20040615 r-04-35RESOLUTION NO. R-04-35
GENERAL FUND APPROPRIATIONS
BE IT RESOLVED by the City Council of the City of Fairfax, Virginia, that the
following appropriations of the General Fund are made for the twelve (12) month period beginning
July 1,2004 and ending June 30, 2005.
Jnt
mber Account Name Bud_~Amount
ll 1110 City Council $82,997
411120 City Clerk 159,087
LEGISLATIVE $242,084
413110 General District Court $23,800
413120 Joint Court Service 127,655
413130 Juvenile & Domestic Court 458,576
413230 Jail and Custody Service 375,165
JUDICIAL ADMINISTRATION $985,196
414110
Electoral Board
BOARD OF ELECTIONS
$164,376
$164,376
415110 City Manager $440,946
415120 City Attorney 365,118
415130 Public Audit of Accounts 63,842
415140 Personnel 520,787
415150 Community Relations 218,405
415160 Cable TV 160,835
415230 Risk Management 316,160
415240 Telephone 214,990
415250 Information Technology 1,417,733
415260 Printing and Office Supplies 263,095
415270 Automotive/Motor Pool 0
415410 Finance and Accounting 534,713
415420 Real Estate Assessments 439,708
415440 Treasurer 486,497
415450 Commissioner of Revenue 721,545
415457 Retirement Expenses 12,000
415458 Pool Maintenance 9,000
GENERAL AND FINANCIAL $6,185,374
421110 Police Administration $935,976
421120 Police Technical Services 2,884,963
421130 Police Operations 5,047,937
SUBTOTAL POLICE $8,868,876
422110 Fire and Rescue - Administration $733,503
422120 Fire and Rescue - Operations 5,575,997
422140 Code Enforcement 1,326,435
SUBTOTAL FIRE AND RESCUE $7,635,935
PUBLIC SAFETY $16,504,811
~unt
Number. Account Name Bud,qet Amount
431110 Public Works - Highways $1,501,721
431120 Public Works - Snow Removal 195,101
431130
431140
431210
431310
431320
431410
431510
441110
441210
441220
441230
441240
441250
451110
451220
451250
451340
451410
451420
461110
461210
461220
481110
481220
481340
481350
481710
491710
491720
491730
431520
415456
415460
Public Works - Storm Drainage
Public Works - Sign & Signal
Public Works - Refuse Collection
Building Maintenance
Street R.O.W. & Public Grounds
Public Works - Administration
County Agent
PUBLIC WORKS
Health Service Department
Commission for Women
Community Services Board
Senior Citizen Tax Relief
Human Services Coordinator
Social Services
SOCIAL SERVICES
Recreation - Administration
Recreation - Special Events
Recreation - Old Town Hall
Park & Ballfield Maintenance
Library Services
Historic Resources
CULTURE AND RECREATION
Planning
Economic Development
Community Development
COMMUNITY DEVELOPMENT
School Board
Contracted Instruction
Fixed Charges
Capital Outlay Expenses
School Debt Service
EDUCATION
General Debt Service
DEBT SERVICE
Interest on Capital Leases
Uses from Capital Leases
Regional Agencies
Market Wage Adjustment
Reserve For Contingency
NONDEPARTMENTAL
613,580
1,668,945
2,069,629
987,628
995,544
843,291
54,612
$8,930,051
$776,498
1,750
1,281,008
778,500
71,997
1,248,602
$4,158,355
$1,360,427
419,726
100,459
999,622
783,125
369,091
$4,032,450
$734,391
271,601
705,937
$1,711,929
$797,766
3O,338,289
20,000
204,387
2,190,600
$33,551,042
$4,409,050
$4,409,050
$24,577
482,150
144,715
(493,958)
180,000
$337,484
Number
491910
491915
491925
Account Name
Capital Budget Fund Transfer
Transportation Fund Transfer
Transfer To Other Funds
TRANSFERS TO OTHER FUNDS
Budget Amount
$2,513,765
1,287,073
1,555,515
$5,356,353
TOTAL GENERAL FUND BUDGET $86,568,555
Introduced: June 8, 2004
Adopted: June 15, 2004
VOTE:
The motion to adopt the ordinance was:
Councilwoman Cross
Councilman Greenfield
Councilwoman Lyon
Councilman Rasmussen
Councilman Silverthorne
Councilmember Winter
Attest:
Absent
Aye
Aye
Aye
Aye
Aye
Mayor
Date