19800520 r-80-12GENERAL FUND APPROPRIATIONS
RESOLUTION NO. R-80-12
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, 1980 and
ending June 30, 1981.
Account Budget
Number Account Name Amount
Legislative
101 City Council/Clerk to Council $ 75,893
102 City Attorney 73,133
103 Electoral Board 28,850
104 Public Audit of Accounts 13,500
$ 191,376
Administrative
201 City Manager $ 114,922
202 Personnel Office 47,333
203 Planning Office 98,106
205 Public Information 51,918
206 Data Processing Service Center 105,357
$ 417,636
Administration of Justice
301 General District Court $ 55,904
302 Violations Bureau 44,978
303 Joint Court Service 151,100
304 Jail and Custody Service 116~125
$ 368,107
Financial Administration
411 Commissioner of Revenue $ 152,763
412 Real Estate Assessment 99,151
420 Treasurer 124,565
430 Finance and Accounting 153,452
470 Insurance Administration 110,424
475 Printing and Office Supplies 75,328
480 General Debt Service 290,615
485 Cost-of-Living Salary Adjustment 485,000
499 Contingent Reserve 196~000
$1,687,298
Transportation
505 Regional Transportation $ 479,880
506 City-University Bus System 50,000
$ 529,880
R-80-12 -2
Account
Number
Leisure Activities
601
605
Social Services
701
750
780
Educat ion
801
803
8O5
806
807
Public Safety
901
902
903
904
905
910
921
925
930
935
Public Works
1001
1011
1012
1020
1033
1037
10 38
1041
1050
1060
1065
10 70
Account Name
Budget
Amount
Recreation
Library Services
$ 141,205
304~506
$ 445,711
Health Service
Senior Citizen Property Tax
and Rent Relief
Social Services
$ 225,821
40,000
111,500
$ 377,321
School Board/Administration
Contracted Instruction Costs
Fixed Charges
Debt Service
Capital Outlay
$ 60,000
8,250,000
30,000
962,066
25,000
$9,327,066
Police Administration
Criminal Investigation
Patrol
Traffic Safety
Public Safety Emergency Center
Animal Control
Sub Total
Fire and Rescue Services:
Administration
Suppression
Rescue
Fire Marshal
$ 171,880
269,591
1,446,928
37,285
139,697
33,796
$2,099,177
66,504
957,256
180,140
96,155
$3,399,232
Public Works Administration
Highways
Snow Removal
Building Maintenance
Storm Drainage
Refuse Collection
Street and Park Maintenance
Equipment Maintenance
Zoning Administration
Highway Lighting and Signalization
Building Inspection Services
County Agent
$ 166,157
692,540
56,718
170,871
198,257
430,035
335,868
77,887
331,018
123,312
17,590
$2,600,253
*Costs allocated to Operating Accounts
R-80-12 -3
Account
Number
Non-Departmental
1503
1550
Account Name
Regional Agencies
Telephone Service
Total General Fund Budget
Budget
Amount
$ 318,517
47,882
$ 366,399
$19,710,279
Introduced: May 13, 1980
Adopted:
May 20, 1980
Mayor
Attest:
Cit~ C 1 eXrk