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Transfer to Equipment Replacement Fund 584,950 <br />• Transfer to Debt Service Fund - Meals Tax Revenue 1,756,250 <br />Total General Fund Expenditures $140,992,521 <br />C. Of the sum of $13,633,950 to be received in the General Fund from the County <br />of Albemarle under the revenue sharing agreement of May 24, 1982, $4,803,882 shall be <br />transferred to the Capital Projects Fund, $550,000 shall be transferred to the Facilities <br />Repair Fund and $584,950 shall be transferred to the Equipment Replacement Fund. <br />D. The amounts hereinabove appropriated for salaries, education, training, pay - <br />for -performance increases and employee benefits, or portions thereof, may on <br />authorization from the City Manager, or his designee, be transferred by the Director of <br />Finance or the Budget Director to any departmental account, and notwithstanding any <br />other provision of this resolution to the contrary, be expended for salaries or employee <br />benefits in such account in the manner as sums originally appropriated thereto. <br />E. The portions of the foregoing appropriations to individual departments or <br />agencies intended for motor vehicles and related equipment shall be transferred to the <br />Equipment Replacement Fund for expenditure as hereinafter provided. <br />• F. The amount above appropriated for Debt Payment shall be transferred to the <br />Debt Service Fund. In addition, one cent of the four -cent meals tax (25% of the meals <br />tax revenue) will be deposited into the Debt Service Fund to be reserved for debt service <br />on a future bond issues. <br />G. The amount above appropriated as a Council Reserve shall not be deemed to <br />expire at the end of the fiscal year, but shall continue in effect unless altered by further <br />action of City Council. <br />H. The amount above appropriated as Ivy Landfill Remediation shall not be <br />deemed to expire at the end of the fiscal year, but shall continue in effect unless altered <br />by further action of City Council. <br />I. The amount above appropriated as Hedgerow Properties shall not be deemed to <br />expire at the end of the fiscal year, but shall continue in effect unless altered by further <br />action of City Council. <br />J. Sums appropriated in the General Fund which have not been encumbered or <br />expended as of June 30, 2009, shall be deemed to revert to the unappropriated balance of <br />the General Fund, unless Council by resolution provides that any such sum shall be a <br />continuing appropriation. <br />