R-07-46
RESOLUTION NO. R-07-46
REAPPROPRIATION OF CAPITAL PROJECT FUNDS TO FY 2007-08
"'V\i'"I-IEREAS, each year City staff presents to the Cit.y Council a list. ofcapit.al project.s vvit.h
unobligated funds and a recommendation as t.o vv-het.her or not those funds should be
reappropriated; and
"'HEREAS, this situation occurs ",,"hen funds are appropriated, but as of the end of the fiscal
year have not been either spent or obligated through the issuance of a contract or purchase
order; and
VVHEREAS, the estimated fund balance for the 2007-08 budget vvas based on the assumption
that: these funds vvould be reappropriated.
NOVV THEREFORE, IT IS HEREBY RESOLVED that the attached List of Capital
Projects and Funds shall be reappropriated to FY 2007-08.
Adopted this 13 day of November 2007.
~~
ATTEST:
~./k~~,~~-t:?:/
City Clerk
VOTE:
Councilvvoman.. Cross
Councilman Greenfield
Councilv.;oman Lyon
Councilman Rasmussen
Councilman Silverthome
Councilmember VV"inter
Aye
Aye
Aye
Aye
Aye
Aye
Schools
Title
Contract Services
Capital Outlay - Technology
FHS Bleachers
Paving Repairs
Electrical Upgrades
Roofing Warranty
Contingent Reserve
Subtotal Schools
General Government
Title
Pentamation
Blenheim Property Improvements
City Office Facilities
Grandma's Cottage
Ratcliffe Cemetery Restoration
Ratcliffe House Maintenance
Property Yard Maintenance
Old Town Hall
Sisson House
Vehicle Equipment Replacement
Police Operating Computer System
Police RMS System
Police Vehicle Replacement
Fire Station 33 Maintenance
Public Safety Training Structure
CAMA Software
Subtotal General Government
Cost Center
481110
481350
681225
681705
681706
681712
681901
Amount
117,607
181,272
63,689
75,000
10,294
15,779
24,217
487,858
Cost Center
611204
611401
611402
611403
611442
611443
611453
611460
611470
611501
611608
611612
611620
611722
611738
415250
Amount
88,700
1,949,532
390,739
273,724
47,410
11 ,800
8,368
35,195
45,000
346,658
170,362
102,867
94,061
30,000
3,145
125.000
3,722,561
Recreation & Community Appearance
Title Cost Center
Providence Park Phase I 651121
Ballfield Development 651123
Van Dyck Park Replacement Shelter 651136
Van Dyck Park / Thaiss Park Resurfacing 651137
Trail Extension Wilcoxon to Planatation 651183
Drainage Ratcliffe Park 651186
Park Equipment Replacement 651190
Park Bridge Replacement 651191
Dead End Street Improvements 651195
Parks Curbside Plantings 651411
Planting & Beautification 651420
Subtotal Recreation & Community Appearance
Amount
87,362
5,686,209
30,000
100,000
57,000
78,362
10,030
118,989
105,506
10,000
20.080
6,303,538
Environment
Title
Storm Drainage Maintenance
Neighborhood Drainage Projects
Storm Structure Upgrades
Subtotal Environment
Transportation
Title
Chain Bridge Road Sidewalk
Pickett Road Bridge 1 Accotink
George Mason Boulevard
Route 29/50 Improvements
Route 29/50 - Rt 123 TO WCL
Route 29/50 & Northfax
Fairfax Circle Short Term Improvements
University Drive Relocation
Northfax Gateway Sewer
Jermantown Road
Traffic Signals
Loop Detector Installation
Judicial 1 Main - Signal Improvements
Fiber Optic Comm System
Underground Utility - Route 236 I OLH
Message Signs
Traffic Counter
Traffic Sensors Installation
Lighted Crosswalks
Overhead Video Detectors
Sidewalk Improvements
Brick Sidewalk Repair
Street Repaving Program
Pavement Markers
CUE-GMU Bus Directory
CUE Bus Accessability Project
Subtotal Transportation
Cost Center
641401
641410
641417
Amount
10,089
86,940
146.378
243,408
Cost Center
631113
631117
631118
631120
631121
631122
631132
631140
631142
631150
631201
631202
631208
631210
631220
631231
631235
631237
631238
631239
631311
631313
631320
631321
631706
631707
Amount
98,854
9,999
6,634,574
1,692,736
1,447,000
656,623
303,708
970,934
2,889,987
1,572,222
57,784
20,945
115,000
65,000
479,116
497,720
37,945
41,680
98,957
86,425
111,088
4,879
78,340
101,821
40,000
191.636
18,304,971
Title
Cable TV Equipment Grant
Cost Center
619110
Amount
84,444
Title
Fire Alarm Upgrade
Lanier Bond Improvements
Fairfax High School Bond Improvements
Cost Center
682102
682125
682235
Amount
50,000
6,487,252
3,437,258
I~~
",;.tiJt., .' '~-;' , '.'. ; ,y' ,', " :., ,: : ~ _.. _ " _ ',' . ."., ,,' '_,,~ _<_: -', _,.' ':
Title
Modify Existing Detention System
Cost Center
643404
Amount
30,249
t*lfr...._~_
Title
Lee Highway Storm Sewer
Stream Stabilization
Watershed Management Plan
Silt Removal - Bridges
Cost Center
644403
644404
644405
644420
Amount
4,727
461,867
9,017
6,837
I~B1I1Ill_"_WlllR:"'''
1!,rrtr~II""_
::;;;.;,.. .. . (" ""':' (':::, ;,.'.- :'0- -,'-,.- _,,',,"~~;":', .,..~,/"".;';,.,~ ~"::',,~':'" ,.' '-"<--"'&>:'::}'.~i*"~j!i":'",.'":",,,,,, ;{.,_.,\:.",_"~, ,--".
Title
Land Purchases
Cost Center
655190
Amount
77,814
Title
Old Redevelopment
Library
Amoco Development
Cost Center
616110
616111
616112
Amount
2,994,941
4,259,357
14,777
Line Maintenance. 435120
Title
Vehicle Replacement
Other Machinery & Equipment Replacement
Utility Engineering
Sewage Pump Station Rehabilitation
Sewer Rehab - Creek Crossing
Sewer Trunk Line Rehabilitation
Account
580105
580108
580410
580428
580429
580443
Amount
70,404
78,000
75,000
154,422
75,000
856,698
u_ .
Impoundment & Treatment. 436110
Title
Other Machinery & Equipment
New Other Mach & Equipment
Utility Engineering
Raw Water Pumping Station
Beaver Dam Facilities
Paint Storage Tank Valves
Solids Handling
Subtotal Impoundment & Treatment
Line Maintenance. 436120
Title
Vehicle Replacement
Utility Engineering
24" Transmission Main Rehab.
Water Main Replacement
Tank Maintenance
Subtotal Line Maintenance
Administration & Engineering. 436130
Title
Office Equipment Replacement
Account
580108
580208
580410
580412
580414
580415
580420
Amount
339,480
443,744
142,717
815,725
1,145,354
270,335
20.343
3,177,698
Account
580105
580410
580423
580424
580426
Amount
281 ,462
291,115
466,980
3,298,483
216.275
4,554,315
Account
580103
Amount
56,908