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19910611 r-91-18RESOLUTION NO. R-91-18 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, 1991, and ending June 30, 1992. Account Budget Number Account Name Amount 411010 City Council $ 47,709 411020 City Clerk 108,215 LEGISLATIVE $ 155,924 413010 General District Court $ 33,229 413020 Joint Court Service 276,717 413030 Jail and Custody Service 385,301 JUDICIAL ADMINISTRATION $ 695,247 414010 Electoral Board $ 103,019 BOARD OF ELECTIONS $ 103,019 415010 City Manager $ 216,498 415020 City Attorney 325,160 415030 Public Audit of Accounts 25,068 415040 Treasurer 283,136 415050 Commissioner of Revenue 415,518 415210 Economic Development 180,369 415220 Personnel 235,780 415230 Public Information 168,663 415240 Cable TV 49,922 415250 Data Processing Services 241,529 415260 Printing and Office Supplies 215,329 415270 Automotive/Motor Pool <19,692> 415280 Telephone 90,117 415410 Finance and Accounting 351,186 415240 Real Estate Assessments 208,256 415430 Risk Management 381.512 GENERAL AND FINANCIAL $3,368,351 421010 Police Administration $1,339,368 421020 Police Services 1,052,311 421030 Police Operations 3,244,685 SUBTOTAL POLICE $5,636,364 422010 Fire and Rescue-Administration $ 324,872 422020 Fire and Rescue-Suppression 2,772,130 422030 Fire and Rescue-EMS 762,047 422040 Fire Marshal 257,298 SUBTOTAL FIRE AND RESCUE $4,116,347 424010 Building/Fire Inspection $ 289,356 PUBLIC SAFETY $10,042,067 431110 Public Works-Highways $1,138,603 431120 Public Works-Snow Removal 114,026 431130 Public Works-Storm Drainage 401,681 431140 Public Works-Sign & Signals-Highway 842,203 431210 Public Works-Refuse Collection 1,331,344 431310 Building Maintenance 479,975 431320 Street R.O.W. & Public Grounds 638,585 431410 Public Works-Administration 349,172 431510 County Agent 63,746 PUBLIC WORKS $5,359,335 R-91-18 Account Number 441010 444010 444020 444040 444050 444060 451010 451020 451040 455010 461010 461020 470010 481010 481020 481040 481050 481090 490020 490030 490090 490040 490050 499970 499990 Account Name Budget Amount Health Service Department Commission for Women Community Services Board Senior Citizen Tax Relief Social Services Human Services Coordinator SOCIAL SERVICES $ 455,855 1,950 775,067 147,000 834,782 42,032 $2,256,686 Recreation-Administration Recreation-Special Events Park & Ballfield Maintenance Library Services CULTURE & RECREATION $ 635,697 221,569 493,046 567,896 $1,918,208 Planning $ Community Development PLANNING AND COMM. DEVELOPMENTS 258,027 228,724 486,751 General Debt Service DEBT SERVICE $ 249,000 $ 249,000 School Board Contracted Instruction Fixed Charges Capital Outlay Expenses School Debt Service EDUCATION $ 267,408 15,600,000 20,000 20,500 313,775 $16,221,683 Cost of Living Salary Reserve for Contingency Regional Agencies NONDEPARTMENTAL $ 122,500 75,000 118,005 $ 315,505 Capital Budget Fund Transfer Transportation Fund Transfer TRANSFERS TO OTHER FUNDS $1,682,401 770,415 $2,452,816 Interest on Capital Leases $ Uses from Capital Leases CAPITAL LEASES-NONDEPARTMENTAL$ 14,038 126,717 140,755 Total General Fund Budqet $43,765,347 Introduced: Adopted: May 28, 1991 June 11, 1991 (Mayor) Attest: ~ '~) City Clerk