1190 LAWS OF MARYLAND. [CH. 710
EMERGENCY AND POST-WAR CONSTRUCTION APPROPRIATIONS
The following appropriations are made from the General Funds of the State:
War Emergency Fund: To the Board of Public Works, to be used as an Emergency
Fund for the payment of obligations incurred by the Board of Public Works incident to,
or arising out of, the war emergency, including such sums as the Board may, in its
discretion, allot to the State Guard and/or the Reserve Militia; a statement of the
expenditures therefrom to be submitted to the next regular session of the General
Assembly or to any special session which might be convened in the meantime. In the
event there remains an unexpended balance at the end of the fiscal year for which this
fund is appropriated, such unexpended balance is to be added to the fund to be created
by authority of the General Assembly of 1943 for post-way construction purposes—for
the fiscal year 1944, $500,000.00; for the fiscal year 1945, $500,000.00.
General Emergency Fund: To the Board of Public Works, to be used by the said
Board in supplementing appropriations made in the budgets for the fiscal years 1944 and
1945 where it is found that regular appropriations, because of economic conditions, are
insufficient for the operating expenses of the State Government beyond those which
were contemplated at the time of the preparation of the budgets for these fiscal years;
a statement of the expenditures therefrom to be submitted to the next regular session
of the General Assembly or to any special session which might be convened in the
meantime. In the event there remains an unexpended balance at the end of the fiscal
year for which this fund is appropriated, such unexpended balance is to be added to the
fund to be created by authority of the General Assembly of 1943 for post-war construc-
tion purposes—for the fiscal year 1944, $500,000.00; for the, fiscal year 1945, $500,000.00.
Post-War Construction Fund; To the Board of Public Works, for construction and
other capital improvements at State Institutions, and for other Agencies, in connection
with carrying out any program to be adopted by the State in providing for post-war
projects, the sum of $2,000,000.00 to be available July 1, 1943. The amount hereby ap-
propriated being a use of so much of the excess General Treasury Funds and to be
supplemented by any unexpended balance remaining in the General Emergency Fund and
War Emergency Fund appropriated in this budget. This sum to continue to be available
until it becomes exhausted for the purposes for which it is appropriated, unless other-
wise disposed of by subsequent action of the General Assembly.
Of the above appropriation of $2,000,000.00, there is hereby allocated the following:
1. For the necessary expenses of the Post War Reconstruction and Development
Commission, such sum not to exceed $25,000.00, as may be allotted by the Board
of Public Works for the purposes of the Commission.
2. The following sums to the institutions indicated and for the purposes set forth
in the General Construction Loan of 1941, being Chapter 854 in lieu of similar
sums transferred to the University of Maryland and contingent upon the passage
of legislation providing therefor:
Maryland State Penal Farm........................... $ 25,000.00
Cheltenham School for Boys........................... 124,000.00
Maryland Training Schol for Boys..................... 115,000.00
Maryland Training School for Colored Girls............ 50,000.00
Eastern Shore State Hospital......................... 25,000.00
Rosewood State Training School...................... 112,000.00
$451,000.00
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