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File #: 120904    Version: 0 Name:
Type: Bill Status: ENACTED
File created: 11/15/2012 In control: Committee on Appropriations
On agenda: Final action: 12/13/2012
Title: Authorizing transfers in appropriations for Fiscal Year 2012 within the General Fund from certain or all City offices, departments, boards and commissions to the Director of Finance - Fringe Benefits.
Sponsors: Councilmember Goode
Indexes: FINANCE DIRECTOR, GENERAL FUND
Attachments: 1. CertifiedCopy12090400.pdf
Date Ver.Action ByActionResultTallyAction DetailsMeeting DetailsVideo
12/21/20120 MAYOR SIGNED   Action details Meeting details Not available
12/13/20120 CITY COUNCIL READ AND PASSEDPass16:1 Action details Meeting details Not available
12/6/20120 CITY COUNCIL ORDERED PLACED ON THIS DAY`S FIRST READING CALENDAR   Action details Meeting details Not available
12/6/20120 CITY COUNCIL SUSPEND THE RULES OF THE COUNCILPass  Action details Meeting details Not available
12/6/20120 CITY COUNCIL ORDERED PLACED ON NEXT WEEK`S SECOND READING CALENDAR   Action details Meeting details Not available
11/29/20120 Committee on Appropriations HEARING NOTICES SENT   Action details Meeting details Not available
11/29/20120 Committee on Appropriations HEARING HELD   Action details Meeting details Not available
11/29/20120 Committee on Appropriations REPORTED FAVORABLY, RULE SUSPENSION REQUESTED   Action details Meeting details Not available
11/15/20120 CITY COUNCIL Introduced and ReferredPass  Action details Meeting details Not available
Title
Authorizing transfers in appropriations for Fiscal Year 2012 within the General Fund from certain or all City offices, departments, boards and commissions to the Director of Finance - Fringe Benefits.

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 2012 within the General Fund:

FROM: GENERAL FUND

2.6 MANAGING DIRECTOR - DIVISION OF TECHNOLOGY

Purchase of Services $ 1,268,225
Materials, Supplies and Equipment 1,748,882

Total $ 3,017,107

2.14 DEPARTMENT OF STREETS

Personal Services $ 478,788
Purchase of Services 604,370
Materials, Supplies and Equipment 254,947
Advances and Other Miscellaneous Payments 4,000,000

Total $ 5,338,105

2.17 DEPARTMENT OF PUBLIC HEALTH

Personal Services $ 312,106
Purchase of Services 2,710,970
Materials, Supplies and Equipment 206,520

Total $ 3,229,596

2.26 DEPARTMENT OF HUMAN SERVICES

Personal Services $ 3,155,888
Materials, Supplies and Equipment 673,379

Total $ 3,829,267

2.35 DIRECTOR OF FINANCE

Personal Services $ 243,310
Purchase of Services 119,618
Contributions, Indemnities and Taxes 425,208

Total $ 788,136

2.38 DIRECTOR OF FINANCE - LEGAL SERVICES

Purchase of Services $ 500,000

Total $ 500,000

2.40 DIRECTOR OF FINANCE - REFUNDS

Contributions, Indemnities and Taxes $ 23,360

Total $ 23,360

2.41 DIRECTOR OF FINANCE - INDEMNITIES

Contributions, Indemnities and Taxes $ 167,345

Total $ 167,345

2.42 DIRECTOR OF FINANCE - WITNESS FEES

Purchase of Services $ 31,039

Total $ 31,039

2.45 DEPARTMENT OF REVENUE - SINKING FUND COMMISSION

Purchase of Services $ 3,455,791
Debt Service 19,214,828

Total $22,670,619


Total "FROM" Section $39,594,574



TO: GENERAL FUND

2.36 DIRECTOR OF...

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