April 10, 2013 Adjourned Session of the 2013 Annual Town Meeting, cont....
<br /> b) Cary Memorial Library RFID Conversion Project-$124,000 for converting the Library's
<br /> materials and equipment to a Radio Frequency ID system, and that to meet this appropriation
<br /> $124,000 be appropriated from the general fund unreserved fund balance;
<br /> c) Head End Equipment Replacement-Phase IV-$60,000 for replacing equipment at the Head
<br /> End of the Town/School Wide Area Network, and that to meet this appropriation$60,000 be
<br /> appropriated from the general fund unreserved fund balance;
<br /> d) MIS Technology Improvement Program-$160,000 for storage area network,blade server
<br /> technology and virtualization software, and that to meet this appropriation $160,000 be raised
<br /> in the tax levy;
<br /> e) Network Redundancy and Improvement Plan-$36,000 to install redundant network paths to
<br /> selected town buildings via additional fiber runs and wireless links, and that to meet this
<br /> appropriation $36,000 be appropriated from the general fund unreserved fund balance;
<br /> f) Replace Townwide Telephone Systems-Phase 11- $146,000 for new telephone systems in
<br /> town and school buildings, and that to meet this appropriation $146,000 be raised in the tax
<br /> levy;
<br /> g) Townwide Electronic Document Management System-Phase III-$60,000 for continued
<br /> upgrading of the Document Management System, and that to meet this appropriation$60,000
<br /> be appropriated from the general fund unreserved fund balance;
<br /> h) Hastings Park Gazebo Rehabilitation/Design and Engineering-$15,000 for funding the
<br /> design and engineering needed to renovate the Gazebo, and that to meet this appropriation
<br /> $15,000 be raised in the tax levy.
<br /> i) Street Improvements and Easements -$1,890,074 for road reconstruction,repairs and
<br /> resurfacing by the Department of Public Works and all incidental costs related thereto, and to
<br /> take by eminent domain,purchase or otherwise acquire any fee, easement or other interest in
<br /> land necessary therefor, and that to meet this appropriation$1,890,074 be raised in the tax
<br /> levy, and authorize the Town to accept and expand any additional funds provided or to be
<br /> provided by the Commonwealth of Massachusetts through the Massachusetts Highway
<br /> Department;
<br /> j) Townwide Culvert Replacement-$390,000 for the repair and replacement of culverts and all
<br /> incidental costs related thereto, and that to meet this appropriation$390,000 be raised in the
<br /> tax levy;
<br /> k) Storm Drainage Improvements and NPDES Compliance -$340,000 for construction and
<br /> reconstructing storm drains and all incidental costs related thereto, and that to meet this
<br /> appropriation $155,155 be raised in the tax levy, and the Treasurer, with the approval of the
<br /> Board of Selectmen, is authorized to borrow$184,845 under M.G.L. Chapter 44, Section 7(1)
<br /> or any other enabling authority;
<br /> 1) DPW Equipment Replacement-$640,000 for the cost of departmental equipment for the
<br /> Department of Public Works and all incidental costs related thereto, and that to meet this
<br /> appropriation the Treasurer, with the approval of the Board of Selectmen, is authorized to
<br /> borrow$640,000 under M.G.L. Chapter 44, Section 7(9) or any other enabling authority;
<br /> in) Hastings Park Irrigation-$73,000 for the installation of an automated in-ground irrigation
<br /> system at Hastings Park, and that to meet this appropriation$73,000 be appropriated from the
<br /> general fund unreserved fund balance;
<br /> n) Hydrant Replacement Program-$100,000 for the replacement of fire hydrants and all
<br /> incidental costs related thereto, and that to meet this appropriation$50,000 be appropriated
<br /> from Water Retained Earnings and$50,000 be appropriated from the general fund unreserved
<br /> fund balance;
<br /> o) Comprehensive Watershed Stonnwater Management Study and Implementation-$390,000
<br /> to fund watershed storm management projects and all incidental costs related thereto, and that
<br /> to meet this appropriation the Treasurer, with the approval of the Board of Selectmen, is
<br /> authorized to borrow$390,000 under M.G.L. Chapter 44, Section 7(1) or any other enabling
<br /> authority;
<br /> p) Townwide Signalization Improvements -$125,000 for traffic and pedestrian signals, and that
<br /> to meet this appropriation$125,000 be appropriated from the general fund unreserved fund
<br /> balance;
<br /> q) Hartwell Avenue Infrastructure -$600,000 for planning and design of roads, sidewalks,
<br /> mixed use pathways, and/or bridge repair in the Hartwell Avenue corridor, and that to meet
<br /> this appropriation the Treasurer,with the approval of the Board of Selectmen, is authorized to
<br /> borrow$600,000 under M.G.L. Chapter 44, Section 7(22) or any other enabling authority;
<br /> r) Sidewalk Improvements and Easements -$600,000, including$200,000 for the Hartwell
<br /> Avenue Corridor and$400,000 for other town locations, for rebuilding and repaving existing
<br /> sidewalks and constructing new sidewalks and all incidental costs related thereto, and to take
<br /> by eminent domain,purchase or otherwise acquire any fee, easement or other interest in land
<br /> necessary therefor; and that to meet this appropriation the Treasurer, with the approval of the
<br /> Board of Selectmen, is authorized to borrow$600,000 under M.G.L. Chapter 44, Section 7(6)
<br /> or any other enabling authority; and
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