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File #: 2022-0033    Version:
Type: Resolution Status: Passed Finally
File created: 1/14/2022 In control: Committee on Finance and Law
On agenda: 1/18/2022 Final action: 2/1/2022
Enactment date: 2/1/2022 Enactment #: 29
Effective date: 2/2/2022    
Title: Resolution amending Resolution 884 of 2021, entitled "Resolution making appropriations to pay the expenses of conducting the public business of the City of Pittsburgh and for meeting the debt charges thereof for the Fiscal Year, beginning January 1, 2022" so as to reopen the 2022 budget to reflect changes to the Office of the Mayor and the Office of Management and Budget.
Indexes: BUDGET
Attachments: 1. 2022-0033 Cover Letter Budget Amendment for Appropriations - Letter, 2. Summary 2022-0033, 3. 2022-0033 VERSION 2 Council amendments reopened budget, 4. 2022-0033 VERISON 2 Operating Budget as amended
Title
Resolution amending Resolution 884 of 2021, entitled "Resolution making appropriations to pay the expenses of conducting the public business of the City of Pittsburgh and for meeting the debt charges thereof for the Fiscal Year, beginning January 1, 2022" so as to reopen the 2022 budget to reflect changes to the Office of the Mayor and the Office of Management and Budget.

Body
Be it resolved by the Council of the City of Pittsburgh as follows:

Resolution number 884 of 2021, entitled "Resolution making appropriations to pay the expenses of conducting the public business of the City of Pittsburgh and for meeting the debt charges thereof for the Fiscal Year, beginning January 1, 2022" is hereby amended as follows:

Section 1. That the revenues of the City of Pittsburgh derived from taxes and other sources for the Fiscal Year beginning January 1, 2022 and ending December 31, 2022, as well as the unassigned and unrestricted general fund balance on hand at the close of business on December 31, 2021, are hereby appropriated in the general fund the sum of $613,226,785 $614,602,014 $614,904,144 to pay the expenses of conducting the public business of the City of Pittsburgh during the period beginning January 1, 2022 and ending December 31, 2022.

Section 2. The City Controller, the City Treasurer, and the Director of the Office of Management and Budget are authorized to transfer a total of $9,000,000 from the general fund to the Capital Improvement/PayGo fund, for use in the 2022 Capital Budget.

Section 3. All encumbrances and obligations incurred prior to January 1, 2022 for which services have been rendered or supplies, materials or equipment actually delivered on or prior to December 31, 2021 and so reported to the City Controller shall be charged to the proper 2021 appropriation accounts against which encumbrances have been originally charged. All said encumbrances shall either be paid, or cleared by the City Controller per the City's encumbrance poli...

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