header-left
File #: 250072    Version: 0 Name:
Type: Bill Status: REPORTED FAVORABLY, SUSPENSION
File created: 2/6/2025 In control: Committee on Appropriations
On agenda: Final action:
Title: Authorizing transfers in appropriations for Fiscal Year 2025 from the Grants Revenue Fund, certain or all City offices, departments, boards and commissions, to the General Fund, certain or all City offices, departments, boards and commissions, and the Transportation Fund, certain or all City offices, departments, boards and commissions.
Sponsors: Council President Johnson, Councilmember Squilla
Indexes: CAPITAL BUDGET
Attachments: 1. Bill No. 25007200
Title
Authorizing transfers in appropriations for Fiscal Year 2025 from the Grants Revenue Fund, certain or all City offices, departments, boards and commissions, to the General Fund, certain or all City offices, departments, boards and commissions, and the Transportation Fund, certain or all City offices, departments, boards and commissions.

Body
THE COUNCIL OF THE CITY OF PHILADELPHIA HEREBY ORDAINS:

SECTION 1. The Director of Finance is hereby authorized to make the following transfers in appropriations for Fiscal Year 2025 from the Grants Revenue Fund to the General Fund, and the Transportation Fund.


FROM: GRANTS REVENUE FUND

9.14 THE DIRECTOR OF FINANCE - PROVISION FOR OTHER GRANTS

Advances and Other Miscellaneous Payment $ 85,932,346

Total $ 85,932,346

Total "FROM" Grants Revenue Fund $ 85,932,346

Total "FROM" Section $ 85,932,346


TO: GENERAL FUND

2.4 THE MAYOR - OFFICE OF INNOVATION AND TECHNOLOGY

Purchase of Services $ 642,670
Materials, Supplies and Equipment 2,757,063
Payments to Other Funds 606,451

Total $ 4,006,184

2.7 THE MAYOR - MURAL ARTS PROGRAM

Purchase of Services $ 500,000

Total $ 500,000

2.12 THE MANAGING DIRECTOR

Purchase of Services $ 280,000
Materials, Supplies and Equipment 632,000

Total $ 912,000

2.18 THE DEPARTMENT OF FLEET SERVICES - VEHICLE PURCHASE

Materials, Supplies and Equipment $ 13,995,900

Total $ 13,995,900

2.19 THE POLICE DEPARTMENT

Purchase of Services $ 239,114
Materials, Supplies and Equipment 1,231,337

Total $ 1,470,451

2.21 THE FIRE DEPARTMENT

Purchase of Services $ 45,000
Materials, Supplies and Equipment 823,355

Total $ 868,355

2.22 THE DEPARTMENT OF PUBLIC HEALTH

Materials, Supplies and Equipment $ 335,000

Total $ 335,000

2.24 THE DEPARTMENT OF PARKS AND RECREATION

Purchase of Services $ 476,000
Materials, Supplies and Equipment 730,000
Payments to Other Funds 3,571,865

Total $ 4,777,865

2.25 THE DEPARTMENT OF PUBLIC PROPERTY...

Click here for full text