19950627 r-95-21RESOLUTION NO. R-95-21
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, 1995,
and ending June 30, 1996.
Account Budget
Number Account Name Amount
411010 City Council $ 44,613
411020 City Clerk 127,283
LEGISLATIVE $ 171,896
413010 General District Court $ 25,100
413020 Joint Court Service 243,778
413030 Jail and Custody Service 443,370
JUDICIAL ADMINISTRATION $ 712,248
414010 Electoral Board $ 120,554
BOARD OF ELECTIONS $ 120,554
415010 City Manager $ 248,047
415020 City Attorney 284,252
415030 Public Audit of Accounts 34,050
415040 Treasurer 325,358
415050 Commissioner of Revenue 524,235
415210 Economic Development 424,182
415220 Personnel 265,827
415230 Community Relations 206,557
415240 Cable TV 55,474
415250 Data Processing Services 403,010
415260 Printing and Office Supplies 232,597
415270 Automotive/Motor Pool <14,636>
415280 Telephone 119,699
415410 Finance and Accounting 382,727
415420 Real Estate Assessments 202,975
415430 Risk Management 386,385
GENERAL AND FINANCIAL $4,080,739
421010 Police Administration $ 512,843
421020 Police Investigative 1,941,783
421030 Police Operations 3,496,750
SUBTOTAL POLICE $5,951,376
422010 Fire and Rescue-Administration $ 326,420
422020 Fire and Rescue-Suppression 2,934,050
422030 Fire and Rescue-EMS 850,025
422040 Code Enforcement 655,791
SUBTOTAL FIRE AND RESCUE $4,766,286
PUBLIC SAFETY
$10,717,662
431110 Public Works-Highways $1,170,908
431120 Public Works-Snow Removal 88,376
431130 Public Works-Storm Drainage 407,341
431140 Public Works-Highways 777,608
431210 Public Works-Refuse Collection 1,413,736
431310 Building Maintenance 492,081
431320 Street R.O.W. & Public Grounds 645,938
431410 Public Works-Administration 428,334
431510 County Agent 49,279
PUBLIC WORKS $5,473,601
R-95-21
-2
Account
Number
Account Name
Budget
Amount
441010
444010
444020
444040
444050
444060
451010
451020
451040
451050
455010
461010
461020
470010
481010
481020
481040
481050
481090
490020
490030
490090
499970
499990
490040
490050
Health Service Department
Commission for Women
Community Services Board
Senior Citizen Tax Relief
Social Services
Human Services Coordinator
SOCIAL SERVICES
Recreation-Administration
Recreation-Special Events
Park & Ballfield Maintenance
Recreation-Old Town Hall
Library Services
CULTURE AND RECREATION
Planning
Community Development
PLANNING & COMMUNITY
DEVELOPMENT
General Debt Service
DEBT SERVICE
School Board
Contracted Instruction
Fixed Charges
Capital Outlay Expenses
School Debt Service
EDUCATION
Cost of Living Salary
Reserve for Contingency
Regional Agencies
Interest on Capital Leases
Uses from Capital Leases
NONDEPARTMENTAL
Capital Budget Fund Transfer
Transportation Fund Transfer
TRANSFERS TO OTHER FUNDS
$ 458,380
1,750
1,037,206
126,000
1,214,803
60,989
$2,899,128
$ 712,599
264,494
580,649
53,138
602,098
$2,212,978
$ 351,324
270,932
$ 622,256
$1,176,360
$1,176,360
$ 217,050
16,950,000
20,000
45,300
491,578
$17,723,928
$ <222,969>
150,000
110,054
8,202
50,016
$ 95,303
$2,436,698
569,380
$3,006,078
TOTAL GENERAL FUND BUDGET
$49,012,731
Introduced:
Adopted:
May 23, 1995
June 27, 1995
Attest: