R-06-16
RESOLUTION NO. R-06- 16
GENERAL FUND APPROPRIATIONS
BE IT RESOLVED by the City Council or the City ofFairFax~ Virginia, that the
fol1o~ing appropriations orthe General Fund are made for the t~elve (12) month period beginning July 1, 2006
and ending June 30, 2007
Account
Number
Account Name
Budget Amount
LEGISLATIVE
$87~ 146
141 919
$229,065
411110
411120
City Council
City Clerk
413110
413120
413130
413230
General District Court
Joint Court Service
Juvenile & Domestic Court
Jail and Custody Service
JUDICIAL AD1V1INISTRA rION
$27,600
198~291
479,973
93 1 720
$1,637,584
414110
Electoral Board
I30A.R...D OF ELECTIONS
$177,592
$177,592
415110
415120
415130
415140
415150
415160
415230
415240
415250
415260
415270
415410
415420
415440
415450
415457
415458
City l'rv1anager
City Attorney
Public Audit of Accounts
Personnel
Community Relations
Cable TV
Risk 1'v:lanagement
Telephone
Information Technology
Printing and Office Supplies
Automotive/lVlotor Pool
Finance and Accounting
Real Estate Assessn~ents
Treasurer
Commissioner of Revenue
Retirement Expenses
Pool M"aintenance
GENERAL AND FINANCIAL
$384.062
457 ~527
75,821
584,874
471,542
142,299
13,376
147~602
2,263~269
313,622
o
640,711
489,559
551~030
829,402
21,000
11 000
$7,396,697
421110
421120
421 130
Police AdIUinistration
Police Technical Services
Police Operations
SUBTOTAL POLICE
$1,059,924
3,487,309
5 930 897
$10~478,131
4221 10
422120
422140
Fire and Rescue - Administration
Fire and Rescue ,-- Operations
Code Enrorcement
SUB TOT AL FIRE AND RESCUE
PUBLIC SAFETY
$88 I ,030
6~991, 120
1 667701
$9,539,852
$20,0 I 7,983
43 I 110
431120
431130
431140
431210
431310
Public 'iVorks - I---lighvvays
Public V\7orks - Snovv Ren~oval
Public V\1orks - Storm Drainage
Public '-V"orks - Sign & Signal
Public V\7orks - Reruse Collection
Building l'\.IIaintenance
$1 ~707 ~382
197.771
703,015
1,600.395
2,338,598
1.241,923
Account
Number Account Name Budget Amount
431320 Street R.O.W. & Public Grounds 1,213,342
431410 Public Works - Administration 958,563
431510 County Agent 40,010
PUBLIC WORKS $10,001,000
44111 0 Health Service Department $859,565
441210 Commission for Women 1,750
441220 Community Services Board 1,3 70,565
441230 Senior Citizen Tax Relief 1,200,000
441240 Human Services Coordinator 69,903
441250 Social Services 1,328,249
SOCIAL SERVICES $4,830,032
451110 Recreation - Administration $1,726,204
451220 Recreation - Special Events 395,899
451250 Recreation - Old Town Hall 131,501
451340 Park & Ballfield Maintenance 1,123,189
451410 Library Services 852,150
451420 Historic Resources 462,895
CULTURE AND RECREATION $4,691,838
46111 0 Planning $696,980
461210 Economic Development 299,142
461220 Community Development 1.445,846
COMMUNITY DEVELOPMENT $2,441,969
481110 School Board $773,499
481220 Contracted Instruction 34,217,279
481340 Fixed Charges 20,000
481350 Capital Outlay Expenses 120,000
481710 School Debt Service 7,025,742
EDUCATION $42,156,520
491710 General Debt Service $2,409,115
DEBT SERVICE $2,409,115
491720 Interest on Capital Leases $2,423,599
491730 Uses from Capital Leases 1,381,188
431520 Regional Agencies 157,944
415456 Market Wage Adjustment (697,383)
. 415460 Reserve For Contingency 50,000
NONDEPARTMENTAL $3,315,348
491910 Capital Budget Fund Transfer $2,848,426
491915 Transportation Fund Transfer 933,505
491925 Transfer To Other Funds (2.1 16,914)
TRANSFERS TO OTHER FUNDS $1,665,017
TOTAL GENERAL FUND BUDGET $100,969,759
Introduced:
May 9, 2006
Adopted:
May 23, 2006
Attest:
-t/f~~
City Clerk
VOTE:
The vote on the motion to approve was recorded as
follows:
Councilwoman Cross Aye
Councilman Greenfield Aye
Councilwoman Lyon Aye
Councilman Rasmussen Aye
Councilman Silverthorne Aye
Councilmember Winter Aye
~~
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Date