.00 Outlays...........................                      10          21
---------------------------------------------------------------------------

                                

Intragovernmental funds:

        Judiciary Office Building Development and Operations Fund

          (technical adjustment to legislative branch request)

               Program and Financing (in millions of dollars)

----------------------------------------------------------------------------
Identification code 01-4518-0-4-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------

    Obligations by program activity:
09.01 Project management................           6           6           6
09.01 Interest..........................          15          15          15
                                           ---------   ---------  ----------
10.00   Total new obligations...........          21          21          21
----------------------------------------------------------------------------

    Budgetary resources available for obligation:
21.40 Unobligated balance available, 
        start of year...................         474         474         474
22.00 New budget authority (gross)......          21          21          21
                                           ---------   ---------  ----------
23.90   Total budgetary resources 
          available for obligation......         495         495         495
23.95 Total new obligations.............         -21         -21         -21
24.40 Unobligated balance available, end 
        of year.........................         474         474         474
----------------------------------------------------------------------------

    New budget authority (gross), detail:
      Mandatory:

69.00   Offsetting collections (cash)...          23          23          23
69.47   Portion applied to repay debt...          -2          -2          -2
                                           ---------   ---------  ----------
69.90     Spending authority from 
            offsetting collections 
            (total mandatory)...........          21          21          21
----------------------------------------------------------------------------

    Change in unpaid obligations:
73.10 Total new obligations.............          21          21          21
73.20 Total outlays (gross).............         -21         -21         -21
----------------------------------------------------------------------------

    Outlays (gross), detail:
86.97 Outlays from new mandatory 
        authority.......................          21          21          21
----------------------------------------------------------------------------

    Offsets:
      Against gross budget authority and outlays:

        Offsetting collections (cash) 
            from:
          Federal sources:
88.00       Federal sources--Lease 
              Payment...................         -17         -17         -17
88.00       Federal sources--Project 
              Management................          -6          -6          -6
                                           ---------   ---------  ----------
88.90       Total, offsetting 
              collections (cash)........         -23         -23         -23
----------------------------------------------------------------------------

    Net budget authority and outlays:
89.00 Budget authority..................          -2          -2          -2
90.00 Outlays...........................          -1          -2          -2
---------------------------------------------------------------------------

    The Judiciary Office Building Development Act, Public Law 100-480, 
among other purposes, authorizes the Architect of the Capitol to 
contract for the design and construction of a building adjacent to Union 
Station in the District of Columbia to be leased to the Judicial Branch 
of the United States. This schedule reflects the costs associated with 
the construction of the building. Costs of construction were financed by 
an initial $125 million of Federal agency debt (sales price less 
unamortized discount) issued in 1989.

    Estimates prepared by the Legislative Branch assumed the financial 
arrangements to be a lease-purchase, which would distribute outlays 
associated with acquisition of the building over a period of thirty 
years. However, the arrangements involve Federally guaranteed financing 
and other characteristics that make them substantively the same as 
direct Federal construction, financed by direct Federal borrowing. 
Because estimated expenditures of the Legislative Branch are required to 
be included in the budget as submitted and without change, this separate 
schedule is included as an adjustment to reflect direct construction 
costs and associated interest costs, consistent with standard budget 
concepts and scoring conventions.

[[Page 26]]

    Estimates shown are consistent with the requirements of the Budget 
Enforcement Act and are presented with the agreement of the Budget and 
Appropriations Committees.

               Object Classification (in millions of dollars)

----------------------------------------------------------------------------
Identification code 01-4518-0-4-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------
25.2  Other services....................           6           6           6
43.0  Interest and dividends............          15          15          15
                                           ---------   ---------  ----------
99.9    Total new obligations...........          21          21          21
---------------------------------------------------------------------------

                                

                           Gifts and Donations

    This account was established to reflect the transfer of a property 
located at Culpeper, Virginia to the Architect of the Capitol. Schedules 
for this account are not included because the transfer is expected to 
happen after 2001.

                                


 
                             BOTANIC GARDEN

                              Federal Funds

General and special funds:

                          Salaries and Expenses

    For all necessary expenses for the maintenance, care and operation 
of the Botanic Garden and the nurseries, buildings, grounds, and 
collections; and purchase and exchange, maintenance, repair, and 
operation of a passenger motor vehicle; all under the direction of the 
Joint Committee on the Library, [$3,425,000] $4,916,000, of which 
$203,000 shall remain available until expended. (5 U.S.C. 5304, 5306, 
5318, 5341-5344, 5346, 5349; 40 U.S.C. 166a-1, 166b-7, 216, 216b, 216c; 
Legislative Branch Appropriations Act, 2000.)

               Program and Financing (in millions of dollars)

----------------------------------------------------------------------------
Identification code 09-0200-0-1-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------

    Obligations by program activity:
10.00 Total new obligations.............           5           3           8
----------------------------------------------------------------------------

    Budgetary resources available for obligation:
21.40 Unobligated balance available, 
        start of year...................           5           4           4
22.00 New budget authority (gross)......           3           3           5
                                           ---------   ---------  ----------
23.90   Total budgetary resources 
          available for obligation......           8           7           9
23.95 Total new obligations.............          -5          -3          -8
24.40 Unobligated balance available, end 
        of year.........................           4           4           1
----------------------------------------------------------------------------

    New budget authority (gross), detail:
      Discretionary:

40.00   Appropriation...................           3           3           5
----------------------------------------------------------------------------

    Change in unpaid obligations:
72.40 Unpaid obligations, start of year: 
        Obligated balance, start of year          29          26          10
73.10 Total new obligations.............           5           3           8
73.20 Total outlays (gross).............          -8         -19         -17
74.40 Unpaid obligations, end of year: 
        Obligated balance, end of year..          26          10           1
----------------------------------------------------------------------------

    Outlays (gross), detail:
86.90 Outlays from new discretionary 
        authority.......................           3           3           4
86.93 Outlays from discretionary 
        balances........................           6          16          14
                                           ---------   ---------  ----------
87.00   Total outlays (gross)...........           8          19          17
----------------------------------------------------------------------------

    Net budget authority and outlays:
89.00 Budget authority..................           3           3           5
90.00 Outlays...........................           8          19          17
---------------------------------------------------------------------------

               Object Classification (in millions of dollars)

----------------------------------------------------------------------------
Identification code 09-0200-0-1-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------
11.1  Personnel compensation: Full-time 
        permanent.......................           2           2           3
12.1  Civilian personnel benefits.......                       1           1
25.2  Other services....................           3                       4
                                           ---------   ---------  ----------
99.9    Total new obligations...........           5           3           8
---------------------------------------------------------------------------

                              Personnel Summary

----------------------------------------------------------------------------
Identification code 09-0200-0-1-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------
1011  Total compensable workyears: 
        Exempt Full-time equivalent 
        employment......................          40          50          50
---------------------------------------------------------------------------

                                

                               Trust Funds

                           Gifts and Donations

              Unavailable Collections (in millions of dollars)

----------------------------------------------------------------------------
Identification code 09-8292-0-7-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------
    Balance, start of year:
01.99 Balance, start of year............
    Receipts:
02.01 Botanic Garden....................                       6           2
    Appropriation:
05.01 Botanic Garden: Gifts and 
        donations.......................                      -6          -2
                                           ---------   ---------  ----------
07.99 Total balance, end of year........
---------------------------------------------------------------------------

               Program and Financing (in millions of dollars)

----------------------------------------------------------------------------
Identification code 09-8292-0-7-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------

    Obligations by program activity:
10.00 Total new obligations (object 
        class 25.2).....................                       6           2
----------------------------------------------------------------------------

    Budgetary resources available for obligation:
22.00 New budget authority (gross)......                       6           2
23.95 Total new obligations.............                      -6          -2
----------------------------------------------------------------------------

    New budget authority (gross), detail:
      Mandatory:

60.27   Appropriation (trust fund, 
          indefinite)...................                       6           2
----------------------------------------------------------------------------

    Change in unpaid obligations:
73.10 Total new obligations.............                       6           2
73.20 Total outlays (gross).............                      -6          -2
----------------------------------------------------------------------------

    Outlays (gross), detail:
86.97 Outlays from new mandatory 
        authority.......................                       6           2
----------------------------------------------------------------------------

    Net budget authority and outlays:
89.00 Budget authority..................                       6           2
90.00 Outlays...........................                       6           2
---------------------------------------------------------------------------

    Pursuant to 40 U.S.C. 216c, as amended, the Architect of the 
Capitol, subject to the direction of the Joint Committee on the Library, 
is authorized to construct a National Garden and to solicit and accept 
certain gifts on behalf of the United States Botanic Garden for the 
purpose of constructing the National Garden, or for the general benefit 
of the Botanic Garden and the renovation of the Botanic Garden 
conservatory, to deposit such gift funds in the Treasury of the United 
States, and, subject to approval in appropriations Acts, to obligate and 
expend such sums.

                                


 
                           LIBRARY OF CONGRESS

                              Federal Funds

General and special funds:

                          Salaries and Expenses

    For necessary expenses of the Library of Congress not otherwise 
provided for, including development and maintenance of the Union

[[Page 27]]

Catalogs; custody and custodial care of the Library buildings; special 
clothing; cleaning, laundering and repair of uniforms; preservation of 
motion pictures in the custody of the Library; operation and maintenance 
of the American Folklife Center in the Library; preparation and 
distribution of catalog records and other publications of the Library; 
hire or purchase of one passenger motor vehicle; and expenses of the 
Library of Congress Trust Fund Board not properly chargeable to the 
income of any trust fund held by the Board, [$256,779,000] $292,174,000, 
of which not more than $6,500,000 shall be derived from collections 
credited to this appropriation during fiscal year [2000] 2001, and shall 
remain available until expended, under the Act of June 28, 1902 (chapter 
1301; 32 Stat. 480; 2 U.S.C. 150) and not more than $350,000 shall be 
derived from collections during fiscal year [2000] 2001 and shall remain 
available until expended for the development and maintenance of an 
international legal information database and activities related thereto: 
Provided, That the Library of Congress may not obligate or expend any 
funds derived from collections under the Act of June 28, 1902, in excess 
of the amount authorized for obligation or expenditure in appropriations 
Acts: Provided further, That the total amount available for obligation 
shall be reduced by the amount by which collections are less than the 
$6,850,000: Provided further, That of the total amount appropriated, 
[$10,321,380] $10,654,380 is to remain available until expended for 
acquisition of books, periodicals, newspapers, and all other materials 
including subscriptions for bibliographic services for the Library, 
including $40,000 to be available solely for the purchase, when 
specifically approved by the Librarian, of special and unique materials 
for additions to the collections: Provided further, That of the total 
amount appropriated, [$2,347,000] $2,506,000 is to remain available 
until expended for the acquisition and partial support for 
implementation of an Integrated Library System (ILS): Provided further, 
That of the total amount appropriated, [$5,579,000] $5,557,800 is to 
remain available until expended for the purpose of teaching educators 
how to incorporate the Library's digital collections into school 
curricula, which amount shall be transferred to the educational 
consortium formed to conduct the ``Joining Hands Across America: Local 
Community Initiative'' project as approved by the Library[: Provided 
further, That of the total amount appropriated, $600,000 is to remain 
available until expended for the purpose of digitizing archival 
materials relating to ethnic groups of California, including Japanese 
Americans, which amount shall be transferred to an educational archive 
able to conduct such a project as approved by the Library]. (2 U.S.C. 
131-182; 5 U.S.C. 5102, 5305, 5318, 7901-7903; 17 U.S.C. 201-205; 20 
U.S.C. 91, 2101-2107; 28 U.S.C. 2672; 36 U.S.C. 5701-5708; 41 U.S.C. 
2531-2532, 254c; 44 U.S.C. 1718, 1719; Legislative Branch Appropriations 
Act, 2000.)

               Program and Financing (in millions of dollars)

----------------------------------------------------------------------------
Identification code 03-0101-0-1-503      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------

    Obligations by program activity:
      Direct program:

00.01   Library services................         150         152         175
00.02   Law library.....................           6           7           8
00.03   Management support services.....          84          90         102
09.01 Reimbursable program--Interagency.          62          86          80
09.02 Reimbursable program--Library 
        Services........................           5           7           7
                                           ---------   ---------  ----------
10.00   Total new obligations...........         307         342         372
----------------------------------------------------------------------------

    Budgetary resources available for obligation:
21.40 Unobligated balance available, 
        start of year...................           6          10          11
22.00 New budget authority (gross)......         310         342         372
22.10 Resources available from 
        recoveries of prior year 
        obligations.....................           2           1           1
                                           ---------   ---------  ----------
23.90   Total budgetary resources 
          available for obligation......         318         353         384
23.95 Total new obligations.............        -307        -342        -372
23.98 Unobligated balance expiring or 
        withdrawn.......................          -1          -1          -1
24.40 Unobligated balance available, end 
        of year.........................          10          11          12
----------------------------------------------------------------------------

    New budget authority (gross), detail:
      Discretionary:

40.00   Appropriation...................         232         250         285
40.76   Reduction pursuant to P.L. 106-
          113...........................                      -1
42.00   Transferred from other accounts.          13
                                           ---------   ---------  ----------
43.00     Appropriation (total 
            discretionary)..............         245         249         285
      Spending authority from offsetting 
          collections:

68.00   Offsetting collections (cash)...          66          93          87
68.10   From Federal sources: Change in 
          receivables and unpaid, 
          unfilled orders...............          -1
                                           ---------   ---------  ----------
68.90     Spending authority from 
            offsetting collections 
            (total discretionary).......          65          93          87
                                           ---------   ---------  ----------
70.00   Total new budget authority 
          (gross).......................         310         342         372
----------------------------------------------------------------------------

    Change in unpaid obligations:
      Unpaid obligations, start of year:

72.40   Obligated balance, start of year          73          75         100
72.95   From Federal sources: 
          Receivables and unpaid, 
          unfilled orders...............           5           4           4
                                           ---------   ---------  ----------
72.99     Total unpaid obligations, 
            start of year...............          78          79         104
73.10 Total new obligations.............         307         342         372
73.20 Total outlays (gross).............        -301        -316        -356
73.40 Adjustments in expired accounts 
        (net)...........................          -3
73.45 Adjustments in unexpired accounts.          -2          -1          -1
      Unpaid obligations, end of year:

74.40   Obligated balance, end of year..          75         100         115
74.95   From Federal sources: 
          Receivables and unpaid, 
          unfilled orders...............           4           4           4
                                           ---------   ---------  ----------
74.99     Total unpaid obligations, end 
            of year.....................          79         104         119
----------------------------------------------------------------------------

    Outlays (gross), detail:
86.90 Outlays from new discretionary 
        authority.......................         251         271         297
86.93 Outlays from discretionary 
        balances........................          50          45          58
                                           ---------   ---------  ----------
87.00   Total outlays (gross)...........         301         316         356
----------------------------------------------------------------------------

    Offsets:
      Against gross budget authority and outlays:

        Offsetting collections (cash) 
            from:
88.40     Non-Federal sources...........          -6          -6          -6
88.45     Offsetting governmental 
            collections from the public.         -60         -87         -81
                                           ---------   ---------  ----------
88.90       Total, offsetting 
              collections (cash)........         -66         -93         -87
      Against gross budget authority only:

88.95   From Federal sources: Change in 
          receivables and unpaid, 
          unfilled orders...............           1
----------------------------------------------------------------------------

    Net budget authority and outlays:
89.00 Budget authority..................         245         249         285
90.00 Outlays...........................         236         223         269
---------------------------------------------------------------------------

    Personal services and necessary expenses to provide support for the 
basic operations of the Library are financed from this appropriation.

    Library services.--Library Services has as its mission the 
acquisition of materials; the cataloging, classification, and 
preparation of materials for use; serving the public and maintaining and 
managing the Library's universal collections, which are the largest in 
the world; and, the preservation of materials for use now and in the 
future. It also develops, produces, markets, and distributes the printed 
catalog records, cataloging data in machine-readable form, book 
catalogs, technical publications and selected bibliographies made 
available from the automated databases. It contributes directly to the 
Nation's educational intellectual life through programs that interpret 
the Library's resources and promotes the use of its unparalleled 
collections. Library Services provides many basic technical services to 
the Library of Congress as well as the world's research and library 
communities. Finally, this program coordinates Federal library and 
information resources.

    Law library.--The Law Library is responsible for the custody, 
development, and service of the law collection, in all formats, of the 
Library of Congress and functions as the foreign and international law 
research arm of the United States Congress.

    Management support services.--This activity supports the executive 
staff of the Office of the Librarian: budget and finance; human 
resources; contracts and logistics; buildings management; automation; 
and other centralized services. It also includes rental of space off 
Capitol Hill.

[[Page 28]]

               Object Classification (in millions of dollars)

----------------------------------------------------------------------------
Identification code 03-0101-0-1-503      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------

      Direct obligations:

        Personnel compensation:
11.1      Full-time permanent...........         135         144         161
11.3      Other than full-time permanent           1           1           1
11.5      Other personnel compensation..           4           2           2
                                           ---------   ---------  ----------
11.9        Total personnel compensation         140         147         164
12.1    Civilian personnel benefits.....          28          29          34
21.0    Travel and transportation of 
          persons.......................           1           1           1
23.1    Rental payments to GSA..........           2           3           3
23.3    Communications, utilities, and 
          miscellaneous charges.........           3           5           4
24.0    Printing and reproduction.......           3           4           4
25.1    Advisory and assistance services           4           3           6
25.2    Other services..................          17          13          18
25.3    Purchases of goods and services 
          from Government accounts......           2           2           2
25.4    Operation and maintenance of 
          facilities....................           4           4           4
25.7    Operation and maintenance of 
          equipment.....................           5           5           5
26.0    Supplies and materials..........           2           3           3
31.0    Equipment.......................          27          24          30
41.0    Grants, subsidies, and 
          contributions.................           2           6           6
                                           ---------   ---------  ----------
99.0      Subtotal, direct obligations..         240         249         284
99.0  Reimbursable obligations..........          66          92          87
99.5  Below reporting threshold.........           1           1           1
                                           ---------   ---------  ----------
99.9    Total new obligations...........         307         342         372
---------------------------------------------------------------------------

                              Personnel Summary

----------------------------------------------------------------------------
Identification code 03-0101-0-1-503      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------
    Direct:
1011  Total compensable workyears: 
        Exempt Full-time equivalent 
        employment......................       2,569       2,646       2,837
    Reimbursable:
2011  Total compensable workyears: 
        Exempt Full-time equivalent 
        employment......................         147         157         156
---------------------------------------------------------------------------

                                

                            Copyright Office

                          salaries and expenses

    For necessary expenses of the Copyright Office, [$37,628,000] 
$38,903,000, of which not more than [$20,800,000] $21,000,000, to remain 
available until expended, shall be derived from collections credited to 
this appropriation during fiscal year [2000] 2001 under 17 U.S.C. 
708(d): Provided, That the Copyright Office may not obligate or expend 
any funds derived from collections under 17 U.S.C. 708(d), in excess of 
the amount authorized for obligation or expenditure in appropriations 
Acts: Provided further, That not more than [$5,454,000] $5,783,000 shall 
be derived from collections during fiscal year [2000] 2001 under 17 
U.S.C. 111(d)(2), 119(b)(2), 802(h), and 1005: Provided further, That 
the total amount available for obligation shall be reduced by the amount 
by which collections are less than [$26,254,000] $26,783,000: Provided 
further, That not more than $100,000 of the amount appropriated is 
available for the maintenance of an ``International Copyright 
Institute'' in the Copyright Office of the Library of Congress for the 
purpose of training nationals of developing countries in intellectual 
property laws and policies: Provided further, That not more than $4,250 
may be expended, on the certification of the Librarian of Congress, in 
connection with official representation and reception expenses for 
activities of the International Copyright Institute and for copyright 
delegations, visitors, and seminars. (17 U.S.C. 101-710, 801-803, 901-
914; 5 U.S.C. 5305; 2 U.S.C. 169; 41 U.S.C. 2531-2532, 254c; Legislative 
Branch Appropriations Act, 2000.)

               Program and Financing (in millions of dollars)

----------------------------------------------------------------------------
Identification code 03-0102-0-1-376      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------

    Obligations by program activity:
00.01 Registration, recordation, 
        cataloging, acquisitions, and 
        public reference................          14          11          12
      Reimbursable obligations by program activity:

09.01   Registration, recordation, 
          cataloging, acquisitions, and 
          public reference..............          15          21          21
09.02   Licensing.......................           3           3           3
09.03   Arbitration royalty panels......                       2           3
                                           ---------   ---------  ----------
10.00   Total new obligations...........          32          37          39
----------------------------------------------------------------------------

    Budgetary resources available for obligation:
21.40 Unobligated balance available, 
        start of year...................           1           2           2
22.00 New budget authority (gross)......          33          37          39
                                           ---------   ---------  ----------
23.90   Total budgetary resources 
          available for obligation......          34          39          41
23.95 Total new obligations.............         -32         -37         -39
24.40 Unobligated balance available, end 
        of year.........................           2           2           2
----------------------------------------------------------------------------

    New budget authority (gross), detail:
      Discretionary:

40.00   Appropriation...................          14          11          12
68.00 Spending authority from offsetting 
        collections: Offsetting 
        collections (cash)..............          19          26          27
                                           ---------   ---------  ----------
70.00   Total new budget authority 
          (gross).......................          33          37          39
----------------------------------------------------------------------------

    Change in unpaid obligations:
72.40 Unpaid obligations, start of year: 
        Obligated balance, start of year           2           3           7
73.10 Total new obligations.............          32          37          39
73.20 Total outlays (gross).............         -31         -33         -36
74.40 Unpaid obligations, end of year: 
        Obligated balance, end of year..           3           7          10
----------------------------------------------------------------------------

    Outlays (gross), detail:
86.90 Outlays from new discretionary 
        authority.......................          29          31          33
86.93 Outlays from discretionary 
        balances........................           2           2           3
                                           ---------   ---------  ----------
87.00   Total outlays (gross)...........          31          33          36
----------------------------------------------------------------------------

    Offsets:
      Against gross budget authority and outlays:

88.40   Offsetting collections (cash) 
          from: Non-Federal sources.....         -19         -26         -27
----------------------------------------------------------------------------

    Net budget authority and outlays:
89.00 Budget authority..................          14          11          12
90.00 Outlays...........................          13           7           9
---------------------------------------------------------------------------

    The Office is conducted for the most part on a self-sustaining 
basis. The amount requested is substantially counterbalanced by fees 
received for services rendered and the value of books and other library 
materials deposited in accordance with the Copyright Act and transferred 
to the Library of Congress. The income and obligations for 1999, and 
estimates for 2000 and 2001 are as follows:

                                     1999 actual  2000 est.   2001 est.
Income:
  Gross receipts.................... $19,397,524 $26,254,000 $26,783,000
  Estimated value of materials 
    deposited and transferred to the 
    Library of Congress.............  36,435,429  44,000,000  52,000,000
                                    ------------------------------------
      Total income.................. $55,832,953 $70,254,000 $78,783,000
                                    ====================================
Obligations......................... $31,704,693 $37,485,000 $38,854,000

    Registration, recordation, cataloging, acquisitions, and public 
reference.--The Copyright Office is responsible for registering and 
recording copyright claims, assignments, and renewals, for supplying 
copyright information to the public, for collecting and accounting for 
copyright fees, and for publishing complete and indexed catalogs for 
each class of copyright entries. These activities are predicated on an 
estimated 615,000 copyright registrations during 2001, an estimated 
605,000 during 2000, and registrations of 594,501 during 1999.

    Licensing Division.--The Licensing Division performs the 
responsibilities connected with the licensing activities of cable 
television stations and satellite carriers and the licensing of digital 
audio recording devices and media.

    Copyright Arbitration Royalty Panels (CARP).--The CARP unit is 
responsible for administering procedures which are necessary for rate-
making and distribution of royalties that

[[Page 29]]

are paid under cable, satellite and other compulsory licenses in the 
copyright law. These duties were formerly the responsibility of the 
Copyright Royalty Tribunal; unless the interested parties can come to 
agreement, distribution and rate-making are now established by 
arbitration panels whose work is reviewed by the Register of Copyrights 
and the Librarian of Congress.

               Object Classification (in millions of dollars)

----------------------------------------------------------------------------
Identification code 03-0102-0-1-376      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------

      Direct obligations:

11.1    Personnel compensation: Full-
          time permanent................           9           8           9
12.1    Civilian personnel benefits.....           2           2           2
25.5    Research and development 
          contracts.....................           1
31.0    Equipment.......................           1
                                           ---------   ---------  ----------
99.0      Subtotal, direct obligations..          13          10          11
99.0  Reimbursable obligations..........          16          24          25
99.5  Below reporting threshold.........           3           3           3
                                           ---------   ---------  ----------
99.9    Total new obligations...........          32          37          39
---------------------------------------------------------------------------

                              Personnel Summary

----------------------------------------------------------------------------
Identification code 03-0102-0-1-376      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------
    Direct:
1011  Total compensable workyears: 
        Exempt Full-time equivalent 
        employment......................         211         169         177
    Reimbursable:
2011  Total compensable workyears: 
        Exempt Full-time equivalent 
        employment......................         277         347         340
---------------------------------------------------------------------------

                                

                     Congressional Research Service

                          salaries and expenses

    For necessary expenses to carry out the provisions of section 203 of 
the Legislative Reorganization Act of 1946 (2 U.S.C. 166) and to revise 
and extend the Annotated Constitution of the United States of America, 
[$71,244,000] $75,640,000: Provided, That no part of such amount may be 
used to pay any salary or expense in connection with any publication, or 
preparation of material therefor (except the Digest of Public General 
Bills), to be issued by the Library of Congress unless such publication 
has obtained prior approval of either the Committee on House 
Administration of the House of Representatives or the Committee on Rules 
and Administration of the Senate. (2 U.S.C. 166, 168-168d, 169; 5 U.S.C. 
5305, 5318; 41 U.S.C. 2531-2532, 254c; Congressional Operations 
Appropriations Act, 2000.)

               Program and Financing (in millions of dollars)

----------------------------------------------------------------------------
Identification code 03-0127-0-1-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------

    Obligations by program activity:
00.01 Policy analysis and research......          47          50          54
00.02 Information and legislative 
        documentation...................          10          11          11
00.03 Executive direction and support...          10          10          11
                                           ---------   ---------  ----------
10.00   Total new obligations...........          67          71          76
----------------------------------------------------------------------------

    Budgetary resources available for obligation:
22.00 New budget authority (gross)......          67          71          76
23.95 Total new obligations.............         -67         -71         -76
----------------------------------------------------------------------------

    New budget authority (gross), detail:
      Discretionary:

40.00   Appropriation...................          67          71          76
----------------------------------------------------------------------------

    Change in unpaid obligations:
72.40 Unpaid obligations, start of year: 
        Obligated balance, start of year           6           6           7
73.10 Total new obligations.............          67          71          76
73.20 Total outlays (gross).............         -67         -70         -75
74.40 Unpaid obligations, end of year: 
        Obligated balance, end of year..           6           7           8
----------------------------------------------------------------------------

    Outlays (gross), detail:
86.90 Outlays from new discretionary 
        authority.......................          61          65          69
86.93 Outlays from discretionary 
        balances........................           6           5           6
                                           ---------   ---------  ----------
87.00   Total outlays (gross)...........          67          70          75
----------------------------------------------------------------------------

    Net budget authority and outlays:
89.00 Budget authority..................          67          71          76
90.00 Outlays...........................          67          70          75
---------------------------------------------------------------------------

    The Congressional Research Service (CRS) works exclusively and 
directly for all Members and committees of the Congress in support of 
their legislative, oversight, and representative functions. The Service 
provides research, analysis, and informational services that are timely, 
objective, nonpartisan, and confidential. The CRS staff responds to and 
anticipates congressional needs and addresses policy issues in an 
interdisciplinary, integrative manner. The Service maintains close ties 
with the Congress and, consistent with its broad congressional mandate, 
provides a wide variety of services with the goal of contributing to an 
informed national legislature.

               Object Classification (in millions of dollars)

----------------------------------------------------------------------------
Identification code 03-0127-0-1-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------
11.1  Personnel compensation: Full-time 
        permanent.......................          50          53          56
12.1  Civilian personnel benefits.......           9          10          11
23.3  Communications, utilities, and 
        miscellaneous charges...........           1           1           1
25.1  Advisory and assistance services..           1           1           1
25.2  Other services....................           2           2           2
26.0  Supplies and materials............           2           2           2
31.0  Equipment.........................           1           1           1
                                           ---------   ---------  ----------
99.0      Subtotal, direct obligations..          66          70          74
99.5  Below reporting threshold.........           1           1           2
                                           ---------   ---------  ----------
99.9    Total new obligations...........          67          71          76
---------------------------------------------------------------------------

                              Personnel Summary

----------------------------------------------------------------------------
Identification code 03-0127-0-1-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------
1011  Total compensable workyears: 
        Exempt Full-time equivalent 
        employment......................         703         747         747
---------------------------------------------------------------------------

                                

             Books for the Blind and Physically Handicapped

                          salaries and expenses

    For salaries and expenses to carry out the Act of March 3, 1931 
(chapter 400; 46 Stat. 1487; 2 U.S.C. 135a), [$47,984,000] $48,983,000, 
of which [$14,019,000] $14,299,000 shall remain available until 
expended. (2 U.S.C. 135a, 135a-1, 135b, 169; 5 U.S.C. 5305; 41 U.S.C. 
2531-2532, 254c; Legislative Branch Appropriations Act, 2000.)

               Program and Financing (in millions of dollars)

----------------------------------------------------------------------------
Identification code 03-0141-0-1-503      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------

    Obligations by program activity:
00.01 Direct service to users...........          38          39          40
00.02 Support services..................           9           9           9
                                           ---------   ---------  ----------
10.00   Total new obligations...........          47          48          49
----------------------------------------------------------------------------

    Budgetary resources available for obligation:
22.00 New budget authority (gross)......          47          48          49
23.95 Total new obligations.............         -47         -48         -49
----------------------------------------------------------------------------

    New budget authority (gross), detail:
      Discretionary:

40.00   Appropriation...................          47          48          49
----------------------------------------------------------------------------

    Change in unpaid obligations:
72.40 Unpaid obligations, start of year: 
        Obligated balance, start of year          28          29          32
73.10 Total new obligations.............          47          48          49
73.20 Total outlays (gross).............         -45         -45         -47
74.40 Unpaid obligations, end of year: 
        Obligated balance, end of year..          29          32          34
----------------------------------------------------------------------------

[[Page 30]]



    Outlays (gross), detail:
86.90 Outlays from new discretionary 
        authority.......................          21          22          22
86.93 Outlays from discretionary 
        balances........................          24          23          25
                                           ---------   ---------  ----------
87.00   Total outlays (gross)...........          45          45          47
----------------------------------------------------------------------------

    Net budget authority and outlays:
89.00 Budget authority..................          47          48          49
90.00 Outlays...........................          45          45          47
---------------------------------------------------------------------------

    The National Library Service for the Blind and Physically 
Handicapped (NLS) is responsible for administering a national program to 
provide reading material for blind and physically handicapped residents 
of the United States, its outlying areas, and for U.S. citizens residing 
abroad.

    Direct service to users.--During the past five-year period, 1995-
1999, the blind and physically handicapped readership throughout the 
country ranged from 764,600 to 772,100 and circulation ranged from 
approximately 22,665,000 units (volumes and containers) to almost 
22,900,000.

    Support services.--A variety of professional, technical, and 
clerical functions are performed by the NLS staff. A combined total of 
15,400 interlibrary loan searches and requests for information 
concerning library and related services available to the blind and to 
other physically handicapped persons were received in 1999.

               Object Classification (in millions of dollars)

----------------------------------------------------------------------------
Identification code 03-0141-0-1-503      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------
11.1  Personnel compensation: Full-time 
        permanent.......................           6           6           6
12.1  Civilian personnel benefits.......           1           1           1
23.1  Rental payments to GSA............           1           1           1
24.0  Printing and reproduction.........           1           1           1
25.2  Other services....................           2           3           3
25.5  Research and development contracts           1
25.7  Operation and maintenance of 
        equipment.......................                       1           1
26.0  Supplies and materials............           2           2           2
31.0  Equipment.........................          32          32          33
                                           ---------   ---------  ----------
99.0      Subtotal, direct obligations..          46          47          48
99.5  Below reporting threshold.........           1           1           1
                                           ---------   ---------  ----------
99.9    Total new obligations...........          47          48          49
---------------------------------------------------------------------------

                              Personnel Summary

----------------------------------------------------------------------------
Identification code 03-0141-0-1-503      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------
1011  Total compensable workyears: 
        Exempt Full-time equivalent 
        employment......................         123         121         121
---------------------------------------------------------------------------

                                

                        Furniture and Furnishings

    For necessary expenses for the purchase, installation, maintenance, 
and repair of furniture, furnishings, office and library equipment, 
[$5,415,000] $6,020,000. (2 U.S.C. 141, 169; 41 U.S.C. 2531-2532, 254c; 
Legislative Branch Appropriations Act, 2000.)

               Program and Financing (in millions of dollars)

----------------------------------------------------------------------------
Identification code 03-0146-0-1-503      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------

    Obligations by program activity:
00.01 Replacement furniture and 
        furnishings.....................           4           5           6
00.02 Jefferson and Adams Buildings, 
        furniture and furnishings.......           1           1           1
                                           ---------   ---------  ----------
10.00   Total new obligations...........           5           6           7
----------------------------------------------------------------------------

    Budgetary resources available for obligation:
21.40 Unobligated balance available, 
        start of year...................           3           2           1
22.00 New budget authority (gross)......           4           5           6
                                           ---------   ---------  ----------
23.90   Total budgetary resources 
          available for obligation......           7           7           7
23.95 Total new obligations.............          -5          -6          -7
24.40 Unobligated balance available, end 
        of year.........................           2           1
----------------------------------------------------------------------------

    New budget authority (gross), detail:
      Discretionary:

40.00   Appropriation...................           4           5           6
----------------------------------------------------------------------------

    Change in unpaid obligations:
72.40 Unpaid obligations, start of year: 
        Obligated balance, start of year           3           4           6
73.10 Total new obligations.............           5           6           7
73.20 Total outlays (gross).............          -4          -4          -5
74.40 Unpaid obligations, end of year: 
        Obligated balance, end of year..           4           6           8
----------------------------------------------------------------------------

    Outlays (gross), detail:
86.90 Outlays from new discretionary 
        authority.......................           2           2           3
86.93 Outlays from discretionary 
        balances........................           2           2           2
                                           ---------   ---------  ----------
87.00   Total outlays (gross)...........           4           4           5
----------------------------------------------------------------------------

    Net budget authority and outlays:
89.00 Budget authority..................           4           5           6
90.00 Outlays...........................           4           4           5
---------------------------------------------------------------------------

    This activity provides for the purchase, installation, maintenance, 
and repair of furniture, furnishings, and office and library equipment 
to support Library operations.

               Object Classification (in millions of dollars)

----------------------------------------------------------------------------
Identification code 03-0146-0-1-503      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------

      Equipment:

31.0    Annual furniture and equipment..           4           5           6
31.0    Furnishings in Jefferson and 
          Adams Buildings...............           1           1           1
                                           ---------   ---------  ----------
99.9    Total new obligations...........           5           6           7
---------------------------------------------------------------------------

                                

                      Payments to Copyright Owners

              Unavailable Collections (in millions of dollars)

----------------------------------------------------------------------------
Identification code 03-5175-0-2-376      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------
    Balance, start of year:
01.99 Balance, start of year............
    Receipts:
02.01 Fees from cable television, 
        satellite, and DART, Copyright 
        Office..........................         215         159         174
02.02 Interest on investments in public 
        debt securities, Copyright 
        Office..........................          28          21          38
                                           ---------   ---------  ----------
02.99   Total receipts..................         243         180         212
    Appropriation:
05.01 Payments to copyright owners......        -243        -180        -212
                                           ---------   ---------  ----------
07.99 Total balance, end of year........
---------------------------------------------------------------------------

               Program and Financing (in millions of dollars)

----------------------------------------------------------------------------
Identification code 03-5175-0-2-376      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------

    Obligations by program activity:
00.01 Licensing costs...................           3           3           3
00.02 Arbitration royalty panels........           2           2           3
00.03 Payments to copyright owners......         169         450          83
                                           ---------   ---------  ----------
10.00   Total new obligations...........         174         455          89
----------------------------------------------------------------------------

    Budgetary resources available for obligation:
21.40 Unobligated balance available, 
        start of year...................         703         772         497
22.00 New budget authority (gross)......         243         180         212
                                           ---------   ---------  ----------
23.90   Total budgetary resources 
          available for obligation......         946         952         709
23.95 Total new obligations.............        -174        -455         -89
24.40 Unobligated balance available, end 
        of year.........................         772         497         620
----------------------------------------------------------------------------

[[Page 31]]



    New budget authority (gross), detail:
      Mandatory:

60.25   Appropriation (special fund, 
          indefinite)...................         243         180         212
----------------------------------------------------------------------------

    Change in unpaid obligations:
73.10 Total new obligations.............         174         455          89
73.20 Total outlays (gross).............        -174        -455         -89
----------------------------------------------------------------------------

    Outlays (gross), detail:
86.97 Outlays from new mandatory 
        authority.......................           5           5           6
86.98 Outlays from mandatory balances...         169         450          83
                                           ---------   ---------  ----------
87.00   Total outlays (gross)...........         174         455          89
----------------------------------------------------------------------------

    Net budget authority and outlays:
89.00 Budget authority..................         243         180         212
90.00 Outlays...........................         174         455          89
----------------------------------------------------------------------------

    Memorandum (non-add) entries:
92.01 Total investments, start of year: 
        U.S. securities: Par value......         705         776         501
92.02 Total investments, end of year: 
        U.S. securities: Par value......         776         501         624
---------------------------------------------------------------------------

    The receipts from cable systems, satellite carriers, and digital 
audio devices are disbursed to the copyright owners through this 
appropriation after deduction of administrative costs for the Copyright 
Office Licensing Division. Disbursements are made in accordance with the 
schedule established in Public Law 94-553, as amended, Public Law 100-
617, and Public Law 102-563.

               Object Classification (in millions of dollars)

----------------------------------------------------------------------------
Identification code 03-5175-0-2-376      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------
25.2  Other services....................           5           5           6
41.0  Grants, subsidies, and 
        contributions...................         169         450          83
                                           ---------   ---------  ----------
99.9    Total new obligations...........         174         455          89
---------------------------------------------------------------------------

                                

             Cooperative Acquisitions Program Revolving Fund

               Program and Financing (in millions of dollars)

----------------------------------------------------------------------------
Identification code 03-4325-0-3-503      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------

    Obligations by program activity:
09.00 Reimbursable program..............           2           2           3
                                           ---------   ---------  ----------
10.00   Total new obligations...........           2           2           3
----------------------------------------------------------------------------

    Budgetary resources available for obligation:
21.40 Unobligated balance available, 
        start of year...................           2           2           2
22.00 New budget authority (gross)......           2           2           3
                                           ---------   ---------  ----------
23.90   Total budgetary resources 
          available for obligation......           4           4           5
23.95 Total new obligations.............          -2          -2          -3
24.40 Unobligated balance available, end 
        of year.........................           2           2           2
----------------------------------------------------------------------------

    New budget authority (gross), detail:
      Discretionary:

68.00   Spending authority from 
          offsetting collections 
          (gross): Offsetting 
          collections (cash)............           2           2           3
----------------------------------------------------------------------------

    Change in unpaid obligations:
72.40 Unpaid obligations, start of year: 
        Obligated balance, start of year                       1           1
73.10 Total new obligations.............           2           2           3
73.20 Total outlays (gross).............          -2          -2          -3
74.40 Unpaid obligations, end of year: 
        Obligated balance, end of year..           1           1           1
----------------------------------------------------------------------------

    Outlays (gross), detail:
86.90 Outlays from new discretionary 
        authority.......................           2           2           3
----------------------------------------------------------------------------

    Offsets:
      Against gross budget authority and outlays:

88.40   Offsetting collections (cash) 
          from: Non-Federal sources.....          -2          -2          -3
----------------------------------------------------------------------------

    Net budget authority and outlays:
89.00 Budget authority..................
90.00 Outlays...........................
---------------------------------------------------------------------------

    Under the authority of 2 U.S.C. 182; P.L. 105-55, the Library of 
Congress operates a revolving fund for the acquisition of foreign 
research materials for participating institutions through the Library's 
overseas offices.

               Object Classification (in millions of dollars)

----------------------------------------------------------------------------
Identification code 03-4325-0-3-503      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------
31.0  Reimbursable obligations: 
        Equipment.......................           1           1           2
99.5  Below reporting threshold.........           1           1           1
                                           ---------   ---------  ----------
99.9    Total new obligations...........           2           2           3
---------------------------------------------------------------------------

                                

  

                               Trust Funds

                      Gift and Trust Fund Accounts

              Unavailable Collections (in millions of dollars)

----------------------------------------------------------------------------
Identification code 03-9971-0-7-503      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------
    Balance, start of year:
01.99 Balance, start of year............
    Receipts:
02.02 Contributions to Library of 
        Congress gift fund..............           6          23          29
02.03 Contributions, Library of Congress 
        permanent loan account..........          13          19          11
02.04 Interest, Library of Congress 
        permanent loan account..........           2           2           2
02.05 Income from donated securities, 
        Library of Congress.............           2
02.06 Deposits, service fees, Library of 
        Congress........................           8           8           8
                                           ---------   ---------  ----------
02.99   Total receipts..................          31          52          50
    Appropriation:
05.01 Gift and trust fund accounts......         -31         -52         -50
                                           ---------   ---------  ----------
07.99 Total balance, end of year........
---------------------------------------------------------------------------

               Program and Financing (in millions of dollars)

----------------------------------------------------------------------------
Identification code 03-9971-0-7-503      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------

    Obligations by program activity:
00.01 Library Services..................          18          32          33
00.02 Congressional Research Service....           1           1           1
00.03 Gift Revolving....................           8          12          12
                                           ---------   ---------  ----------
10.00   Total new obligations...........          27          45          46
----------------------------------------------------------------------------

    Budgetary resources available for obligation:
21.40 Unobligated balance available, 
        start of year...................          41          46          53
22.00 New budget authority (gross)......          31          52          50
                                           ---------   ---------  ----------
23.90   Total budgetary resources 
          available for obligation......          72          98         103
23.95 Total new obligations.............         -27         -45         -46
24.40 Unobligated balance available, end 
        of year.........................          46          53          58
----------------------------------------------------------------------------

    New budget authority (gross), detail:
      Mandatory:

60.27   Appropriation (trust fund, 
          indefinite)...................          31          52          50
----------------------------------------------------------------------------

    Change in unpaid obligations:
72.40 Unpaid obligations, start of year: 
        Obligated balance, start of year           6           6           4
73.10 Total new obligations.............          27          45          46
73.20 Total outlays (gross).............         -26         -47         -50
74.40 Unpaid obligations, end of year: 
        Obligated balance, end of year..           6           4
----------------------------------------------------------------------------

    Outlays (gross), detail:
86.97 Outlays from new mandatory 
        authority.......................          23          41          42
86.98 Outlays from mandatory balances...           3           6           8
                                           ---------   ---------  ----------
87.00   Total outlays (gross)...........          26          47          50
----------------------------------------------------------------------------

    Net budget authority and outlays:
89.00 Budget authority..................          31          52          50

[[Page 32]]

90.00 Outlays...........................          26          47          50
----------------------------------------------------------------------------

    Memorandum (non-add) entries:
92.01 Total investments, start of year: 
        U.S. securities: Par value......          28          33          38
92.02 Total investments, end of year: 
        U.S. securities: Par value......          33          38          39
---------------------------------------------------------------------------

    This schedule covers: (1) funds received as gifts for immediate 
expenditure, funds received as trust funds for expenditure, and receipts 
from the sale of recordings, publications, photoduplication, and other 
materials financed from capital originally received as gifts; (2) income 
from investments held by or for the Library of Congress Trust Fund 
Board; and (3) interest paid by the Treasury on the principal funds 
deposited therewith as described under ``Library of Congress Trust Fund, 
Principal Accounts''.

    The Library has six program areas related to Gift and Trust funds:

    Library Services.--This includes traditional library activities of 
acquisitions, cataloging, research and reference, and preservation.

    Law Library.--The Law Library of Congress supplies legal research 
covering more than 200 foreign jurisdictions to the Congress, the 
Judiciary, Federal agencies, and the public--serving 100,000 users 
annually.

    Copyright Office.--The Copyright Office administers the U.S. 
copyright laws, provides copyright expertise to the Congress and 
executive branch agencies, and promotes international protection for 
intellectual property.

    Congressional Research Service.--The Congressional Research Service 
provides non-partisan analytical research and information to all Members 
and committees of the Congress.

    National Library Service for the Blind and Physically Handicapped.--
The National Library Service for the Blind and Physically Handicapped 
manages a free national reading program for blind and physically 
handicapped people--circulating at no cost to users approximately 22.5 
million items a year.

    Revolving Gift Funds.--Under the authority of 2 U.S.C. 160, the 
Library of Congress operates ten gift revolving activities to provide, 
in various formats, duplication and preservation services; exhibits and 
other special programs; and retail marketing, to other Government 
agencies, libraries, other institutions, and the general public.

               Object Classification (in millions of dollars)

----------------------------------------------------------------------------
Identification code 03-9971-0-7-503      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------
11.1  Personnel compensation: Full-time 
        permanent.......................           7           8           8
12.1  Civilian personnel benefits.......           2           2           2
23.3  Communications, utilities, and 
        miscellaneous charges...........           1           1           1
24.0  Printing and reproduction.........           1           1           1
25.1  Advisory and assistance services..           2           2           2
25.2  Other services....................           5           5           5
26.0  Supplies and materials............           2           2           2
31.0  Equipment.........................           1          18          19
33.0  Investments and loans.............           3           3           3
41.0  Grants, subsidies, and 
        contributions...................           1           1           1
44.0  Refunds...........................           1           1           1
                                           ---------   ---------  ----------
99.0      Subtotal, direct obligations..          26          44          45
99.5  Below reporting threshold.........           1           1           1
                                           ---------   ---------  ----------
99.9    Total new obligations...........          27          45          46
---------------------------------------------------------------------------

                              Personnel Summary

----------------------------------------------------------------------------
Identification code 03-9971-0-7-503      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------
1011  Total compensable workyears: 
        Exempt Full-time equivalent 
        employment......................         194         195         195
---------------------------------------------------------------------------

                                

                        Administrative Provisions

    Sec. 201. Appropriations in this Act available to the Library of 
Congress shall be available, in an amount of not more than [$198,390] 
$202,300, of which [$59,300] $60,500 is for the Congressional Research 
Service, when specifically authorized by the Librarian of Congress, for 
attendance at meetings concerned with the function or activity for which 
the appropriation is made.
    [Sec. 202. (a) No part of the funds appropriated in this Act shall 
be used by the Library of Congress to administer any flexible or 
compressed work schedule which--
          (1) applies to any manager or supervisor in a position the 
    grade or level of which is equal to or higher than GS-15; and
          (2) grants such manager or supervisor the right to not be at 
    work for all or a portion of a workday because of time worked by the 
    manager or supervisor on another workday.
    (b) For purposes of this section, the term ``manager or supervisor'' 
means any management official or supervisor, as such terms are defined 
in section 7103(a)(10) and (11) of title 5, United States Code.]
    Sec. [203] 202. Appropriated funds received by the Library of 
PCongress from other Federal agencies to cover general and 
administrative overhead costs generated by performing reimbursable work 
for other agencies under the authority of 31 U.S.C. 1535 and 1536 shall 
not be used to employ more than 65 employees and may be expended or 
obligated--
        (1) in the case of a reimbursement, only to such extent or in 
    such amounts as are provided in appropriations PActs; or
        (2) in the case of an advance payment, only--
                (A) to pay for such general or administrative overhead 
            costs as are attributable to the work performed for such 
            agency; or
                (B) to such extent or in such amounts as are provided in 
            appropriations Acts, with respect to any purpose not 
            allowable under subparagraph (A).
    Sec. [204] 203. Of the amounts appropriated to the Library of 
PCongress in this Act, not more than $5,000 may be expended, on the 
certification of the Librarian of Congress, in connection with official 
representation and reception expenses for the incentive awards program.
    Sec. [205] 204. Of the amount appropriated to the Library of 
PCongress in this Act, not more than $12,000 may be expended, on the 
certification of the Librarian of Congress, in connection with official 
representation and reception expenses for the Overseas Field Offices.
    Sec. [206] 205. (a) For fiscal year [2000] 2001, the obligational 
authority of the Library of Congress for the activities described in 
subsection (b) may not exceed [$98,788,000] $92,845,000.
    (b) The activities referred to in subsection (a) are reimbursable 
and revolving fund activities that are funded from sources other than 
appropriations to the Library in appropriations Acts for the legislative 
branch.
    [Sec. 207. The Library of Congress may use available funds, now and 
hereafter, to enter into contracts for the lease or acquisition of 
severable services for a period that begins in one fiscal year and ends 
in the next fiscal year and to enter into multi-year contracts for the 
acquisition of property and services pursuant to sections 303L and 304B, 
respectively, of the Federal Property and Administrative Services Act 
(41 U.S.C. 253l and 254c).]
    [Sec. 208. (a) Notwithstanding any other provision of law regarding 
the qualifications and method of appointment of employees of the Library 
of Congress, the Librarian of Congress, using such method of appointment 
as the Librarian may select, may appoint not more than three individuals 
who meet such qualifications as the Librarian may impose to serve as 
management specialists for a term not to exceed 3 years.
    (b) No individual appointed as a management specialist under 
subsection (a) may serve in such position after December 31, 2004.]
    [Sec. 209. (a) Section 904 of the Supplemental Appropriations Act, 
1983 (2 U.S.C. 136a-2) is amended to read as follows:

[[Page 33]]

    ``Sec. 904. Notwithstanding any other provision of law--
        ``(1) the Librarian of Congress shall be compensated at an 
    annual rate of pay which is equal to the annual rate of basic pay 
    payable for positions at level II of the Executive Schedule under 
    section 5313 of title 5, United States Code; and
        ``(2) the Deputy Librarian of Congress shall be compensated at 
    an annual rate of pay which is equal to the annual rate of basic pay 
    payable for positions at level III of the Executive Schedule under 
    section 5314 of title 5, United States Code.''.
    (b) Section 203(c)(1) of the Legislative Reorganization Act of 1946 
(2 U.S.C. 166(c)(1)) is amended by striking the second sentence and 
inserting the following: ``The basic pay of the Director shall be at a 
per annum rate equal to the rate of basic pay provided for level III of 
the Executive Schedule under section 5314 of title 5, United States 
Code.''.
    (c) The amendments made by this section shall apply with respect to 
the first pay period which begins on or after the date of the enactment 
of this Act and each subsequent pay period.] (Legislative Branch 
Appropriations Act, 2000.)

                                


 
                       GOVERNMENT PRINTING OFFICE

                              Federal Funds

General and special funds:

                   Congressional Printing and Binding

    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, 
[$73,577,000] $80,800,000: Provided, That this appropriation shall not 
be available for paper copies of the permanent edition of the 
Congressional Record for individual Representatives, Resident 
Commissioners or Delegates authorized under 44 U.S.C. 906: Provided 
further, That this appropriation shall be available for the payment of 
obligations incurred under the appropriations for similar purposes for 
preceding fiscal years: Provided further, That notwithstanding the 2-
year limitation under section 718 of title 44, United States Code, none 
of the funds appropriated or made available under this Act or any other 
Act for printing and binding and related services provided to Congress 
under chapter 7 of title 44, United States Code, may be expended to 
print a document, report, or publication after the 27-month period 
beginning on the date that such document, report, or publication is 
authorized by Congress to be printed, unless Congress reauthorizes such 
printing in accordance with section 718 of title 44, United States Code. 
(1 U.S.C. 205, 208, 211, 212; 44 U.S.C. 501, 701-704, 706, 708, 709, 
711-13, 715-17, 719-21, 723, 724, 727-28, 733-35, 737, 901, 902, 906, 
907, 1107, 1301, 1713, 1714, 1717, 1718, 1908; Congressional Operations 
Appropriations Act, 2000.)

               Program and Financing (in millions of dollars)

----------------------------------------------------------------------------
Identification code 04-0203-0-1-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------

    Obligations by program activity:
10.00 Total new obligations (object 
        class 24.0).....................          74          73          81
----------------------------------------------------------------------------

    Budgetary resources available for obligation:
22.00 New budget authority (gross)......          74          73          81
23.95 Total new obligations.............         -74         -73         -81
----------------------------------------------------------------------------

    New budget authority (gross), detail:
      Discretionary:

40.00   Appropriation...................          74          73          81
----------------------------------------------------------------------------

    Change in unpaid obligations:
72.40 Unpaid obligations, start of year: 
        Obligated balance, start of year          37          34          30
73.10 Total new obligations.............          74          73          81
73.20 Total outlays (gross).............         -77         -77         -80
74.40 Unpaid obligations, end of year: 
        Obligated balance, end of year..          34          30          31
----------------------------------------------------------------------------

    Outlays (gross), detail:
86.90 Outlays from new discretionary 
        authority.......................          59          53          58
86.93 Outlays from discretionary 
        balances........................          18          24          22
                                           ---------   ---------  ----------
87.00   Total outlays (gross)...........          77          77          80
----------------------------------------------------------------------------

    Net budget authority and outlays:
89.00 Budget authority..................          74          73          81
90.00 Outlays...........................          77          77          80
---------------------------------------------------------------------------

    This appropriation covers authorized printing and binding for the 
Congress and the Architect of the Capitol, and for printing and binding 
of Government publications authorized by law to be distributed to 
Members of Congress. Also, this appropriation includes funding for 
printing, binding, and distribution of Government publications 
authorized by law to be distributed without charge to the recipients.

                                

                  Office of Superintendent of Documents

                          salaries and expenses

    For expenses of the Office of Superintendent of Documents necessary 
to provide for the cataloging and indexing of Government publications 
and their distribution to the public, Members of Congress, other 
Government agencies, and designated depository and international 
exchange libraries as authorized by law, [$29,986,000] $34,451,000: 
Provided, That travel expenses, including travel expenses of the 
Depository Library Council to the Public Printer, shall not exceed 
$175,000: Provided further, That amounts of not more than $2,000,000 
from current year appropriations are authorized for producing and 
disseminating Congressional serial sets and other related publications 
for [1998 and] 1999 and 2000 to depository and other designated 
libraries. (44 U.S.C. 305, 1702-04, 1710, 1711, 1719, 1902, 1903, 1909; 
Legislative Branch Appropriations Act, 2000.)

               Program and Financing (in millions of dollars)

----------------------------------------------------------------------------
Identification code 04-0201-0-1-808      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------

    Obligations by program activity:
00.01 Depository library distribution...          25          26          30
00.02 Cataloging and indexing...........           3           3           3
00.03 International exchange............           1           1           1
                                           ---------   ---------  ----------
10.00   Total new obligations...........          29          30          34
----------------------------------------------------------------------------

    Budgetary resources available for obligation:
22.00 New budget authority (gross)......          29          30          34
23.95 Total new obligations.............         -29         -30         -34
----------------------------------------------------------------------------

    New budget authority (gross), detail:
      Discretionary:

40.00   Appropriation...................          29          30          34
----------------------------------------------------------------------------

    Change in unpaid obligations:
72.40 Unpaid obligations, start of year: 
        Obligated balance, start of year          21          20          20
73.10 Total new obligations.............          29          30          34
73.20 Total outlays (gross).............         -31         -31         -31
74.40 Unpaid obligations, end of year: 
        Obligated balance, end of year..          20          20          23
----------------------------------------------------------------------------

    Outlays (gross), detail:
86.90 Outlays from new discretionary 
        authority.......................          21          21          24
86.93 Outlays from discretionary 
        balances........................          10          10           7
                                           ---------   ---------  ----------
87.00   Total outlays (gross)...........          31          31          31
----------------------------------------------------------------------------

    Net budget authority and outlays:
89.00 Budget authority..................          29          30          34
90.00 Outlays...........................          31          31          31
---------------------------------------------------------------------------

    The Office of the Superintendent of Documents operates under a 
separate appropriation that provides funds for: (1) the mailing for 
Members of Congress and other Government agencies of certain Government 
publications, as authorized by law; (2) the distribution of Government 
publications to designated depository libraries, including tangible 
Government information products, online access, and locator services 
provided via the Internet from GPO Access; (3) the compila

[[Page 34]]

tion of catalogs and indexes of Government publications; and (4) the 
distribution of Government publications in the International Exchange 
Program. These four functions are related to the publication activity of 
other agencies and to the demands of the public, Members of Congress, 
and depository libraries. Consequently, the Office of the Superintendent 
of Documents can exercise little control over the volume of work which 
it may be called upon to perform. Following is a description of these 
four functions.

    Distribution for other Government agencies and Members of 
Congress.--The Office of Superintendent of Documents maintains mailing 
lists and mails, at the request of Government agencies and Members of 
Congress, certain publications specified by public law.

    Depository library distribution.--As required, Government 
publications are supplied to libraries which are designated as 
depositories for Government publications. This includes tangible 
information products, online access, and locator services provided via 
the internet from GPO Access.

    Cataloging and indexing.--The Office of Superintendent of Documents 
is charged with preparing catalogs and indexes of all publications 
issued by the Federal Government. The principal publication is the 
``Monthly Catalog of U.S. Government Publications.''

    International exchange.--The Office of Superintendent of Documents 
distributes Government publications to foreign governments which agree, 
as indicated by the Library of Congress, to send to the United States 
similar publications of their governments for delivery to the Library of 
Congress.

               Object Classification (in millions of dollars)

----------------------------------------------------------------------------
Identification code 04-0201-0-1-808      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------
11.1  Personnel compensation: Full-time 
        permanent.......................           6           6           7
12.1  Civilian personnel benefits.......           1           1           1
22.0  Transportation of things..........           2           2           2
23.3  Communications, utilities, and 
        miscellaneous charges...........                       1           1
24.0  Printing and reproduction.........          13          14          15
25.2  Other services....................           6           5           7
26.0  Supplies and materials............           1           1           1
                                           ---------   ---------  ----------
99.9    Total new obligations...........          29          30          34
---------------------------------------------------------------------------

                              Personnel Summary

----------------------------------------------------------------------------
Identification code 04-0201-0-1-808      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------
1011  Total compensable workyears: 
        Exempt Full-time equivalent 
        employment......................         134         138         147
---------------------------------------------------------------------------

                                

Intragovernmental funds:

                Government Printing Office Revolving Fund

    For payment to the ``Government Printing Office reovlving fund'', 
$6,000,000, to remain available until expended, for air-conditioning 
systems.
    The Government Printing Office is hereby authorized to make such 
expenditures, within the limits of funds available and in accord with 
the law, and to make such contracts and commitments without regard to 
fiscal year limitations as provided by section 9104 of title 31, United 
States Code, as may be necessary in carrying out the programs and 
purposes set forth in the budget for the current fiscal year for the 
Government Printing Office revolving fund: Provided, That not more than 
$2,500 may be expended on the certification of the Public Printer in 
connection with official representation and reception expenses: Provided 
further, That the revolving fund shall be available for the hire or 
purchase of not more than 12 passenger motor vehicles: Provided further, 
That expenditures in connection with travel expenses of the advisory 
councils to the Public Printer shall be deemed necessary to carry out 
the provisions of title 44, United States Code: Provided further, That 
the revolving fund shall be available for temporary or intermittent 
services under section 3109(b) of title 5, United States Code, but at 
rates for individuals not more than the daily equivalent of the annual 
rate of basic pay for level V of the Executive Schedule under section 
5316 of such title: Provided further, That the revolving fund and the 
funds provided under the headings ``Office of Superintendent of 
Documents'' and ``salaries and expenses'' together may not be available 
for the full-time equivalent employment of more than [3,313] 3,285 
workyears: (or such other number of workyears as the Public Printer may 
request, subject to the approval of the Committees on Appropriations of 
the Senate and the House of Representatives): Provided further, That 
activities financed through the revolving fund may provide information 
in any format: Provided further, That the revolving fund shall not be 
used to administer any flexible or compressed work schedule which 
applies to any manager or supervisor in a position the grade or level of 
which is equal to or higher than GS-15: Provided further, That expenses 
for attendance at meetings shall not exceed $75,000. (31 U.S.C. 1343(b), 
9104; 44 U.S.C. 301, 309, 1502, 1504, 1509, 1510; Legislative Branch 
Appropriations Act, 2000.)

               Program and Financing (in millions of dollars)

----------------------------------------------------------------------------
Identification code 04-4505-0-4-808      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------

    Obligations by program activity:
09.01 Printing and binding..............         694         745         714
09.02 Sales of publications.............          58          58          58
09.03 Agency distribution...............           5           6           6
09.11 Capital investment................           9          16           9
                                           ---------   ---------  ----------
10.00   Total new obligations...........         766         825         787
----------------------------------------------------------------------------

    Budgetary resources available for obligation:
21.40 Unobligated balance available, 
        start of year...................          11          54          42
22.00 New budget authority (gross)......         809         813         782
                                           ---------   ---------  ----------
23.90   Total budgetary resources 
          available for obligation......         820         867         824
23.95 Total new obligations.............        -766        -825        -787
24.40 Unobligated balance available, end 
        of year.........................          54          42          37
----------------------------------------------------------------------------

    New budget authority (gross), detail:
      Discretionary:

40.00   Appropriation...................                                   6
42.00   Transferred from other accounts.           3
                                           ---------   ---------  ----------
43.00     Appropriation (total 
            discretionary)..............           3                       6
68.10 Spending authority from offsetting 
        collections: From Federal 
        sources: Change in receivables 
        and unpaid, unfilled orders.....
      Mandatory:

69.00   Offsetting collections (cash)...         770         793         761
69.10   From Federal sources: Change in 
          receivables and unpaid, 
          unfilled orders...............          36          20          15
                                           ---------   ---------  ----------
69.90     Spending authority from 
            offsetting collections 
            (total mandatory)...........         806         813         776
                                           ---------   ---------  ----------
70.00   Total new budget authority 
          (gross).......................         809         813         782
----------------------------------------------------------------------------

    Change in unpaid obligations:
      Unpaid obligations, start of year:

72.40   Obligated balance, start of year         359         330         313
72.95   From Federal sources: 
          Receivables and unpaid, 
          unfilled orders...............         226         262         282
                                           ---------   ---------  ----------
72.99     Total unpaid obligations, 
            start of year...............         585         592         595
73.10 Total new obligations.............         766         825         787
73.20 Total outlays (gross).............        -759        -822        -776
      Unpaid obligations, end of year:

74.40   Obligated balance, end of year..         330         313         310
74.95   From Federal sources: 
          Receivables and unpaid, 
          unfilled orders...............         262         282         297
                                           ---------   ---------  ----------
74.99     Total unpaid obligations, end 
            of year.....................         592         595         607
----------------------------------------------------------------------------

    Outlays (gross), detail:
86.90 Outlays from new discretionary 
        authority.......................                                   1
86.97 Outlays from new mandatory 
        authority.......................         647         699         681
86.98 Outlays from mandatory balances...         112         123          94
                                           ---------   ---------  ----------
87.00   Total outlays (gross)...........         759         822         776
----------------------------------------------------------------------------

[[Page 35]]



    Offsets:
      Against gross budget authority and outlays:

        Offsetting collections (cash) 
            from:
88.00     Federal sources...............        -691        -725        -683
88.40     Non-Federal sources...........         -79         -68         -78
                                           ---------   ---------  ----------
88.90       Total, offsetting 
              collections (cash)........        -770        -793        -761
      Against gross budget authority only:

88.95   From Federal sources: Change in 
          receivables and unpaid, 
          unfilled orders...............         -36         -20         -15
----------------------------------------------------------------------------

    Net budget authority and outlays:
89.00 Budget authority..................           3                       6
90.00 Outlays...........................         -13          29          15
---------------------------------------------------------------------------

    The Government Printing Office executes orders for printing, 
binding, and blankbook work, CD-ROMs and electronic formats, placed by 
Congress and the various agencies of the Federal Government, and 
furnishes on order blank paper, inks, and similar supplies. The 
Government Printing Office also sells publications to the public through 
its sales of publications program, and distributes publications to the 
public for other Government agencies.

    Such work is financed through the Government Printing Office 
revolving fund (44 U.S.C. 309). The fund is reimbursed by the customer 
agencies and receipts from sales of publications to the general public.

               Object Classification (in millions of dollars)

----------------------------------------------------------------------------
Identification code 04-4505-0-4-808      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------

      Personnel compensation:

11.1    Full-time permanent.............         145         152         156
11.5    Other personnel compensation....          15          16          17
                                           ---------   ---------  ----------
11.9      Total personnel compensation..         160         168         173
12.1  Civilian personnel benefits.......          39          39          40
21.0  Travel and transportation of 
        persons.........................           1           1           1
22.0  Transportation of things..........           6           7           7
23.1  Rental payments to GSA............           2           2           2
23.2  Rental payments to others.........           4           4           4
23.3  Communications, utilities, and 
        miscellaneous charges...........          15          19          18
24.0  Printing and reproduction.........         473         510         473
25.2  Other services....................          20          21          22
26.0  Supplies and materials............          37          38          38
31.0  Equipment.........................           9          16           9
                                           ---------   ---------  ----------
99.9    Total new obligations...........         766         825         787
---------------------------------------------------------------------------

                              Personnel Summary

----------------------------------------------------------------------------
Identification code 04-4505-0-4-808      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------
2011  Total compensable workyears: 
        Exempt Full-time equivalent 
        employment......................       3,126       3,175       3,138
---------------------------------------------------------------------------

                                

                  Administrative [Provision] Provisions

[Sec. 210. (a) Section 311 of title 44, United States Code, is amended 
by adding at the end the following new subsection:
        ``(c) Notwithstanding any other provision of law, section 3709 
    of the Revised Statutes (41 U.S.C. 5) shall apply with respect to 
    purchases and contracts for the Government Printing Office as if the 
    reference to `$25,000' in clause (1) of such section were a 
    reference to `$100,000'.''.
        (b) The heading of section 311 of title 44, United States Code, 
    is amended by striking ``AUTHORITY'' and inserting ``AUTHORITY; 
    SMALL PURCHASE THRESHOLD''.
        (c) The table of sections for chapter 3 of title 44, United 
    States Code, is amended by striking the item relating to section 311 
    and inserting the following:
                ``311. Purchases exempt from the Federal Property and 
            Administrative Services Act; contract negotiation authority; 
            small purchase threshold.''.] (Legislative Branch 
            Appropriations Act, 2000.)
    Sec. 206. Section 303 of title 44, U.S.C., is amended to read as 
follows:
        ``The annual rate of pay for the Public Printer shall be a rate 
    which is equal to the rate for level II of the Executive Schedule of 
    subchapter II of chapter 53 of Title 5. The annual rate of pay for 
    the Deputy Public Printer shall be a rate which is equal to the rate 
    for level III of such Executive Schedule.''.
    Sec. 207. Section 1708 of title 44, U.S.C., is amended to read as 
follows:
    Section 1708. Prices for sales copies of Government information 
products; resale by dealers; sales agents
        ``(a) Sales prices for Government information products will be 
    established by the Public Printer to cover the costs of production, 
    dissemination, and other appropriate costs associated with this 
    service, including the offering of sales discounts and any other 
    costs associated with the Sales Program.''.
        ``(b) The Superintendent of Documents may prescribe terms and 
    conditions under which he authorizes the resale of Government 
    information products by book dealers, and he may designate any 
    Government officer his agent for the sale of Government information 
    products under regulations agreed upon by the Superintendent of 
    Documents and the head of the respective department or establishment 
    of the Government.''.

                                


 
                        GENERAL ACCOUNTING OFFICE

                              Federal Funds

General and special funds:

                          Salaries and Expenses

    For necessary expenses of the General Accounting Office, including 
not more than [$7,000] $10,000 to be expended on the certification of 
the Comptroller General of the United States in connection with official 
representation and reception expenses; temporary or intermittent 
services under section 3109(b) of title 5, United States Code, but at 
rates for individuals not more than the daily equivalent of the annual 
rate of basic pay for level IV of the Executive Schedule under section 
5315 of such title; hire of one passenger motor vehicle; advance 
payments in foreign countries in accordance with 31 U.S.C. 3324; 
benefits comparable to those payable under sections 901(5), 901(6), and 
901(8) of the Foreign Service Act of 1980 (22 U.S.C. 4081(5), 4081(6), 
and 4081(8)); and under regulations prescribed by the Comptroller 
General of the United States, rental of living quarters in foreign 
countries, [$379,000,000] $399,918,000: Provided, That not more than 
$1,900,000 of reimbursements received incident to the operation of the 
General Accounting Office building shall be available for use in fiscal 
year 2001: Provided further, That notwithstanding 31 U.S.C. 9105 
hereafter amounts reimbursed to the Comptroller General pursuant to that 
section shall be deposited to the appropriation of the General 
Accounting Office then available and remain available until expended, 
and not more than [$1,400,000] $1,100,000 of such funds shall be 
available for use in fiscal year [2000] 2001: Provided further, That 
this appropriation and appropriations for administrative expenses of any 
other department or agency which is a member of the National 
Intergovernmental Audit Forum or a Regional Intergovernmental Audit 
Forum shall be available to finance an appropriate share of either 
Forum's costs as determined by the respective Forum, including necessary 
travel expenses of non-Federal participants. Payments hereunder to the 
Forum may be credited as reimbursements to any appropriation from which 
costs involved are initially financed: Provided further, That this 
appropriation and appropriations for administrative expenses of any 
other department or agency which is a member of the American Consortium 
on International Public Administration (ACIPA) shall be available to 
finance an appropriate share of ACIPA costs as determined by the ACIPA, 
including any expenses attributable to membership of ACIPA in the 
International Institute of Administrative Sciences. (Legislative Branch 
Appropriations Act, 2000.)

              Unavailable Collections (in millions of dollars)

----------------------------------------------------------------------------
Identification code 05-0107-0-1-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------
    Balance, start of year:
01.99 Balance, start of year............           2
    Appropriation:
05.01 Salaries and expenses.............          -2
                                           ---------   ---------  ----------
07.99 Total balance, end of year........
---------------------------------------------------------------------------

[[Page 36]]



               Program and Financing (in millions of dollars)

----------------------------------------------------------------------------
Identification code 05-0107-0-1-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------

    Obligations by program activity:
      Direct program:

00.01   Top Management..................           1           1           1
00.02   Accounting and Information 
          Management Division...........          40          43          45
00.03   General Government Division.....          27          30          31
00.04   Health, Education and Human 
          Services Division.............          26          30          32
00.05   National Security and 
          International Affairs Division          36          38          40
00.06   Resources, Community and 
          Economic Development Division.          32          35          36
00.07   Office of the Chief Economist...           1           1           1
00.08   Office of the General Counsel...          17          19          20
00.09   Office of Special Investigations           4           4           4
00.10   Field Offices...................          81          83          87
00.11   Mission Support--Personnel 
          Related.......................          37          36          38
00.12   Mission Support--Non-Personnel 
          Related.......................          52          58          65
09.01 Reimbursable program..............          11           1           3
                                           ---------   ---------  ----------
09.99   Total reimbursable program......          11           1           3
                                           ---------   ---------  ----------
10.00   Total new obligations...........         365         379         403
----------------------------------------------------------------------------

    Budgetary resources available for obligation:
21.40 Unobligated balance available, 
        start of year...................           1           2           1
22.00 New budget authority (gross)......         368         380         403
                                           ---------   ---------  ----------
23.90   Total budgetary resources 
          available for obligation......         369         382         404
23.95 Total new obligations.............        -365        -379        -403
24.40 Unobligated balance available, end 
        of year.........................           2           1           1
----------------------------------------------------------------------------

    New budget authority (gross), detail:
      Discretionary:

40.00   Appropriation...................         354         379         400
40.76   Reduction pursuant to P.L. 106-
          113...........................                      -1
42.00   Transferred from other accounts.           2
                                           ---------   ---------  ----------
43.00     Appropriation (total 
            discretionary)..............         356         378         400
      Spending authority from offsetting 
          collections:

68.00   Offsetting collections (cash)...           9           1           3
68.10   From Federal sources: Change in 
          receivables and unpaid, 
          unfilled orders...............           1           1
68.26   Offsetting collections 
          (unavailable balances)........           2
                                           ---------   ---------  ----------
68.90     Spending authority from 
            offsetting collections 
            (total discretionary).......          12           2           3
                                           ---------   ---------  ----------
70.00   Total new budget authority 
          (gross).......................         368         380         403
----------------------------------------------------------------------------

    Change in unpaid obligations:
      Unpaid obligations, start of year:

72.40   Obligated balance, start of year          58          52          54
72.95   From Federal sources: 
          Receivables and unpaid, 
          unfilled orders...............          -2          -1
                                           ---------   ---------  ----------
72.99     Total unpaid obligations, 
            start of year...............          56          51          54
73.10 Total new obligations.............         365         379         403
73.20 Total outlays (gross).............        -369        -376        -427
      Unpaid obligations, end of year:

74.40   Obligated balance, end of year..          52          54          30
74.95   From Federal sources: 
          Receivables and unpaid, 
          unfilled orders...............          -1
                                           ---------   ---------  ----------
74.99     Total unpaid obligations, end 
            of year.....................          51          54          30
----------------------------------------------------------------------------

    Outlays (gross), detail:
86.90 Outlays from new discretionary 
        authority.......................         328         359         381
86.93 Outlays from discretionary 
        balances........................          41          18          46
                                           ---------   ---------  ----------
87.00   Total outlays (gross)...........         369         376         427
----------------------------------------------------------------------------

    Offsets:
      Against gross budget authority and outlays:

88.00   Offsetting collections (cash) 
          from: Federal sources.........          -9          -1          -3
      Against gross budget authority only:

88.95   From Federal sources: Change in 
          receivables and unpaid, 
          unfilled orders...............          -1          -1
----------------------------------------------------------------------------

    Net budget authority and outlays:
89.00 Budget authority..................         358         378         400
90.00 Outlays...........................         360         375         424
---------------------------------------------------------------------------

    The General Accounting Office's mission is to improve government 
operations by providing timely and reliable information and advice to 
Congress, determining the legality of public expenditures, and providing 
guidance on financial management matters. 

               Object Classification (in millions of dollars)

----------------------------------------------------------------------------
Identification code 05-0107-0-1-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------

      Direct obligations:

11.1    Personnel compensation: Full-
          time permanent................         246         258         273
12.1    Civilian personnel benefits.....          48          52          54
21.0    Travel and transportation of 
          persons.......................          10          10          10
23.1    Rental payments to GSA..........           7           7           7
23.3    Communications, utilities, and 
          miscellaneous charges.........           8           9           9
24.0    Printing and reproduction.......           1           1           1
25.1    Advisory and assistance services           4          10          13
25.2    Other services..................           6          10          10
25.3    Purchases of goods and services 
          from Government accounts......          11           3           3
25.4    Operation and maintenance of 
          facilities....................           2           8           8
25.7    Operation and maintenance of 
          equipment.....................           6           6           6
26.0    Supplies and materials..........           2           2           2
31.0    Equipment.......................           3           2           4
                                           ---------   ---------  ----------
99.0      Subtotal, direct obligations..         354         378         400
99.0  Reimbursable obligations..........          11           1           3
                                           ---------   ---------  ----------
99.9    Total new obligations...........         365         379         403
---------------------------------------------------------------------------

                              Personnel Summary

----------------------------------------------------------------------------
Identification code 05-0107-0-1-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------
1011  Total compensable workyears: 
        Exempt Full-time equivalent 
        employment......................       3,275       3,275       3,275
---------------------------------------------------------------------------

                                

           Information Technology Systems and Related Expenses

               Program and Financing (in millions of dollars)

----------------------------------------------------------------------------
Identification code 05-0109-0-1-808      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------

    Obligations by program activity:
00.01 Information technology expenses...           1
                                           ---------   ---------  ----------
10.00   Total new obligations (object 
          class 25.2)...................           1
----------------------------------------------------------------------------

    Budgetary resources available for obligation:
23.95 Total new obligations.............          -1
----------------------------------------------------------------------------

    New budget authority (gross), detail:
      Discretionary:

41.00   Transferred to other accounts...          -5
42.00   Transferred from other accounts.           5
                                           ---------   ---------  ----------
43.00     Appropriation (total 
            discretionary)..............
----------------------------------------------------------------------------

    Change in unpaid obligations:
72.40 Unpaid obligations, start of year: 
        Obligated balance, start of year                       1
73.10 Total new obligations.............           1
74.40 Unpaid obligations, end of year: 
        Obligated balance, end of year..           1
----------------------------------------------------------------------------

    Net budget authority and outlays:
89.00 Budget authority..................
90.00 Outlays...........................
---------------------------------------------------------------------------

    As required by Public Law 105-277, upon approval of the House and 
Senate Appropriations Committees, the Comptroller General of the United 
States transferred funds to Legislative Branch entities other than the 
U.S. Senate and the U.S. House of Representatives for expenses related 
to Year 2000 conversion of information technology systems.

[[Page 37]]

                                


 
                         UNITED STATES TAX COURT

                              Federal Funds

General and special funds:

                          Salaries and Expenses

    For necessary expenses, including contract reporting and other 
services as authorized by 5 U.S.C. 3109, [$35,179,000] $37,439,000: 
Provided, That travel expenses of the judges shall be paid upon the 
written certificate of the judge. (Independent Agencies Appropriations 
Act, 2000.)

               Program and Financing (in millions of dollars)

----------------------------------------------------------------------------
Identification code 23-0100-0-1-752      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------

    Obligations by program activity:
10.00 Total new obligations.............          33          35          37
----------------------------------------------------------------------------

    Budgetary resources available for obligation:
22.00 New budget authority (gross)......          33          35          37
23.95 Total new obligations.............         -33         -35         -37
23.98 Unobligated balance expiring or 
        withdrawn.......................
----------------------------------------------------------------------------

    New budget authority (gross), detail:
      Discretionary:

40.00   Appropriation...................          33          35          37
----------------------------------------------------------------------------

    Change in unpaid obligations:
72.40 Unpaid obligations, start of year: 
        Obligated balance, start of year           4           4           8
73.10 Total new obligations.............          33          35          37
73.20 Total outlays (gross).............         -33         -31         -37
74.40 Unpaid obligations, end of year: 
        Obligated balance, end of year..           4           8           8
----------------------------------------------------------------------------

    Outlays (gross), detail:
86.90 Outlays from new discretionary 
        authority.......................          31          31          33
86.93 Outlays from discretionary 
        balances........................           2                       4
                                           ---------   ---------  ----------
87.00   Total outlays (gross)...........          33          31          37
----------------------------------------------------------------------------

    Net budget authority and outlays:
89.00 Budget authority..................          33          35          37
90.00 Outlays...........................          33          31          37
---------------------------------------------------------------------------

    The United States Tax Court is a Court of record established under 
Article I of the Constitution of the United States. The Court is 
composed of a Chief Judge and eighteen judges. Judges of the Tax Court 
are appointed by the President, by and with the advice and consent of 
the Senate, for 15 year terms. Decisions by the Court are reviewable by 
the United States Courts of Appeals and, if certiorari is granted, by 
the Supreme Court.

    In their judicial duties, the judges are assisted by Senior Judges, 
who participate in the adjudication of regular cases, and by Special 
Trial Judges, who hear small tax cases and certain regular cases 
assigned to them by the Chief Judge.

    The Court conducts trial sessions throughout the United States, 
including Hawaii and Alaska.

    The matters over which the Court has jurisdiction are set forth in 
various sections of Title 26 of the U.S. Code.

    For 2001, the Court proposes a trial program of 600 weeks consisting 
of 264 weeks of trial sessions assigned to Presidentially appointed 
Judges, 236 weeks of trial sessions assigned to Special Trial Judges, 
and 100 weeks of lengthy special sessions. Trials are held in 
approximately 80 cities throughout the United States.

    Statistics on the actual and estimated number of cases before the 
court are presented in the following tabulation:

                                     1999 actual  2000 est.   2001 est.
Pending, beginning year.............      23,138      20,131      70,131
Docketed during year................      20,302     105,000     105,000
Adjustments during year.............         260          --          --
Disposed of during year.............      23,569      55,000      55,000
Pending, end of year................      20,131      70,131     120,131

    This presentation includes the ``Tax Court independent counsel'' 
fund. This fund is established pursuant to 26 U.S.C. 7475. The fund is 
used by the Tax Court to employ independent counsel to pursue 
disciplinary matters involving practitioners admitted to practice before 
the Court.

               Object Classification (in millions of dollars)

----------------------------------------------------------------------------
Identification code 23-0100-0-1-752      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------
11.1  Personnel compensation: Full-time 
        permanent.......................          16          17          18
12.1  Civilian personnel benefits.......           3           3           4
13.0  Benefits for former personnel.....           1           1           1
21.0  Travel and transportation of 
        persons.........................           1           1           1
23.1  Rental payments to GSA............           8           8           8
25.2  Other services....................           3           3           3
26.0  Supplies and materials............           1           1           1
31.0  Equipment.........................                       1           1
                                           ---------   ---------  ----------
99.9    Total new obligations...........          33          35          37
---------------------------------------------------------------------------

                              Personnel Summary

----------------------------------------------------------------------------
Identification code 23-0100-0-1-752      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------
1011  Total compensable workyears: 
        Exempt Full-time equivalent 
        employment......................         335         335         335
---------------------------------------------------------------------------

                                

                               Trust Funds

                 Tax Court Judges Survivors Annuity Fund

               Program and Financing (in millions of dollars)

----------------------------------------------------------------------------
Identification code 23-8115-0-7-602      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------

    Budgetary resources available for obligation:
21.40 Unobligated balance available, 
        start of year...................           6           7           7
23.95 Total new obligations.............
24.40 Unobligated balance available, end 
        of year.........................           7           7           7
----------------------------------------------------------------------------

    Net budget authority and outlays:
89.00 Budget authority..................
90.00 Outlays...........................
----------------------------------------------------------------------------

    Memorandum (non-add) entries:
92.01 Total investments, start of year: 
        U.S. securities: Par value......           6           7           7
92.02 Total investments, end of year: 
        U.S. securities: Par value......           7           7           7
---------------------------------------------------------------------------

    This fund, established pursuant to 26 U.S.C. 7448, is used to pay 
survivorship benefits to eligible surviving spouses and dependent 
children of deceased judges of the U.S. Tax Court. Participating judges 
pay 3.5 percent of their salaries or retired pay into the fund to cover 
creditable service for which payment is required. Additional funds, as 
are needed, are provided through the annual appropriation to the U.S. 
Tax Court.

    On September 30, 1999, 23 judges of the court were participating in 
the fund, and 1 eligible dependent and 8 eligible widows were receiving 
survivorship annuity payments.

                                


 
                    OTHER LEGISLATIVE BRANCH AGENCIES

                              Federal Funds

General and special funds:

        National Bipartisan Commission on the Future of Medicare

               Program and Financing (in millions of dollars)

----------------------------------------------------------------------------
Identification code 48-1750-0-1-571      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------

    Obligations by program activity:
10.00 Total new obligations (object 
        class 99.5).....................           1
----------------------------------------------------------------------------

    Budgetary resources available for obligation:
22.00 New budget authority (gross)......           1

[[Page 38]]

23.95 Total new obligations.............          -1
----------------------------------------------------------------------------

    New budget authority (gross), detail:
      Discretionary:

68.00   Spending authority from 
          offsetting collections 
          (gross): Offsetting 
          collections (cash)............           1
----------------------------------------------------------------------------

    Change in unpaid obligations:
73.10 Total new obligations.............           1
73.20 Total outlays (gross).............          -1
----------------------------------------------------------------------------

    Outlays (gross), detail:
86.90 Outlays from new discretionary 
        authority.......................           1
----------------------------------------------------------------------------

    Offsets:
      Against gross budget authority and outlays:

88.00   Offsetting collections (cash) 
          from: Federal sources.........          -1
----------------------------------------------------------------------------

    Net budget authority and outlays:
89.00 Budget authority..................
90.00 Outlays...........................
---------------------------------------------------------------------------

    The Balanced Budget Act of 1997 provided for the establishment of 
the National Bipartisan Commission on the Future of Medicare to review 
and analyze the long-term financial condition of the Medicare program.

                                

                  Medicare Payment Advisory Commission

                          salaries and expenses

    For expenses necessary to carry out section 1805 of the Social 
Security Act, [$7,015,000] $8,000,000, to be transferred to this 
appropriation from the Federal Hospital Insurance and the Federal 
Supplementary Medical Insurance Trust Funds. (Departments of Labor, 
Health and Human Services, and Education, and Related Agencies 
Appropriations Act, 2000, as enacted by section 1000(a)(4) of the 
Consolidated Appropriations Act, 2000 (P.L. 106-113).)

               Program and Financing (in millions of dollars)

----------------------------------------------------------------------------
Identification code 48-1550-0-1-999      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------

    Obligations by program activity:
10.00 Total new obligations.............           6           7           8
----------------------------------------------------------------------------

    Budgetary resources available for obligation:
22.00 New budget authority (gross)......           7           7           8
23.95 Total new obligations.............          -6          -7          -8
23.98 Unobligated balance expiring or 
        withdrawn.......................          -1
----------------------------------------------------------------------------

    New budget authority (gross), detail:
      Discretionary:

68.00   Spending authority from 
          offsetting collections 
          (gross): Offsetting 
          collections (cash)............           7           7           8
----------------------------------------------------------------------------

    Change in unpaid obligations:
72.40 Unpaid obligations, start of year: 
        Obligated balance, start of year           3           2
73.10 Total new obligations.............           6           7           8
73.20 Total outlays (gross).............          -6          -9          -8
74.40 Unpaid obligations, end of year: 
        Obligated balance, end of year..           2
----------------------------------------------------------------------------

    Outlays (gross), detail:
86.90 Outlays from new discretionary 
        authority.......................           3           7           8
86.93 Outlays from discretionary 
        balances........................           3
                                           ---------   ---------  ----------
87.00   Total outlays (gross)...........           6           9           8
----------------------------------------------------------------------------

    Offsets:
      Against gross budget authority and outlays:

88.00   Offsetting collections (cash) 
          from: Federal sources.........          -7          -7          -8
----------------------------------------------------------------------------

    Net budget authority and outlays:
89.00 Budget authority..................
90.00 Outlays...........................          -1           2
---------------------------------------------------------------------------

    The Medicare Payment Advisory Commission, established under section 
1805 of the Social Security Act (42 U.S.C. 1395 b-6) as added by section 
4022 of the Balanced Budget Act of 1997 (P.L. 105-33), is an independent 
legislative agency charged with advising the Congress on payment and 
other policy issues affecting the Medicare program, as well as on the 
implications of changes in health care delivery in the United States and 
in the market for health care services on the Medicare program.

    The Commission's 17 members represent diverse points of view 
including providers, payers, consumers, employers, and individuals with 
expertise in biomedical, health services, and health economics research. 
It maintains a full time staff of 35 in Washington, D.C.

    The Commission is required by law to report to the Congress on March 
1 and June 1 of each year, and to comment on actions of the Secretary of 
Health and Human Services relevant to its mandate.

               Object Classification (in millions of dollars)

----------------------------------------------------------------------------
Identification code 48-1550-0-1-999      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------
11.1  Personnel compensation: Full-time 
        permanent.......................           2           3           3
12.1  Civilian personnel benefits.......           1           1           1
23.3  Communications, utilities, and 
        miscellaneous charges...........           1           1           1
25.1  Advisory and assistance services..           1           1           2
                                           ---------   ---------  ----------
99.0      Subtotal, direct obligations..           5           6           7
99.5  Below reporting threshold.........           1           1           1
                                           ---------   ---------  ----------
99.9    Total new obligations...........           6           7           8
---------------------------------------------------------------------------

                              Personnel Summary

----------------------------------------------------------------------------
Identification code 48-1550-0-1-999      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------
1011  Total compensable workyears: 
        Exempt Full-time equivalent 
        employment......................          32          38          40
---------------------------------------------------------------------------

                                

                         Census Monitoring Board

    For necessary expenses of the Census Monitoring Board, as authorized 
by section 210 of Public Law 105-119, $4,000,000, to remain available 
until expended.

               Program and Financing (in millions of dollars)

----------------------------------------------------------------------------
Identification code 48-2050-0-1-376      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------

    Obligations by program activity:
00.01 Pay...............................           2           2           2
00.02 Non-Pay...........................           2           3           3
                                           ---------   ---------  ----------
10.00   Total new obligations...........           4           5           5
----------------------------------------------------------------------------

    Budgetary resources available for obligation:
21.40 Unobligated balance available, 
        start of year...................           3           3           1
22.00 New budget authority (gross)......           4           4           4
                                           ---------   ---------  ----------
23.90   Total budgetary resources 
          available for obligation......           7           7           5
23.95 Total new obligations.............          -4          -5          -5
24.40 Unobligated balance available, end 
        of year.........................           3           1
----------------------------------------------------------------------------

    New budget authority (gross), detail:
      Discretionary:

40.00   Appropriation...................                                   4
42.00   Transferred from other accounts.           4           4
                                           ---------   ---------  ----------
43.00     Appropriation (total 
            discretionary)..............           4           4           4
----------------------------------------------------------------------------

    Change in unpaid obligations:
72.40 Unpaid obligations, start of year: 
        Obligated balance, start of year           1           1           1

[[Page 39]]

73.10 Total new obligations.............           4           5           5
73.20 Total outlays (gross).............          -4          -5          -6
74.40 Unpaid obligations, end of year: 
        Obligated balance, end of year..           1           1
----------------------------------------------------------------------------

    Outlays (gross), detail:
86.90 Outlays from new discretionary 
        authority.......................                       4           4
86.93 Outlays from discretionary 
        balances........................           4                       1
                                           ---------   ---------  ----------
87.00   Total outlays (gross)...........           4           5           6
----------------------------------------------------------------------------

    Net budget authority and outlays:
89.00 Budget authority..................           4           4           4
90.00 Outlays...........................           4           5           6
---------------------------------------------------------------------------

    The Census Monitoring Board is an eight-member bipartisan oversight 
board charged with observing and monitoring all aspects of the 
preparation and implementation of the 2000 decennial census. The Board 
submits periodic reports to both Congress and the President detailing 
the Census Bureau's preparedness to conduct a successful census. Census 
data are used to determine Congressional apportionment and the 
allocation of billions of Federal dollars.

               Object Classification (in millions of dollars)

----------------------------------------------------------------------------
Identification code 48-2050-0-1-376      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------
11.1  Direct obligations: Personnel 
        compensation: Full-time 
        permanent.......................           2           2           2
99.5  Below reporting threshold.........           2           3           3
                                           ---------   ---------  ----------
99.9    Total new obligations...........           4           5           5
---------------------------------------------------------------------------

                              Personnel Summary

----------------------------------------------------------------------------
Identification code 48-2050-0-1-376      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------
1011  Total compensable workyears: 
        Exempt Full-time equivalent 
        employment......................          25          30          29
---------------------------------------------------------------------------

                                

       United States Commission on International Religious Freedom

    For necessary expenses for the United States Commission on 
International Religious Freedom, as authorized by title II of the 
International Religious Freedom Act of 1998 (Public Law 105-292), 
$3,000,000, to remain available until expended.

               Program and Financing (in millions of dollars)

----------------------------------------------------------------------------
Identification code 48-2975-0-1-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------

    Obligations by program activity:
10.00 Total new obligations.............                       3           3
----------------------------------------------------------------------------

    Budgetary resources available for obligation:
21.40 Unobligated balance available, 
        start of year...................                       3
22.00 New budget authority (gross)......           3                       3
                                           ---------   ---------  ----------
23.90   Total budgetary resources 
          available for obligation......           3           3           3
23.95 Total new obligations.............                      -3          -3
24.40 Unobligated balance available, end 
        of year.........................           3
----------------------------------------------------------------------------

    New budget authority (gross), detail:
      Discretionary:

40.00   Appropriation...................           3                       3
----------------------------------------------------------------------------

    Change in unpaid obligations:
73.10 Total new obligations.............                       3           3
73.20 Total outlays (gross).............                      -3          -3
----------------------------------------------------------------------------

    Outlays (gross), detail:
86.90 Outlays from new discretionary 
        authority.......................                                   3
86.93 Outlays from discretionary 
        balances........................                       3
                                           ---------   ---------  ----------
87.00   Total outlays (gross)...........                       3           3
----------------------------------------------------------------------------

    Net budget authority and outlays:
89.00 Budget authority..................           3                       3
90.00 Outlays...........................                       3           3
---------------------------------------------------------------------------

    The Commission on International Religious Freedom, established in 
Public Law 105-292, is an independent agency charged with the annual and 
ongoing review and reporting of the facts and circumstances of 
violations of religious freedom. The Commission shall consider and 
recommend options for United States policies with respect to foreign 
countries which engage in or tolerate violations of religious freedom. 
Not later than May 1 of each year, the Commission shall submit a report 
to the President, the Secretary of State, and Congress.

               Object Classification (in millions of dollars)

----------------------------------------------------------------------------
Identification code 48-2975-0-1-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------
11.1  Direct obligations: Personnel 
        compensation: Full-time 
        permanent.......................                       1           1
99.5  Below reporting threshold.........                       2           2
                                           ---------   ---------  ----------
99.9    Total new obligations...........                       3           3
---------------------------------------------------------------------------

                              Personnel Summary

----------------------------------------------------------------------------
Identification code 48-2975-0-1-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------
1011  Total compensable workyears: 
        Exempt Full-time equivalent 
        employment......................                      20          20
---------------------------------------------------------------------------

                                

                    Gambling Impact Study Commission

                          salaries and expenses

               Program and Financing (in millions of dollars)

----------------------------------------------------------------------------
Identification code 48-2101-0-1-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------

    Obligations by program activity:
10.00 Total new obligations (object 
        class 99.5).....................           1
----------------------------------------------------------------------------

    Budgetary resources available for obligation:
21.40 Unobligated balance available, 
        start of year...................           1
23.95 Total new obligations.............          -1
----------------------------------------------------------------------------

    New budget authority (gross), detail:
      Discretionary:

40.00   Appropriation...................
----------------------------------------------------------------------------

    Change in unpaid obligations:
72.40 Unpaid obligations, start of year: 
        Obligated balance, start of year           2
73.10 Total new obligations.............           1
73.20 Total outlays (gross).............          -3
----------------------------------------------------------------------------

    Outlays (gross), detail:
86.93 Outlays from discretionary 
        balances........................           3
----------------------------------------------------------------------------

    Net budget authority and outlays:
89.00 Budget authority..................
90.00 Outlays...........................           3
---------------------------------------------------------------------------

    The National Gambling Impact Study Commission was established by 
Public Law 104-169 to conduct a comprehensive legal and factual study of 
the social and economic impacts of gambling in the United States. The 
Commission submitted its report in June 1999, and terminated in August 
1999.

                              Personnel Summary

----------------------------------------------------------------------------
Identification code 48-2101-0-1-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------
1011  Total compensable workyears: 
        Exempt Full-time equivalent 
        employment......................          10
---------------------------------------------------------------------------

[[Page 40]]



                                


 
             OTHER LEGISLATIVE BRANCH BOARDS AND COMMISSIONS

            Commission on Security and Cooperation In Europe

                          salaries and expenses

    For necessary expenses of the Commission on Security and Cooperation 
in Europe, as authorized by Public Law 94-304, [$1,182,000] $1,370,000, 
to remain available until expended as authorized by section 3 of Public 
Law 99-7. (Departments of Commerce, Justice, and State, the Judiciary, 
and Related Agencies Appropriations Act, 2000, as enacted by section 
1000(a)(1) of the Consolidated Appropriations Act, 2000 (P.L. 106-113).)

              [Advisory Commission on Electronic Commerce]

    [For the necessary expenses of the Advisory Commission on Electronic 
Commerce, as authorized by Public Law 105-77, $1,400,000.] (Departments 
of Commerce, Justice, and State, the Judiciary, and Related Agencies 
Appropriations Act, 2000, as enacted by section 1000(a)(1) of the 
Consolidated Appropriations Act, 2000 (P.L. 106-113).)

               Program and Financing (in millions of dollars)

----------------------------------------------------------------------------
Identification code 09-9911-0-1-999      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------

    Obligations by program activity:
10.00 Total new obligations.............           4           2           1
----------------------------------------------------------------------------

    Budgetary resources available for obligation:
21.40 Unobligated balance available, 
        start of year...................           3           3           3
22.00 New budget authority (gross)......           4           2           1
                                           ---------   ---------  ----------
23.90   Total budgetary resources 
          available for obligation......           7           5           4
23.95 Total new obligations.............          -4          -2          -1
24.40 Unobligated balance available, end 
        of year.........................           3           3           3
----------------------------------------------------------------------------

    New budget authority (gross), detail:
      Discretionary:

40.00   Appropriation...................           4           2           1
----------------------------------------------------------------------------

    Change in unpaid obligations:
72.40 Unpaid obligations, start of year: 
        Obligated balance, start of year           1           1           1
73.10 Total new obligations.............           4           2           1
73.20 Total outlays (gross).............          -3          -2          -2
74.40 Unpaid obligations, end of year: 
        Obligated balance, end of year..           1           1           1
----------------------------------------------------------------------------

    Outlays (gross), detail:
86.90 Outlays from new discretionary 
        authority.......................           3           2           1
86.93 Outlays from discretionary 
        balances........................                                   1
                                           ---------   ---------  ----------
87.00   Total outlays (gross)...........           3           2           2
----------------------------------------------------------------------------

    Net budget authority and outlays:
89.00 Budget authority..................           4           2           1
90.00 Outlays...........................           3           2           2
---------------------------------------------------------------------------

    This presentation includes a number of accounts including 
Competitiveness Policy Council; Commission on Immigration Reform; 
National Commission on Cost of Higher Education; National Commission on 
Restructuring the Internal Revenue Service and the following:

    Oliver Wendell Holmes Devise Fund.--The Oliver Wendell Holmes Devise 
Fund and, the permanent committee for the Oliver Wendell Holmes devise 
to administer it, were created by an act of Congress, approved August 5, 
1955 (69 Stat. 533).

    The current program is devoted primarily to the preparation of a 
History of the Supreme Court of the United States, of which the first 
two volumes were published by the Macmillan Co. in 1972. The third, 
fourth and fifth volumes were published in August 1974, September 1981, 
and August 1985, respectively. The sixth and seventh volumes were 
published in 1988. The eighth volume was published in 1993. Additional 
volumes are nearing completion.

    Commission on Security and Cooperation in Europe.--The Commission on 
Security and Cooperation in Europe is authorized and directed to monitor 
the acts of the signatories which reflect compliance with or violation 
of the articles of the Final Act of the Conference on Security and 
Cooperation in Europe, with particular regard to the provisions relating 
to Cooperation in Humanitarian Fields. The law establishing the 
Commission on Security and Cooperation in Europe also mandated it to 
monitor and encourage U.S. Government and private activities designed to 
expand East-West trade and the exchange of people and ideas. The 
Commission will receive semiannual reports from the President on the 
signatories' compliance with the Final Act and on U.S. activities in 
trade and cultural/humanitarian exchange and it will itself make 
advisory reports to the Congress on the progress of implementation.

    The Commission is made up of nine Senators, nine Members of the 
House of Representatives and one Commissioner each from the Departments 
of State, Defense, and Commerce.

    Advisory Commission on Electronic Commerce.--In 1998, the Congress 
of the United States passed the Internet Tax Freedom Act (``ITFA'') 
which created the Advisory Commission on Electronic Commerce 
(``Commission''). The Commission is comprised of 19 members: three 
federal officials (the U.S. Trade Representative, and the Secretaries of 
Commerce and Treasury); eight state and local representatives, and eight 
business and consumer representatives. The mission of this Commission is 
to ``conduct a thorough study of Federal, state and local, and 
international taxation and tariff treatment of transactions using the 
Internet and Internet access and other comparable intrastate, interstate 
or international sales activities.'' The Commission must then report its 
findings to Congress together with ``such legislative recommendations as 
required to address the findings.''

    The Commission may include within the study, the following:

    (1) An examination of: (a) barriers imposed in foreign markets on 
United States providers of property, goods, services, or information 
engaged in electronic commerce and on United States providers of 
telecommiunication services; and, (b) how the imposition of such 
barriers will affect United States consumers, the competitiveness of 
United States citizens providing property, goods, services or 
information in foreign markets and the growth and maturing of the 
Internet.

    (2) An examination of the collection and administration of 
consumption taxes on electronic commerce and the impact of those 
activities on the global economy.

    (3) An examination of the impact of the Internet and Internet access 
(particularly voice transmission) on the revenue base for the Federal 
communications excise tax.

    (4) An examination of model state legislation that: a) would provide 
uniform definitions of categories of property, goods, services or 
information subject to or exempt from sales or use taxes; and b) would 
ensure that Internet access services, online services and communications 
and transactions using the Internet, Internet access services or online 
services would be treated in a tax and technologically neutral manner 
relative to other forms of remote sales.

    (5) An examination of the effects of taxation (including the absence 
of taxation) on all interstate sales transactions (including 
transactions using the Internet), retail businesses, and state and local 
governments. This examination may include a review of the efforts of 
state and local governments to collect sales and use taxes owed on in-
state purchases from out-of-state sellers.

    (6) An examination of ways to simplify Federal and state and local 
taxation of the telecommunications services.

    National Commission on Terrorism.--The Commission was created in 
Public Law 105-277 to review counter-terrorism policies regarding the 
prevention and punishment of international acts of terrorism directed at 
the United States. The Commission is composed of ten members, all 
appointed by

[[Page 41]]

the Congress. Funding to enable the Commission's work was appropriated 
in Public Law 106-31. The Commission's final report is expected to be 
submitted in May, 2000.

    Dwight D. Eisenhower Memorial Commission.--The Commission was 
created in Public Law 106-79, the Defense Appropriations Act, to 
consider and formulate plans for a permanent memorial to Dwight D. 
Eisenhower.

    Trade Deficit Review Commission.--The Commission was created in 
Public Law 105-277 to study the nature, causes, and consequences of the 
United States merchandise trade and current account deficits.

    International Conferences and Contingencies.--The International 
Conferences and Contingencies account provides funds to cover the 
expenses of House and Senate participants in international meetings.

    Copyright Royalty Tribunal.--Under Public Law 94-553, the general 
revision of the copyright law, an independent Copyright Royalty Tribunal 
was created in the Legislative Branch. The Tribunal is composed of three 
commissioners appointed by the President with the advice and consent of 
the Senate for staggered terms of 7 years each.

    The Tribunal's statutory responsibilities are: (a) to make 
determinations concerning copyright royalty rates (1) in the area of 
cable television (17 U.S.C. 111), (2) for phonorecords (17 U.S.C. 115), 
(3) for coin-operated phonorecord players (jukeboxes) (17 U.S.C. 116), 
(4) for non-commercial broadcasting (17 U.S.C. 118), and (5) for digital 
audio devices (17 U.S.C. 1004); and (b) to distribute cable television, 
satellite carrier, jukebox, and digital audio devices and media 
royalties deposited with the Register of Copyrights (17 U.S.C. 111, 116, 
119, 1005, and 1007).

    Public Law 103-198 abolished the Copyright Royalty Tribunal and 
created a Copyright Arbitration Royalty Panel System administered by the 
Library of Congress Copyright Office.

    Commission on the Advancement of Federal Law Enforcement.--The 
Commission was authorized in 1996 (P.L. 104-132) to review, ascertain, 
evaluate, and recommend action to Congress on a range of issues related 
to Federal law enforcement. The Commission is composed of five members, 
serving for its life, of whom: one is appointed by the President of the 
Senate; one is appointed by the Senate Minority Leader; one is appointed 
by the Speaker of the House; one is appointed by the House Minority 
Leader; and one, the Chairperson, is appointed by the Chief Justice of 
the Supreme Court. The Commission will issue a report on its findings in 
January, 2000.

               Object Classification (in millions of dollars)

----------------------------------------------------------------------------
Identification code 09-9911-0-1-999      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------
11.1  Direct obligations: Personnel 
        compensation: Full-time 
        permanent.......................           1           1           1
99.5  Below reporting threshold.........           3           1
                                           ---------   ---------  ----------
99.9    Total new obligations...........           4           2           1
---------------------------------------------------------------------------

                              Personnel Summary

----------------------------------------------------------------------------
Identification code 09-9911-0-1-999      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------
1011  Total compensable workyears: 
        Exempt Full-time equivalent 
        employment......................          19          15          15
---------------------------------------------------------------------------

                                

                               Trust Funds

                  U.S. Capitol Preservation Commission

              Unavailable Collections (in millions of dollars)

----------------------------------------------------------------------------
Identification code 09-8300-0-7-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------
    Balance, start of year:
01.99 Balance, start of year............
    Receipts:
02.02 Interest on investments, U.S. 
        Capitol Preservation Commission.           1           1           8
    Appropriation:
05.01 Capitol Preservation Commission 
        trust fund......................          -1          -1          -8
                                           ---------   ---------  ----------
07.99 Total balance, end of year........
---------------------------------------------------------------------------

               Program and Financing (in millions of dollars)

----------------------------------------------------------------------------
Identification code 09-8300-0-7-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------

    Budgetary resources available for obligation:
21.40 Unobligated balance available, 
        start of year...................          27          28          29
22.00 New budget authority (gross)......           1           1           8
                                           ---------   ---------  ----------
23.90   Total budgetary resources 
          available for obligation......          28          29          37
23.95 Total new obligations.............
24.40 Unobligated balance available, end 
        of year.........................          28          29          37
----------------------------------------------------------------------------

    New budget authority (gross), detail:
      Mandatory:

60.27   Appropriation (trust fund, 
          indefinite)...................           1           1           8
----------------------------------------------------------------------------

    Net budget authority and outlays:
89.00 Budget authority..................           1           1           8
90.00 Outlays...........................
----------------------------------------------------------------------------

    Memorandum (non-add) entries:
92.01 Total investments, start of year: 
        U.S. securities: Par value......          27          28          29
92.02 Total investments, end of year: 
        U.S. securities: Par value......          28          29          37
---------------------------------------------------------------------------

                                

   John C. Stennis Center for Public Service Training and Development

              Unavailable Collections (in millions of dollars)

----------------------------------------------------------------------------
Identification code 09-8275-0-7-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------
    Balance, start of year:
01.99 Balance, start of year............
    Receipts:
02.01 Interest..........................           1           1           1
    Appropriation:
05.01 John C. Stennis Center for Public 
        Service Development trust fund..          -1          -1          -1
                                           ---------   ---------  ----------
07.99 Total balance, end of year........
---------------------------------------------------------------------------

               Program and Financing (in millions of dollars)

----------------------------------------------------------------------------
Identification code 09-8275-0-7-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------

    Obligations by program activity:
10.00 Total new obligations (object 
        class 99.5).....................           1           1           1
----------------------------------------------------------------------------

    Budgetary resources available for obligation:
21.40 Unobligated balance available, 
        start of year...................           9           9           9
22.00 New budget authority (gross)......           1           1           1
                                           ---------   ---------  ----------
23.90   Total budgetary resources 
          available for obligation......          10          10          10
23.95 Total new obligations.............          -1          -1          -1
24.40 Unobligated balance available, end 
        of year.........................           9           9           9
----------------------------------------------------------------------------

    New budget authority (gross), detail:
      Mandatory:

60.27   Appropriation (trust fund, 
          indefinite)...................           1           1           1
----------------------------------------------------------------------------

    Change in unpaid obligations:
73.10 Total new obligations.............           1           1           1
73.20 Total outlays (gross).............          -1          -1          -1
----------------------------------------------------------------------------

    Outlays (gross), detail:
86.97 Outlays from new mandatory 
        authority.......................           1           1           1
----------------------------------------------------------------------------

    Net budget authority and outlays:
89.00 Budget authority..................           1           1           1
90.00 Outlays...........................           1           1           1
----------------------------------------------------------------------------

[[Page 42]]



    Memorandum (non-add) entries:
92.01 Total investments, start of year: 
        U.S. securities: Par value......           9           9           9
92.02 Total investments, end of year: 
        U.S. securities: Par value......           9           9           9
---------------------------------------------------------------------------

    The principal for this fund was established by the transfer of 
$7,500,000 from the appropriation ``Payment to the John C. Stennis 
Center''.

                              Personnel Summary

----------------------------------------------------------------------------
Identification code 09-8275-0-7-801      1999 actual   2000 est.   2001 est.
----------------------------------------------------------------------------
1011  Total compensable workyears: 
        Exempt Full-time equivalent 
        employment......................           5           5           5
---------------------------------------------------------------------------

                                


 
                      TITLE III--GENERAL PROVISIONS

    Sec. 301. No part of the funds appropriated in this Act shall be 
used for the maintenance or care of private vehicles, except for 
emergency assistance and cleaning as may be provided under regulations 
relating to parking facilities for the House of Representatives issued 
by the Committee on House Administration and for the Senate issued by 
the Committee on Rules and Administration.
    Sec. 302. No part of the funds appropriated in this Act shall remain 
available for obligation beyond fiscal year [2000] 2001 unless expressly 
so provided in this Act.
    Sec. 303. Whenever in this Act any office or position not 
specifically established by the Legislative Pay Act of 1929 is 
appropriated for or the rate of compensation or designation of any 
office or position appropriated for is different from that specifically 
established by such Act, the rate of compensation and the designation in 
this Act shall be the permanent law with respect thereto: Provided, That 
the provisions in this Act for the various items of official expenses of 
Members, officers, and committees of the Senate and House of 
Representatives, and clerk hire for Senators and Members of the House of 
Representatives shall be the permanent law with respect thereto.
    Sec. 304. The expenditure of any appropriation under this Act for 
any consulting service through procurement contract, pursuant to 5 
U.S.C. 3109, shall be limited to those contracts where such expenditures 
are a matter of public record and available for public inspection, 
except where otherwise provided under existing law, or under existing 
Executive order issued pursuant to existing law.
    Sec. 305. (a) It is the sense of the Congress that, to the greatest 
extent practicable, all equipment and products purchased with funds made 
available in this Act should be American-made.
    (b) In providing financial assistance to, or entering into any 
contract with, any entity using funds made available in this Act, the 
head of each Federal agency, to the greatest extent practicable, shall 
provide to such entity a notice describing the statement made in 
subsection (a) by the Congress.
    (c) If it has been finally determined by a court or Federal agency 
that any person intentionally affixed a label bearing a ``Made in 
America'' inscription, or any inscription with the same meaning, to any 
product sold in or shipped to the United States that is not made in the 
United States, such person shall be ineligible to receive any contract 
or subcontract made with funds provided pursuant to this Act, pursuant 
to the debarment, suspension, and ineligibility procedures described in 
section 9.400 through 9.409 of title 48, Code of Federal Regulations.
    Sec. 306. Such sums as may be necessary are appropriated to the 
account described in subsection (a) of section 415 of Public Law 104-1 
to pay awards and settlements as authorized under such subsection.
    Sec. 307. Amounts available for administrative expenses of any 
legislative branch entity which participates in the Legislative Branch 
Financial Managers Council (LBFMC) established by charter on March 26, 
1996, shall be available to finance an appropriate share of LBFMC costs 
as determined by the LBFMC, except that the total LBFMC costs to be 
shared among all participating legislative branch entities (in such 
allocations among the entities as the entities may determine) may not 
exceed [$1,500] $252,000.
    [Sec. 308. Section 308 of the Legislative Branch Appropriations Act, 
1999 (Public Law 105-275; 112 Stat. 2452) is amended--
        (1) in subsection (b), by striking ``(40 U.S.C. 174j-1(b)(1))'' 
    and inserting ``(40 U.S.C. 174j-1 note)'';
        (2) in subsection (c), by striking ``(40 U.S.C. 174j-1(c))'' and 
    inserting ``(40 U.S.C. 174j-1 note)''; and
        (3) in subsection (d), by striking ``(40 U.S.C. 174j-1(e))'' and 
    inserting ``(40 U.S.C. 174j-1 note)''.]
    Sec. [309] 308. Section 316 of Public Law 101-302 is amended in the 
first sentence of subsection (a) by striking [``1999''] ``2000'' and 
inserting [``2000''] ``2001''.
    [Sec. 310. Chapter 5 of title II of division B of the Omnibus 
Consolidated and Emergency Supplemental Appropriations Act, 1999 (Public 
Law 105-277; 112 Stat. 2681-569) is amended in the matter under the 
subheading ``Capitol Visitor Center'' under the heading ``ARCHITECT OF 
THE CAPITOL'' by striking ``the Committee on Rules and Administration of 
the Senate, the Committee on House Oversight of the House of 
Representatives, the Committees on Appropriations of the House of 
Representatives and of the Senate, and other appropriate committees of 
the House of Representatives and of the Senate'' and inserting ``the 
United States Capitol Preservation Commission established under section 
801 of the Arizona-Idaho Conservation Act of 1988 (40 U.S.C. 188a)''.]
    [Sec. 311. Trade Deficit Review Commission. (a) Appropriations.--
Section 127(i) of the Trade Deficit Review Commission Act (19 U.S.C. 
2213 note) is amended by adding at the end the following new sentence:
``Amounts appropriated pursuant to this subsection shall remain 
available until the date which is 90 days after the date on which the 
Commission submits the final report described in subsection (e).''.
    (b) Applicability of certain pay authorities to members of the 
commission.--Section 127(g) of the Trade Deficit Review Commission Act 
is amended by adding at the end the following new paragraph:
        ``(6) Applicability of certain pay authorities.--
                ``(A) In general.--An individual who is a member of the 
            Commission and is an annuitant or otherwise covered by 
            section 8344 or 8468 of title 5, United States Code, by 
            reason of membership on the Commission is not subject to the 
            provisions of section 8344 or 8468 (whichever is applicable) 
            with respect to such membership.
                ``(B) Uniformed service.--An individual who is a member 
            of the Commission and is a member or former member of a 
            uniformed service is not subject to the provisions of 
            subsections (b) and (c) of section 5532, United States Code, 
            with respect to membership on the Commission.''.
    (c) Termination of Commission and Other Matters.--PSection 127 of 
the Trade Deficit Review Commission Act is amended by adding at the end 
the following new subsections:
    ``(j) Federal Advisory Committee Act.--The provisions of the Federal 
Advisory Committee Act (Public Law 92-463; 5 U.S.C. App.) shall not 
apply to the Commission.
    ``(k) Termination.--The Commission shall terminate 90 days after the 
date on which the Commission submits the final report under subsection 
(e).''.]
    [Sec. 312. Creditable Service With Congressional Campaign 
Committees. Section 8332(m)(1)(A) of title 5, United States Code, is 
amended to read as follows:
        ``(A) such employee has at least 4 years and 6 months of service 
    on such committees as of December 12, 1980; and''.
    Sec. 313. Section 507 of Public Law 104-1 (109 Stat. 43; 2 U.S.C. 
1436) is repealed.] (Legislative Branch Appropriations Act, 2000.)