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2. For the operation of City Link, the sum of $1,450,000. Of this amount, <br />• $352,679 will be transferred to the Debt Service Fund for repayment of the City Link <br />Loan made by the Utilities Funds. <br />3. For the replacement of desktop computers, the sum of $157,092. However, <br />such appropriation shall not be deemed to expire at the end of the fiscal year, but shall <br />continue in effect unless altered by further action of this Council. In addition, the <br />proceeds of the sale of desktop computers shall be returned to the Computer Replacement <br />pool account in the Information Technology Fund for the purpose of future purchase of <br />desktop computers. <br />4. For Technology Infrastructure Replacement, the sum of $188,104. <br />However, such appropriation shall not be deemed to expire at the end of the fiscal year, <br />but shall continue in effect unless altered by further action of this Council. <br />B. There is hereby appropriated from the Warehouse Fund, for the operation of the <br />Warehouse during such fiscal year, the sum of $141,531, or the amount of revenue <br />actually credited to such fund from other City departments and agencies, whichever shall <br />be the greater amount. <br />C. There is hereby appropriated from the Fleet Maintenance Fund, for the <br />operation of the Central Garage, Vehicle Wash and Fuel System during such fiscal year, <br />the sum of $1,014,705, or the amount of revenue actually credited to such fund from <br />• other City departments and agencies, whichever shall be the greater amount. <br />D. There is hereby appropriated from the HVAC Maintenance Fund, for the <br />operation of the HVAC Maintenance program during such fiscal year, the sum of <br />$341,938, or the amount of revenue actually credited to such fund from other City <br />departments and agencies, whichever shall be the greater amount. <br />E. There is hereby appropriated from the Communications System Fund, for the <br />operation of the citywide phone system and mailroom operations during such fiscal year, <br />the sum of $402,572, or the amount of revenue actually credited to such fund from other <br />City departments and agencies, whichever shall be the greater amount. <br />XII. CAPITAL PROJECTS FUND APPROPRIATIONS <br />BE IT RESOLVED by the Council of the City of Charlottesville, Virginia that: <br />A. The following are hereby designated as revenue of the Capital Projects Fund: <br />1. The sum of $3,665,259 in Albemarle County revenue sharing payments <br />transferred from the General Fund pursuant to Section II -C of this resolution. <br />12 <br />