01120nam--2200385---450 99000186668020331620210302174200.0000186668USA01000186668(ALEPH)000186668USA0100018666820040721d1962----km-y0itay0103----baengGB||||||||001yy<<The>> use of EnglishRandolph Quirkwith supplements by A. C. Gimson and Jeremy WarburgLondonLongman1962VII, 336 p.19 cm20012001001-------2001QUIRK,Randolph132068GIMSON,A. C.WARBURG,J.ITsalbcISBD990001866680203316VII.3.D. 12 (XII W 235)23850 L.M.XII WVII.3.D. 252(II i D 193)66369 L.M.II iBKUMASIAV21020040721USA011437COPAT49020050505USA011448COPAT69020050606USA011051Use of English166789UNISA02523oam 2200517M 450 991071633660332120200213070618.2(CKB)5470000002520771(OCoLC)1065984802(OCoLC)995470000002520771(EXLCZ)99547000000252077120071213d1925 ua 0engurcn|||||||||txtrdacontentcrdamediacrrdacarrierAnnual report of the Clerk of the House of Representatives Wm. Tyler Page giving names of statutory and contingent-fund employees of the House and their respective compensations, including clerks to members ; the expenditures from the contingent fund and from certain specific appropriations ; the amounts drawn from the Treasury ; the stationery accounts ; and unexpended balances from the year ended June 30, 1925. December 7, 1925. -- Referred to the Committee on Accounts and ordered to be printed[Washington, D.C.] :[U.S. Government Printing Office],1925.1 online resource (468 pages) tablesHouse document / 69th Congress, 1st session. House ;no. 1[United States congressional serial set ] ;[serial no. 8562]Index, p. 425.Batch processed record: Metadata reviewed, not verified. Some fields updated by batch processes.FDLP item number not assigned.RevenueFactory and trade wasteWagesClerksCivil serviceFinancial statementsLegislative materials.lcgftRevenue.Factory and trade waste.Wages.Clerks.Civil service.Financial statements.WYUWYUOCLCOOCLCQBOOK9910716336603321Annual report of the Clerk of the House of Representatives Wm. Tyler Page giving names of statutory and contingent-fund employees of the House and their respective compensations, including clerks to members ; the expenditures from the contingent fund and from certain specific appropriations ; the amounts drawn from the Treasury ; the stationery accounts ; and unexpended balances from the year ended June 30, 1925. December 7, 1925. -- Referred to the Committee on Accounts and ordered to be printed3442083UNINA