Appropriation (Parliamentary
Departments) Act (No. 2) 1996‑97
No. 37, 1997
Appropriation (Parliamentary
Departments) Act (No. 2) 1996‑97
No. 37, 1997
An Act to appropriate money out of the Consolidated Revenue Fund, additional to the money appropriated by the Appropriation (Parliamentary Departments) Act 1996‑97, for certain expenditure in relation to the Parliamentary Departments in respect of the year ending on 30 June 1997, and for related purposes
Contents
Part 1 — General | 1 | |
| 1 Short title............................................... | 1 |
| 2 Commencement........................................... | 1 |
| 3 Issue and application of $ 363 000............................... | 2 |
| 4 Additional appropriation in respect of increases in salaries............... | 2 |
| 5 Accounting errors etc. may be corrected after close of financial year......... | 2 |
Part 2 — Special application of Act | 3 | |
| 6 Definition.............................................. | 3 |
| 7 Application of Part........................................ | 3 |
| 8 Act to have effect subject to modifications......................... | 3 |
| 9 Modification relating to the debiting of the Consolidated Revenue Fund after the close of a financial year | 3 |
| 10 Modification relating to act of grace payments....................... | 4 |
Schedule — Services for which money is appropriated | 5 | |
Appropriation (Parliamentary
Departments) Act (No. 2) 1996‑97
No. 37, 1997
An Act to appropriate money out of the Consolidated Revenue Fund, additional to the money appropriated by the Appropriation (Parliamentary Departments) Act 1996‑97, for certain expenditure in relation to the Parliamentary Departments in respect of the year ending on 30 June 1997, and for related purposes
[Assented to 17 April 1997]
The Parliament of Australia enacts:
1 Short title
This Act may be cited as the Appropriation (Parliamentary Departments) Act (No. 2) 1996‑97.
2 Commencement
This Act commences on the day on which it receives the Royal Assent.
Part 1 General
Section 3
3 Issue and application of $ 363 000
(1) The Minister may issue out of the Consolidated Revenue Fund and apply for the services specified in the Schedule, in respect of the year ending on 30 June 1997, the sum of $ 363 000.
(2) The Consolidated Revenue Fund is appropriated as necessary for the purposes of subsection (1).
4 Additional appropriation in respect of increases in salaries
Section 5 of the Appropriation (Parliamentary Departments) Act 1996‑97 has effect, on and from the commencement of this Act, as if any reference in that section to Schedule 3 to that Act included a reference to the Schedule to this Act.
5 Accounting errors etc. may be corrected after close of financial year
Despite section 36 of the Audit Act 1901, the Minister may take action after 30 June 1997:
(a) to correct errors or mispostings in the official accounting records of the Commonwealth for the year ending on that day; or
(b) to balance the Consolidated Revenue Fund, the Trust Fund or the Loan Fund;
if the action does not result in an amount being debited from one of those Funds otherwise than for the purpose of being credited to another of those Funds.
Note: Section 36 of the Audit Act 1901 provides that (except in a particular case provided for in that section) every appropriation out of the Consolidated Revenue Fund for the service of a financial year lapses and ceases to have effect at the end of that year (the unspent balance of any appropriated amount lapsing) and that the accounts of the year are then closed.
Part 2 Special application of Act
Section 6
Part 2 — Special application of Act
6 Definition
In this Part:
Financial Management and Accountability Act means the Act to be cited as the Financial Management and Accountability Act 1997.
7 Application of Part
This Part applies if the Financial Management and Accountability Act commences before 1 July 1997.
8 Act to have effect subject to modifications
This Act has effect after the commencement of the Financial Management and Accountability Act subject to the modifications set out in the following sections.
9 Modification relating to the debiting of the Consolidated Revenue Fund after the close of a financial year
Section 5 is repealed and the following section is substituted:
5 Consolidated Revenue Fund not to be debited after close of financial year
(1) An amount appropriated under section 3 may not be debited from the Consolidated Revenue Fund after 30 June 1997.
(2) Subsection (1) does not prevent the Minister from taking action after 30 June 1997:
(a) to correct errors or mispostings in the financial accounting records of the Commonwealth for the year ending on that day; or
(b) to balance the Funds (within the meaning of the Financial Management and Accountability Act 1997);
Part 2 Special application of Act
Section 9
if the action does not result in an amount being debited from a Fund otherwise than for the purpose of being credited to another Fund.
10 Modification relating to act of grace payments
Item 3 of subdivision 2 of Division 104 in the Schedule is modified by adding at the end “or under the Financial Management and Accountability Act 1997”.
Services for which money is appropriated
Schedule
Schedule — Services for which money is appropriated
Note : See section 3
Abstract
Page Reference | Departments and Services | Total |
|
| $ |
7 | Senate............................................ | 20 000 |
7 | Provision for Running Costs Borrowings..................... | 150 000 |
8 | House of Representatives................................ | 23 000 |
8 | Provision for Running Costs Borrowings..................... | 150 000 |
9 | Joint House Department................................ | 20 000 |
| Total......................................... | 363 000 |
Schedule
SUMMARY
Appropriation (Parliamentary Departments) Act (No. 2) 1996‑97, Heavy figures
Appropriation (Parliamentary Departments) Act 1996‑97, Light figures
Division | Running Costs | Other Services | Total | |
|
| $ | $ | $ |
101 | Senate................................ | — | 20 000 | 20 000 |
|
| 23 759 000 | 400 000 | 24 159 000 |
104 | House of Representative.................... | — | 23 000 | 23 000 |
|
| 22 769 000 | 429 000 | 23 198 000 |
107 | Parliamentary Reporting Staff................ | — | — | — |
|
| 30 330 000 | 3 155 000 | 33 485 000 |
108 | Parliamentary Library...................... | — | — | — |
|
| 15 340 000 | — | 15 340 000 |
109 | Joint House Department.................... | — | 20 000 | 20 000 |
|
| 36 536 000 | 2 573 000 | 39 109 000 |
| Total................................. | — | 63 000 | 63 000 |
|
| 128 734 000 | 6 557 000 | 135 291 000 |
Schedule
| Additional appropriation for 1996‑97 | Information with respect to previous appropriation and expenditure | |
| Appropriation made by Appropriation (Parliamentary Departments) Act 1996‑97 | Expenditure for 1995‑96 | |
| $ | $ | $ |
Division 101.—SENATE |
|
|
|
2.— Other Services |
|
|
|
01. Citizenship visits program............... | 20 000 | 394 000 | 427 425 |
Total: Senate....................... | 20 000 |
|
|
PROVISION FOR RUNNING COSTS BORROWINGS |
|
|
|
Division 103.— PROVISION FOR RUNNING COSTS BORROWINGS |
|
|
|
To enable the President to make money available for expenditure: |
|
|
|
(a) for the purposes of running costs for which an appropriation has been made under an item, subdivision or Division in Schedule 3 to Appropriation (Parliamentary Departments) Act 1996‑97; and |
|
|
|
(b) particulars of which will afterwards be submitted to the Parliament | 150 000 | 50 000 | • |
* Expenditure in 1995‑96 from the Provision for Running Costs Borrowings to the President of the Senate is shown under the appropriation to which it has been charged. | |||
Schedule
| Additional appropriation for 1996‑97 | Information with respect to previous appropriation and expenditure | |
| Appropriation made by Appropriation (Parliamentary Departments) Act 1996‑97 | Expenditure for 1995‑96 | |
| $ | $ | $ |
Division 104.— HOUSE OF REPRESENTATIVES |
|
|
|
2.— Other Services |
|
|
|
01. Citizenship visits program.................. | 20 000 | 394 000 | 433 250 |
03. Payments under subsection 34A(1) of the Audit Act 1901. | 3 000 | — | 3 303 |
| 23 000 |
|
|
Total: House of Representatives............ | 23 000 |
|
|
PROVISION FOR RUNNING COSTS BORROWINGS |
|
|
|
Division 106.— PROVISION FOR RUNNING COSTS BORROWINGS |
|
|
|
To enable the Speaker of the House of Representatives to make money available for expenditure: |
|
|
|
(a) for the purposes of running costs for which an appropriation has been made under an item, subdivision or Division in Schedule 3 to Appropriation (Parliamentary Departments) Act 1996‑97; and |
|
|
|
(b) particulars of which will afterwards be submitted to the Parliament | 150 000 | 50 000 | * |
* Expenditure in 1995‑96 from the Provision for Running Costs Borrowings to the Speaker of the House of Representatives is shown under the appropriation to which it has been charged. | |||
Schedule
| Additional appropriation for 1996‑97 | Information with respect to previous appropriation and expenditure | |
| Appropriation made by Appropriation (Parliamentary Departments) Act 1996‑97 | Expenditure for 1995‑96 | |
| $ | $ | $ |
Division 109.—JOINT HOUSE DEPARTMENT |
|
|
|
3.— Other Services |
|
|
|
01. Compensation and legal expenses.......... | 20 000 | — | — |
Total: Joint House Department.......... | 20 000 |
|
|
[Minister’s second reading speech made in—
House of Representatives on 5 February 1997
Senate on 6 March 1997]
(3/97)
88208 Cat. No. 96 75981 ISBN 0644 501391
Printed by Authority by the Commonwealth Government Printer (3/97)