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File #: 200258    Version: Name:
Type: Bill Status: ENACTED
File created: 3/12/2020 In control: Committee on Appropriations
On agenda: Final action: 4/2/2020
Title: Authorizing transfers in appropriations for Fiscal Year 2020 from the Grants Revenue Fund, the Director of Finance - Provision for Other Grants, to the General Fund, the Managing Director and to the General Fund, to certain or all City offices, departments, boards and commissions.
Sponsors: Council President Clarke, Councilmember Quiñones Sánchez
Attachments: 1. Bill No. 20025801, As Amended.pdf, 2. CertifiedCopy20025801.pdf

Title

Authorizing transfers in appropriations for Fiscal Year 2020 from the Grants Revenue Fund, the Director of Finance - Provision for Other Grants, to the General Fund, the Managing Director and to the General Fund, to 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 2020 from the Grants Revenue Fund to the General Fund.

 

FROM:                                                               GRANTS REVENUE FUND

                     9.15                     THE DIRECTOR OF FINANCE - PROVISION FOR OTHER GRANTS

Advances and Other Miscellaneous Payment                     $ 85,400,000  

                     Total                                          $ 85,400,000     

Total “FROM” Grants Revenue Fund                     $ 85,400,000   

Total “FROM” Section                     $ 85,400,000

 

TO:                                                               GENERAL FUND

                     2.1                     THE COUNCIL

Purchase of Services                     $ 325,000

Materials, Supplies and Equipment                       75,000

                     Total                                          $ 400,000

 

                     2.14                     THE MANAGING DIRECTOR

Personal Services                     $ 25,000,000

Purchase of Services                     $ 25,000,000

Materials, Supplies and Equipment                     $25,000,000

Contributions, Indemnities and Taxes                     $10,000,000

                     Total                                          $ 85,000,000

 

Total “TO” General Fund                     $ 85,400,000

Total “TO” Section                     $ 85,400,000

 

SECTION 2.  It is the intent of Council through this Ordinance to increase the appropriations available in support of the City’s response to the COVID-19 (Coronavirus) pandemic.

SECTION 3.  Reporting requirement. Beginning on April 17, 2020 and on a bi-weekly basis thereafter, the Finance Director shall submit to the President and Chief Clerk of Council a report describing in detail the expenditures made, or expected to be made, by the City in response to the COVID-19 pandemic. Each report shall provide information that is current as of one week prior to the date of the report. Following the issuance of each report, the Finance Director shall provide such additional information as the President of Council or the Chief Financial Officer of Council may request.

SECTION 4.  This Ordinance shall take effect immediately.

End