The City Council approved Ordinance 2025-422, appropriating $8,950,000 in available budget capacity from the General Fund Debt Management Fund internal service allocations for the 2024-2025 fiscal year. This includes $572,100 directed to the Radio Communication Fund (53102) to cover projected unfavorable variances in debt management fund repayments. Additionally, $8,377,900 is allocated to the Group Health Fund (56201) to assist with maintaining fund reserves. This internal budget transfer aims to cover budgetary shortfalls and stabilize key city service funds.