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March 29, 2021 Adjourned Session of the 2021 Annual Town Meeting cont'd... <br /> 9:30 p.m. Members posed questions; David Pinsonneault, Director of DPW and Melissa <br /> Battite, Director of Recreation and Community Programs responded. <br /> 9:45 p.m. Steven Kaufman, Pct. 5, called the question. <br /> 9:45 p.m. Following remote electronic vote tallying, the Moderator declared the Motion to <br /> call the Question Adopted on a vote of: <br /> Yes No Abstain <br /> 107 62 13 <br /> 9:49 p.m. Following remote electronic vote tallying, the Moderator declared Article 16(g) <br /> Adopted by the necessary two-thirds on a vote of: <br /> Yes No Abstain <br /> 155 17 10 <br /> NOTICE OF RECONSIDERATION OF ARTICLE 16(g) <br /> 9:50 p.m. Bridger McGaw, Pct. 6 served Notice of Reconsideration of Article 16(g). <br /> (NOTE: See Reconsideration of Article 16(g) on April 14, 2021. This Article was subsequently <br /> Indefinitely Postponed.) <br /> 9:51 p.m. The Moderator declared the Meeting open under Article 16(h), Space Needs for <br /> School Year 2021-2022. <br /> 9:52 p.m. Michael Cronin, Director of Facilities, presented the video presentation. <br /> 9:55 p.m. Ms. Hai reported the unanimous support of the Select Board. <br /> 9:55 p.m. The Capital Expenditures and Appropriation Committees had previously reported <br /> their support for section (h). <br /> 9:56 p.m. Kathleen Lenihan, Chair School Committee, reported unanimous support of the <br /> Committee. <br /> 9:57 p.m. With no questions from members, the Moderator called for the vote. <br /> 9:59 p.m. Following remote electronic vote tallying, the Moderator declared Article 16(h) <br /> Adopted on a vote of: <br /> Yes No Abstain <br /> 177 0 2 <br /> 9:59 p.m. The Moderator declared the Meeting open under Article 5. <br /> 9:59 p.m. Presented by Douglas Lucente, Chair, Select Board. <br /> ARTICLE 5: APPROPRIATE FY2022 ENTERPRISE FUNDS BUDGETS <br /> MOTION: a) That the Town appropriate the following sums of money to operate the Water <br /> Division of the Department of Public Works during fiscal year 2022 under the <br /> provisions of M.G.L. Chapter 44, Section 53F1/2: <br /> Personal Services $903,535 <br /> Expenses $514,300 <br /> Debt Service $1,179,794 <br /> MWRA Assessment $8,782,170 <br /> Total $11,379,799 <br /> Said sums to be funded from water receipts. <br /> b) That the Town appropriate the following sums of money to operate the <br /> Wastewater(Sewer) Division of the Department of Public Works during fiscal <br /> year 2022 under the provisions of M.G.L. Chapter 44, Section 53F1/2: <br />