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R-18-09RESOLUTION NO. R-18-09 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, 2018 and ending June 30, 2019. Legislative City Council $127,139 City Clerk 196,076 Total Legislative $323,215 Judicial Administration General District Court $58,060 Joint Court Service 306,667 Juvenile & Domestic Court 517,632 Commonwealth Attorney 119,707 Court Services & Custody 1,910,869 Total Judicial Administration $2,912,935 Electoral Board Electoral Board $357,098 General & Financial Police City Manager $504,953 Economic Development 725,214 City Attorney 472,700 Public Audit of Accounts 75,464 Personnel 774,192 Communications & Marketing 431,311 Cable TV 329,307 Risk Management 294,972 Telephone 90,909 Information Technology 2,113,339 Printing & Office Supplies 257,783 Fleet Maintenance 0 Finance 950,744 Real Estate 717,713 Treasurer 1,002,104 Commissioner of Revenue 1,174,363 Retirement Expenses 163,400 Pool Maintenance 25,000 Total General and Financial $10,103,468 Police Administration $1,712,002 Technical Services 4,572,650 Field Operations 7,060,294 Total Police $13,344,946 Fire & Rescue Administration $1,657,339 Fire Operations 11,289,139 Code Administration 2,009,926 Total Fire & Rescue $14,956,404 Public Works Asphalt & Concrete Maint. $2,254,117 Snow Removal 387,620 Storm Drainage 918,423 Signs, Signal, and Lighting 2,160,099 Refuse Collection 2,897,803 Facility Maintenance 1,660,198 R.O.W. & Grounds 1,120,043 Administration 1,003,570 Total Public Works $12,401,873 Social Services Health Department $1,229,565 Commission for Women 2,250 Community Services Board 1,854,268 Tax Relief 1,100,000 Human Services Coordinator 144,610 Social Services 2,168,404 County Agent 48,809 Total Social Services $6,547,906 Culture and Recreation Administration $2,393,136 Special Events 745,861 Facilities 583,882 Park/Ballf eld Maintenance 1,401,007 Library 833,996 Historic Resources 669,320 Total Culture and Recreation $6,627,202 Community Development and Planning Education Debt Service Non - Departmental Planning & Design Review $1,686,853 Current Planning 1,014,976 Total CD & P $2,701,829 School Board $967,028 Tuition 49,287,277 Capital Outlay 20,000 School - Interest on Leases 159,064 School - Uses from Leases 963,500 School Debt Service 4,514,102 Total Education $55,910,971 General Debt Service $1,602,526 Interest on Leases $1,841,390 Uses From Leases 3,226,021 Regional Agencies 173,722 Salary Vacancy (1,051,081) Reserve Budget Cut (554,921) Capital Budget 6,492,816 Transit Fund 0 Transfer to Other Funds 4,056,878 Total Non -Departmental $14,184,825 Total General, Fund Expenditures 1 $141,975 198. ADOPTED this l 2'h day of June, 2018. Mayor Attest: L VAN Ma, WA . . — 6 MEW f City Clerk The vote on the motion to approve was recorded as follows: VOTE: Councilmember DeMarco Aye Councilman Greenfield Aye Councilmember Miller Aye Councilmember Passey Aye Councilmember Schmidt Aye Councilmember Stehle Aye