Loading...
19920526 r-92-15RESOLUTION NO. R-92-15 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, 1992, and ending June 30, 1993. Account Budget Number Account Name Amount 411010 City Council $ 119,889 411020 City Clerk 109,714 415020 City Attorney 254,715 415040 Treasurer 278,342 415050 Commissioner of Revenue 396,070 414010 Electoral Board 98,314 444010 Commission for Women 1,950 ELECTED & APPOINTED ADMINISTRATIVE OFFICES $1,258,994 413010 General District Court $ 27,510 413020 Joint Court Service 276,431 413030 Jail and Custody Service 389,034 431510 County Agent 65,026 444050 Social Services 961,717 441010 Health Department 451,059 444020 Community Services Board 831,070 455010 Library Services 501,724 499090 Regional Agencies 116,384 CONTRACTED SERVICES $3,619,955 415010 City Manager $ 219,066 415210 Economic Development 311,875 415220 Personnel 226,829 415230 Public Information 176,525 415240 Cable TV 38,476 415260 Printing and office Supplies 228,180 415280 Telephone 100,020 444060 Human Services Coordinator 44,459 CITY MANAGER'S OFFICE $1,345,430 415250 Data Processing Service Center $ 238,717 415410 Finance and Accounting 356,173 415240 Real Estate Assessment 198,217 415430 Risk Management 298,642 444040 Senior Citizen Tax Relief 110,000 DEPARTMENT OF FINANCE $1,201,749 421010 421020 421030 Account Number Police Administration Police Services Police Operations POLICE DEPARTMENT Account Name $1,330,685 1,046,769 3,152,563 $5,530,017 Budget Amount 422010 422020 422030 422040 Fire and Rescue-Administration Fire and Rescue-Suppression Fire and Rescue-EMS Code Enforcement FIRE AND RESCUE DEPARTMENT $ 313,748 2,765,086 763,236 555,333 $4,397,403 R-92-15 431110 431120 431130 431140 431210 431310 431320 431410 415270 451010 451020 451040 451050 461010 461020 481010 481020 481040 481050 481090 470010 415030 490020 490030 490040 490050 499970 499990 -2- Public Works-Highways Public Works-Snow Removal Public Works-Storm Drainage Public Works-Sign & Signals-Highway Public Works-Refuse Collection Building Maintenance Street R.O.W. & Public Grounds Public Works-Administration Automotive/Motor Pool PUBLIC WORKS $1,071,123 100,046 392,361 821,083 1,289,330 480,282 560,519 299,647 10,549 $5,024,940 Recreation-Administration Recreation-Special Events Park & Ballfield Maintenance Old Town Hall PARKS & RECREATION $ 616,907 167,164 495,202 44,377 $1,323,650 Planning Community Development PLANNING AND COMMUNITY DEVELOPMENT $ 265,832 240,295 $ 506,127 School Board Contracted Instruction Fixed Charges Capital Outlay Expenses School Debt Service EDUCATION $ 278,768 16,000,000 20,000 20,200 473,525 $16,792,493 General Debt Service Public Audit of Accounts Cost of Living Salary Adjustment Reserve for Contingency Capital Budget Fund Transfer Transit Fund Transfer Interest on Capital Leases Uses from Capital Leases NON-DEPARTMENTAL ACCOUNTS $ 152,450 34,000 2,231 75,000 1,162,664 855,609 10,358 70,080 $2,362,392 Total General Fund Budqet $43,363,150 INTRODUCED: PUBLIC HEARING: May 12, 1992 May 26, 1992 ATTEST: City C~erk yayor