Loading...
HomeMy WebLinkAbout2020-23Resolution 2020-23 Amending the General Fund Budget for the Town of Pulaski, Virginia, for the Fiscal Year Beginning July 1, 2020 and Ending June 30, 2021 WHEREAS, after the adoption of the budget for Fiscal Year 2020-2021 it has become necessary to amend the General Fund budget; and WHEREAS, the original budget appropriations were adopted June 2, 2020, amended appropriations for the amendments to the General Fund budget are listed in Attachment A, affixed hereto and expressly made part of this resolution; NOW THEREFORE, be it RESOLVED by the Town Council of the Town of Pulaski, Virginia sitting in regular session this 18th day of August 2020, that: Section 1. The proposed General Fund budget be amended and hereby is approved as the General Fund budget for the Town of Pulaski, Virginia, for the fiscal year beginning July 1, 2020 and ending June 30, 2021, in accordance with Section 15.2-2507, of the Code of Virginia 1950, as amended. Section 2. In conjunction with the approval of said General Fund budget amendment, the following appropriations be and hereby are approved for the fiscal year as shown in Attachment A, affixed hereto and expressly made part of this resolution. This resolution is effective upon adoption and is adopted this 18th day of August 2020 by recorded vote of the Town Council as follows: Lane. R. Penn -Aye James A. Radcliffe -Aye Brooks R. Dawson -Aye G. Tyler Clontz -Aye Gregory C. East -Aye Michael P. Reis -Aye THE TOWN OF PULASKI, VIRGINIA BY: v W. Shannon Collins Mayor ATTEST: David N. Quesenberry Clerk of Council Attachment A -Resolution 2020-23 Amended General Fund Budget FY 2020-2021 General Fund Revenues Property Taxes $ 2,677,500.00 Local Taxes 3,169,500.00 Permits 23,100.00 Fines and Forfeitures 26,500.00 Recreational Charges 19,000.00 State Non -Categorical Aid 12,500.00 State Categorical Aid 2,373,424.00 Federal Aid 25,000.00 Misc. Revenue 169,632.00 Rental of Property 10,488.50 Transfer from Other Fund 94,998.00 Recovered Cost 45,500.00 Other Financing Sources 26,000.00 General Fund Revenues $ 8,673,142.50 General Fund Expenditures Town Council $ 45,903.20 Clerk of Council 76,181.12 Mayor's Office 7,309.00 Town Manager's Office 360,618.11 Community Development 137,615.92 Finance 487,714.99 Administrative Services 322,698.00 General Engineering 257,680.29 Contributions 472,106.00 IT Department 157,000.00 Police Department 2,575,706.52 Fire Department 830,949.18 Building Inspection 173,865.56 Highways, Streets, Bridges -Ineligible 223,992.12 Highways, Streets, Bridges -Eligible 1,4.78,326.58 Refuse Disposal 2,600.00 General Property Maintenance 170,675.86 Cemeteries 19,671.00 Gatewood Park 17,500.00 Senior Center 88,484.73 Motor Vehicle Maintenance 73,451.95 Debt Service 289,626.00 Train Station 12,850.00 Ratcliffe Museum 30,165.85 Town Wide Projects -Capital 76,323.51 Other Financing 284,127.00 General Fund Expenditures $ 8,673,142.50