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. 5 � <br /> Meeting of the Appropriation Committee, October 9, 1967, 7:30 p.m. <br /> Present: Frank Parish, Chairman; L. Zehner; D. Grant; E. Furash; <br /> R. Gary; G. Kolovson; R. Perry, Comptroller. <br /> Reserve Fund Requests <br /> Interest on debt, 31,500 voted on October 2, 1967 reaffirmed. <br /> Principal, $3,000 voted on October 2, 1967 reaffirmed. <br /> Health Department, Expenses, $3,100 requested. This was referred <br /> back to the Health Dept. for a month by month estimate of the <br /> liabilities to be incurred each month. <br /> Veterans Benefits, $11,000 requested. This was referred back to <br /> !fZ Veterans Dept. with request that an estimate of their liabilities <br /> by each of the three categories (Aid, Medicines, and Hospital) be <br /> Ca submitted on a month to month basis for the rest of the year. <br /> Group Insurance (Town's share of Blue Cross) $11,250 requested. <br /> Voted to transfer $11,250 from Reserve Fund. <br /> Health—Engineering, $200 requested. Voted to transfer $100 from <br /> Reserve Fund. <br /> Teachers Salary Study Committee <br /> Frank Parrish discussed his meeting with this Committee. <br /> Letter on Reserve Fund balance <br /> The following letter was writea by Dick Per.y for the Chairman <br /> of the Board of Selectmen's signature and will be distributed to all <br /> Boards, Committees, Departments and Commissions on Oct. 10, 1967: <br /> "Due to the heavy demand on the Reserve Fund this year, (it is <br /> almost depleted), for extraordinary and unforeseen circumstances, <br /> it is imperative that every Board, Department, Committee, and <br /> Commission limit their expenditure to the budget amount approved <br /> by Town Meeting." <br /> Respectfully submitted, <br /> Richard Perry, acting secretary <br />