March 24, 2021 Adjourned Session of the 2021 Annual Town Meeting cont'd...
<br /> transportation and bike safety, and all incidental costs related thereto, and that to meet
<br /> this appropriation $20,889.20 be appropriated from the Transportation Network
<br /> Company Special Revenue Fund;
<br /> b. Self-Contained Breathing Apparatus Replacement - $416,545 for the replacement cost of
<br /> firefighter safety equipment, and that to meet this appropriation $416,545 be appropriated
<br /> from the General Fund unreserved fund balance;
<br /> c. Townwide Culvert Replacement - $390,000 for the repair and replacement of culverts,
<br /> and to take by eminent domain, purchase or otherwise acquire any fee, easement or other
<br /> interest in land necessary therefor; and all incidental costs related thereto; and that to
<br /> meet this appropriation $390,000 be appropriated from the General Fund unreserved fund
<br /> balance;
<br /> d. Equipment Replacement - $1,420,000 for the cost of equipment for the Department of
<br /> Public Works and all incidental costs related thereto, and that to meet this appropriation,
<br /> $145,000 be appropriated from Water Fund Retained Earnings; $110,000 be appropriated
<br /> from Wastewater Fund Retained Earnings; $899,026 be appropriated from the General
<br /> Fund unreserved fund balance; $16 be appropriated from the unexpended bond proceeds
<br /> issued under Article 10S of the 2013 Annual Town Meeting; $12,636 be appropriated
<br /> from the unexpended bond proceeds issued under Article 10B of the 2016 Annual Town
<br /> Meeting; $51,340 be appropriated from the unexpended bond proceeds issued under
<br /> Article 12C the 2017 Annual Town Meeting; $23,166 be appropriated from the
<br /> unexpended bond proceeds issued under Article 15B of the 2017 Annual Town Meeting;
<br /> $68,816 be appropriated from the unexpended bond proceeds issued under Article 20 of
<br /> the 2017 Annual Town Meeting; and $110,000 be appropriated from the premiums
<br /> received and reserved from the issuance of Bond Anticipation Notes (BANs);
<br /> e. Sidewalk Improvements - $800,000 for rebuilding and repaving existing sidewalks, and
<br /> all incidental costs related thereto, and to take by eminent domain, purchase or otherwise
<br /> acquire any fee, easement or other interest in land necessary therefor; and that to meet
<br /> this appropriation $34,525 be appropriated from the General Fund unreserved fund
<br /> balance; and the Treasurer, with the approval of the Select Board, is authorized to borrow
<br /> $765,475 under G.L. c 44, §7(1), or any other enabling authority. Any premium received
<br /> by the Town upon the sale of any bonds or notes approved by this vote, less any such
<br /> premium applied to the payment of the costs of issuance of such bonds or notes, may be
<br /> applied to the payment of costs approved by this vote in accordance with G.L. c 44, §20,
<br /> thereby reducing the amount authorized to be borrowed to pay such costs by a like
<br /> amount;
<br /> f. Storm Drainage Improvements and NPDES Compliance - $385,000 for constructing and
<br /> reconstructing storm drains and all incidental costs related thereto, and that to meet this
<br /> appropriation $385,000 be appropriated from the General Fund unreserved fund balance;
<br /> g. Comprehensive Watershed Stormwater Management - $390,000 to fund watershed storm
<br /> management projects and all incidental costs related thereto, and to take by eminent
<br /> domain, purchase or otherwise acquire any fee, easement or other interest in land
<br /> necessary therefor; and that to meet this appropriation, $390,000 be appropriated from the
<br /> General Fund unreserved fund balance;
<br /> h. Street Improvements - $2,651,674 for road reconstruction, repairs and resurfacing and all
<br /> incidental costs related thereto, and to take by eminent domain, purchase or otherwise
<br /> acquire any fee, easement or other interest in land necessary therefor, and that to meet
<br /> this appropriation $2,651,674 be raised in the tax levy, and authorize the Town to accept
<br /> and expend any additional funds provided or to be provided by The Commonwealth of
<br /> Massachusetts through the Massachusetts Department of Transportation;
<br /> i. Hydrant Replacement Program - $150,000 for the replacement of fire hydrants and all
<br /> incidental costs related thereto, and that to meet this appropriation $75,000 be
<br /> appropriated from Water Fund Retained Earnings and $75,000 be appropriated from the
<br /> General Fund unreserved fund balance;
<br /> m. Cary Library Network Upgrade - $95,000 to upgrade the network infrastructure hardware
<br /> at Cary Library, and that to meet this appropriation $95,000 be appropriated from the
<br /> General Fund unreserved fund balance;
<br /> ARTICLE 13: APPROPRIATE FOR WATER SYSTEM IMPROVEMENTS
<br /> MOTION: That the following be authorized, and that the following amounts be appropriated
<br /> for the following capital improvements and that each amount be raised as indicated:
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