CHAPTER 250
APPROPRIATION - MAINTENANCE AND IMPROVEMENT OF PUBLIC SCHOOL BUILDINGS
AN ACT TO APPROPRIATE FUNDS TO THE SCHOOL BOARDS FOR THE MAINTENANCE AND IMPROVEMENT OF PUBLIC SCHOOL BUILDINGS OF THE STATE.
Be it enacted by the General Assembly of the State of Delaware:
Section 1. In addition to any other funds appropriated to the State Board of Education or other Boards of Education or School Trustees in the State, there are hereby appropriated to the Boards of Education or School Trustees of the districts listed herein the amounts listed below for the fiscal year ending June 30, 1958 and like amounts for the fiscal year ending June 30, 1959, for the purpose of repairing and maintaining public school buildings and grounds and repairing, replacing and maintaining public school equipment:
District
|
Amount per fiscal year
|
Alfred I. duPont
|
$ 15,320.00
|
Arden #3
|
349.011
|
Commodore MacDonough
|
2,646.50
|
H. C. Conrad # 131
|
9,235.00
|
Delaware City #52
|
4,360.00
|
Eden #101
|
414.00
|
Hockessin #29
|
888.00
|
Marshallton #77
|
10,078.00
|
Middletown #60
|
5,826.50
|
Newport #21
|
7,040.00
|
Oak Grove #130
|
12,565.00
|
Odessa #61
|
1,026.00
|
Richardson Park #20
|
10,880.00
|
Rose Hill #47
|
13,712.50
|
Stanton #38
|
2,810.00
|
Townsend #81
|
2,970.00
|
Yorklyn #91
|
1,036.00
|
L. L. Redding
|
6,644.00
|
Newport #106-C
|
3,240.00
|
Clayton #119
|
2,265.00
|
Felton #54
|
5,780.00
|
Frederica #32
|
2,300.00
|
Hartly #96
|
1,390.00
|
Houston #125
|
847.00
|
Magnolia #50
|
1,530.00
|
Wm. Henry
|
6,290.00
|
Blades #172
|
905.00
|
Bridgeville #90
|
9,728.00
|
J. M. Clayton #97
|
5,648.00
|
Delmar #163
|
6,155.00
|
Ellendale #125
|
1,440.00
|
Greenwood #91
|
5,026.00
|
Gumboro #37
|
864.00
|
Lord Baltimore #28
|
4,585.00
|
Millsboro #23
|
6,044.00
|
Milton #8
|
8,440.00
|
Roxana # 31
|
835.00
|
Selbyville #32
|
7,020.00
|
Bridgeville #220-C
|
1,746.00
|
Frankford #206-C
|
1,681.50
|
W. C. Jason
|
5,935.00
|
Millsboro #204-C
|
1,384.00
|
Selbyville #210-C
|
180.50
|
1-2-3 Teacher Schools
|
|
(State Board of Education)
|
7,938.50
|
Special School District
|
Amount per fiscal year
|
Alexis I. duPont
|
$ 19,049.50
|
Caesar Rodney
|
10,294.50
|
Dover
|
22,630.00
|
Claymont
|
21,144.00
|
Georgetown
|
20,403.00
|
Harrington
|
7,145.00
|
Laurel
|
14,777.50
|
Lewes
|
12,643.00
|
Milford
|
14,717.00
|
Mt. Pleasant
|
33,910.00
|
Newark
|
34,862.50
|
New Castle
|
23,687.00
|
Rehoboth
|
5,430.00
|
Seaford
|
23,225.00
|
Smyrna
|
11,397.00
|
Wilmington
|
177,204.00
|
Total for each fiscal year
|
$659,517.00
|
In addition to any other funds appropriated to the State Board of Education of other 'Boards of Education or School Trustees in the State, there are' hereby' appropriated to the School Trustees of the districts listed below the amounts listed below for the fiscal year ending June 30, 1958, and the amounts listed below for the fiscal year ending June 30, 1959, for the purpose of repairing and maintaining public school buildings and grounds and repairing, replacing and maintaining public school equipment:
Amount fiscal year Amount fiscal year
District ending June 30, 1958 ending June 30, 1959
Lincoln #3
|
$14,300.00
|
$1,068.00
|
Christiana #44
|
14,050.00
|
2,050.00
|
TOTALS
|
$28,350.00
|
$3,118.00
|
Section 2. The amounts appropriated shall be expended in the school districts according to rules and regulations of the local board within such districts except in the case of 1, 2 and 3 teacher schools the funds of which shall be administered by the State Board of Education.
Section 3. In letting contracts, the State Board of Education and/or school districts shall be governed by Section 6702, Title 29, Delaware Code. All contracts excepting those excluded from the operation of Section 6702 (a), Title 29, Delaware Code, by Section 6702 (b) thereof shall be accompanied by proof of possession of workmen's compensation and public liability insurance.
The funds herein appropriated shall not be used for salaries of regular employees or for any other operating expenses or for new construction but shall be used only for the purposes listed in Section 1 of this Act.
Section 4. The sums hereby appropriated shall not revert to the General Fund of the State at the end of any fiscal year, but shall remain available until expended for carrying out the purposes of this Act.
Section 5. This Act is a supplementary appropriation and the money so appropriated shall be paid by the State Treasurer out of the General Fund of the State of Delaware.
Approved July 22, 1957.