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59 <br /> <br />appropriations thereto and balances therein may be reduced by future action of this <br />council. <br /> <br />IX. SPECIAL REVENUE FUND APPROPRIATIONS <br /> <br /> BE IT RESOLVED by the Council ofthe City of Charlottesville, that the <br />following appropriations are hereby approved for agency expenditures accounted for as <br />separate fimds on the books of the City, for their respective programs during the fiscal <br />year beginning July 1, 2000 and ending June 30, 200i; the City contribution to each such <br />fund having hereinabove been appropriated from the General Fund: <br /> <br /> A. There is hereby appropriated from the Charlottesville/Albemarle Convention <br />and Visitors Bureau Fund, for the operation of the Charlottesville/Albemarle Convention <br />and Visitors Bureau during such fiscal year, the sum of $626,536 or the amount of <br />revenue actually received by such fund, whichever shall be the lesser mount. <br /> <br /> B. There is hereby appropriated from the School Pupil Transportation Fund, for <br />the operation of public school pupil transportation during such fiscal year, the sum of <br />$1,326,505, orthe amount of revenue actually received by such fund, whichever shall be <br />the lesser amount. From the last mentioned amount, the sum of $162,012 shall be <br />allocated as follows: (1) a sum sufficient to pay the debt service on the lease or purchase <br />of three school buses shall be transferred to the Debt Service Fund; and (2) the remainder <br />shall be transferred to the Equ'tpment Replacement Fund and reserved for the future <br />replacement of school buses. <br /> <br /> C. There is hereby appropriated from the Community Attention Fund, for the <br />operation of the Community Attention Homes and related programs during such fiscal <br />year, the sum of $1,484~705, or the amount of revenue actually received by such fund, <br />whichever shall be the lesser amount. <br /> <br /> D. There is hereby appropriated from the Social Services Fund, for the operation <br />of the Department of Social Services during such fiscal year, the sum of $9,677,312, or <br />the amount of revenue actually received by such fund, whichever shall be the lesser <br />amount. <br /> <br /> E. There is hereby appropriated from the Social Services Fund, for the operation of <br />the Comprehensive Services Act entitlement program, the sum of $3,940,000, or the <br />amount of revenue actually received by such fund, whichever shall be the lesser amount. <br /> <br /> Each such special revenue fund appropriation shall be deemed effective July 1, <br />2000. Except as is otherwis6 expressly provided herein, the balance of any General Fund <br />co_n_tribution to such finds not expended or encumbered as of June 30, 2001 shall be <br />deemed to revert to the unappropriated balance of the General Fund, unless the Council <br />by resolution provides that any such sum shall be deemed a continuing appropriation. <br /> <br />X. 1NTERN~AL SERVICES FUND APPROP~ATION <br /> <br /> BE IT RESOLVED by the Council of the City of Charlottesville that the <br />following appropriations are hereby approved for internal services accounted for as <br />separate fund~ on the books of the City, for their respective programs during the fiscal <br />year beginning July I, 2000 and ending June 30, 2001; the payments of individual <br />departments and agencies to each such fund having hereinabove been appropriated in the <br />General Fund and other applicable funds: <br /> <br /> A. There is hereby approprh~ted from the Information Services Fund, for the <br />operation of the Department of Information Services during the fiscal year beginning July <br />1, 2000, the sum of $1,205,889, or the amount of revenue actually credited to such fund <br />from other City departments and agencies, whichever shall be the greater amount. <br /> <br /> B. There is hereby appropriated from the Warehouse Fund, for the operation of the <br />Warehouse during such fiscal year, the sum of $243,775, Or the amount of revenue <br /> <br /> <br />