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File #: 220868    Version: 0 Name:
Type: Bill Status: ENACTED
File created: 10/27/2022 In control: Committee on Appropriations
On agenda: Final action: 12/1/2022
Title: Authorizing transfers in appropriations for Fiscal Year 2022 from the General Fund from certain or all City offices, departments, boards and commissions, the Water Fund from certain or all City offices, departments, boards and commissions, the Water Residual Fund from certain or all City offices, departments, boards and commissions, the Grants Revenue Fund from certain or all City offices, departments, boards and commissions, and the Aviation Fund from certain or all City offices, departments, boards and commissions, to the General Fund to certain or all City offices, departments, boards and commissions, to the Water Fund to certain or all City offices, departments, boards and commissions, to the Water Residual Fund to certain or all City offices, departments, boards and commissions, and the Aviation Fund to certain or all City offices, departments, boards and commissions.
Sponsors: Council President Clarke, Councilmember Jones
Indexes: APPROPRIATIONS
Attachments: 1. Bill No. 22086800.pdf, 2. CertifiedCopy22086800
Date Ver.Action ByActionResultTallyAction DetailsMeeting DetailsVideo
12/7/20220 MAYOR SIGNED   Action details Meeting details Not available
12/1/20220 CITY COUNCIL READ AND PASSEDPass16:0 Action details Meeting details Not available
11/17/20220 CITY COUNCIL SUSPEND THE RULES OF THE COUNCIL   Action details Meeting details Not available
11/17/20220 CITY COUNCIL READ AND ORDERED PLACED ON NEXT WEEK'S SECOND READING CALENDAR   Action details Meeting details Not available
11/17/20220 CITY COUNCIL ORDERED PLACED ON THIS DAY`S FIRST READING CALENDAR   Action details Meeting details Not available
11/16/20220 Committee on Appropriations HEARING NOTICES SENT   Action details Meeting details Not available
11/16/20220 Committee on Appropriations HEARING HELD   Action details Meeting details Not available
11/16/20220 Committee on Appropriations REPORTED FAVORABLY, RULE SUSPENSION REQUESTED   Action details Meeting details Not available
10/27/20220 CITY COUNCIL Introduced and Referred   Action details Meeting details Not available

Title

Authorizing transfers in appropriations for Fiscal Year 2022 from the General Fund from certain or all City offices, departments, boards and commissions, the Water Fund from certain or all City offices, departments, boards and commissions, the Water Residual Fund from certain or all City offices, departments, boards and commissions, the Grants Revenue Fund from certain or all City offices, departments, boards and commissions, and the Aviation Fund from certain or all City offices, departments, boards and commissions, to the General Fund to certain or all City offices, departments, boards and commissions, to the Water Fund to certain or all City offices, departments, boards and commissions, to the Water Residual Fund to certain or all City offices, departments, boards and commissions, and the Aviation 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 2022 from the General Fund, Water Fund, Water Residual Fund, Grants Revenue Fund, and the Aviation Fund, to the General Fund, Water Fund, Water Residual Fund, and Aviation Fund.

 

FROM:                                                                                    GENERAL FUND

                     

                     2.18                     THE DEPARTMENT OF STREETS

 

Purchase of Services                      $ 20,179

 

                     Total                                          $ 20,179

                     

                     2.19                     THE FIRE DEPARTMENT

 

Personal Services                      $ 3,256

 

                     Total                                          $ 3,256

 

                     2.52                     THE OFFICE OF SUSTAINABILITY

 

Purchase of Services                      $ 7,501

Materials, Supplies and Equipment                     443

 

                     Total                                          $ 7,944

 

2.60                     THE REGISTER OF WILLS

 

Purchase of Services                     $ 2,798

Materials, Supplies and Equipment                     1,502

 

                     Total                                          $ 4,300

 

2.61                     THE DISTRICT ATTORNEY

 

Purchase of Services                     $     162,854

Materials, Supplies and Equipment                     23,880

 

                     Total                                          $     186,734

 

2.62                     THE SHERIFF

 

Purchase of Services                     $    409,563

Materials, Supplies and Equipment                     614,730

 

                     Total                                          $ 1,024,293

 

2.63                     THE CITY COMMISSIONERS

 

Personal Services                     $ 1,045,078

 

                     Total                                          $ 1,045,078

 

                     2.64                     THE FIRST JUDICIAL DISTRICT OF PENNSYLVANIA

 

Personal Services                     $     4,723,190

 

                     Total                                          $     4,723,190

 

Total “FROM” General Fund                     $     7,014,974  

 

 

FROM:                                                                                    WATER FUND

 

3.5                     THE WATER DEPARTMENT

 

Purchase of Services                     $    22,623,874

 

                     Total                                          $     22,623,874

 

Total “FROM” Water Fund                     $     22,623,874

 

FROM:                                                                                    WATER RESIDUAL FUND

 

4.1                     THE WATER DEPARTMENT

 

Purchase of Services                     $    5,575,437

 

                     Total                                          $     5,575,437

 

Total “FROM” Water Residual Fund                     $     5,575,437

 

 

FROM:                                                                                    GRANTS REVENUE FUND

 

9.15                     THE DIRECTOR OF FINANCE - PROVISION FOR OTHER GRANTS

 

Advances and Other Miscellaneous Payment                     $     214,507,644

 

                     Total                                          $     214,507,644

 

Total “FROM” Grants Revenue Fund                     $     214,507,644

 

 

FROM:                                                                                    AVIATION FUND

 

10.4                     THE POLICE DEPARTMENT

 

Materials, Supplies and Equipment                     $     37,200

 

                     Total                                          $     37,200

 

10.5                     THE FIRE DEPARTMENT

 

Materials, Supplies and Equipment                     $     784

Payments to Other Funds                     19,000

 

                     Total                                          $ 19,784

 

10.8                     THE DIRECTOR OF FINANCE - FRINGE BENEFITS

 

Personal Services - Employee Benefits                     $ 80,807

 

                     Total                                          $ 80,807

 

10.11                     THE DIRECTOR OF COMMERCE

 

Purchase of Services                     $          50,469

Materials, Supplies and Equipment                     623,272

Contributions, Indemnities and Taxes                     2,419,543

 

                     Total                                          $     3,093,284

 

Total “FROM” Aviation Fund                     $     3,231,075

 

 

Total “FROM” Section                     $     252,953,004

 

 

TO:                                                                                                         GENERAL FUND

 

                     2.18                     THE DEPARTMENT OF STREETS

 

Personal Services                     $   20,179

 

                     Total                                          $   20,179

 

                     2.19                     THE FIRE DEPARTMENT

 

Materials, Supplies and Equipment                     $   3,256

 

                     Total                                          $   3,256

 

                     2.36                     THE DIRECTOR OF FINANCE - FRINGE BENEFITS

 

Personal Services-Employee Benefits                      $ 210,000,000

 

                     Total                                          $ 210,000,000

 

                     2.52                     THE OFFICE OF SUSTAINABILITY

 

Personal Services                      $ 11,482

 

                     Total                                          $ 11,482

 

2.60                     THE REGISTER OF WILLS

 

Personal Services                     $    200,638

 

                     Total                                          $    200,638

 

2.61                     THE DISTRICT ATTORNEY

 

Personal Services                     $    569,771

 

                     Total                                          $    569,771

 

2.62                     THE SHERIFF

 

Personal Services                     $     1,419,111

 

                     Total                                          $     1,419,111

 

2.63                     THE CITY COMMISSIONERS

 

Purchase of Services                     $     1,391,075

 

                     Total                                          $     1,391,075

 

                     2.64                     THE FIRST JUDICIAL DISTRICT OF PENNSYLVANIA

 

Purchase of Services                     $     4,723,190

 

                     Total                                          $     4,723,190

 

Total “TO” General Fund                     $     218,338,702

 

 

TO:                                                                                                         WATER FUND

                     

                     3.5                     THE WATER DEPARTMENT

 

Payments to Other Funds                      $ 22,623,874

 

                     Total                                          $ 22,623,874

 

                     3.6                     THE FINANCE DEPARTMENT - FRINGE BENEFITS

 

Personal Services-Employee Benefits                      $ 3,183,916

 

                     Total                                          $ 3,183,916

 

Total “TO” Water Fund                     $ 25,807,790

 

 

TO:                                                                                    WATER RESIDUAL FUND

 

4.1                     THE WATER DEPARTMENT

 

Payments to Other Funds                     $    5,575,437

 

                     Total                                          $     5,575,437

 

Total “TO” Water Residual Fund                     $     5,575,437

 

 

TO:                                                                                                         AVIATION FUND

 

10.4                     THE POLICE DEPARTMENT

 

Personal Services                     $     2,540,994

Purchase of Services                     34,551

 

                     Total                                          $     2,575,545

 

10.5                     THE FIRE DEPARTMENT

 

Personal Services                     $     409,423

 

                     Total                                          $     409,423

 

10.11                     THE DIRECTOR OF COMMERCE

 

Personal Services                     $     246,107

 

                     Total                                          $     246,107

 

 

Total “TO” Aviation Fund                     $     3,231,075

 

Total “TO” Section                     $     252,953,004

 

SECTION 2. This Ordinance shall take effect immediately.

 

End