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REPORT OF TOWN CLERK <br />Article 41. <br />Retirement Board Expenses <br />Article 43. <br />Purchase of Barnes Property <br />Article 45. <br />Depot Park Beautification <br />Article 47. <br />Fire Department Whistle <br />89, <br />500.00. <br />25,000.00 <br />300.00' <br />1,500.00= <br />Article 49. <br />Highway Construction—Reed Street 5,100.00• <br />Article 50. <br />Drain Construction 19,600.00) <br />Article 51. <br />Water Construction --Replacement of Mains 9,640.00 <br />Article 52. <br />Material, Equipment, Wages and Superintendence on <br />Public Works for Aid of Welfare <br />Total of Warrant <br />OUTSIDE OF TAX LEVY <br />Article 6 Water Receipts. <br />To offset appropriations for <br />Water Maintenance Personal Services <br />Water Maintenance Wages and Expenses <br />Water Replacements <br />Water Services <br />5,000.00 <br />$903,272.58 <br />$4,153.00, <br />56,546.91 <br />1,500.00 <br />5,200.00 <br />Article 6 Westview Cemetery Sale of Lots Fund. <br />Part of appropriation for <br />Wages and Expenses — Westview Cemetery 1,500.00' <br />Article 6 Sewer Assessment Fund. <br />Part of appropriation for <br />Sewer Maintenance — Wages and Expenses $3,000.00• <br />Article 6 Curbing—Bedford Street -1936 Account <br />Part of appropriation for <br />Highway Curbing <br />285.45. <br />90 TOWN OF LEXINGTON <br />Article 8 Overlay Reserve Fund <br />Part of appropriation for <br />Reserve Fund <br />1,200.00 <br />Article 17 Sewer Assessment Fund <br />Appropriation for <br />Sewer Construction — Sundry Streets 1,700.00 <br />Article 18 Water Department Available Surplus <br />Part of appropriation for <br />Water Construction — Sundry Streets 350.00 <br />Article 19 Water Department Available Surplus <br />Appropriation for <br />Water Construction --- Watertown Street 2,100.00 <br />Article 27 Highway Department Grader — 1936 Account <br />Part of appropriation for <br />Road Machinery 100.00 <br />Article 27 Highway Department Truck — 1936 Account <br />Part of appropriation for <br />Road Machinery <br />Article 37 Fire Department Underground Cable Account 1936 <br />Part of appropriation for <br />Fire Department Underground Cable <br />Article 43 Bond Issue <br />Part of appropriation for <br />Purchase of Barnes Property <br />Article 43 Sale of Real Estate Fund <br />Part of appropriation for <br />Purchase of Barnes Property <br />Article 51 Water Department Available Surplus <br />Appropriation for <br />Water Construction — Replacement of Mains <br />16.55 <br />88.00 <br />19,500.00 <br />1,840.00 <br />9,640.00 <br />Total Outside of Tax Levy $110,370.00 <br />Total of Warrant <br />Less Amounts Outside of Tax Levy <br />$903,272.58 <br />110,370.00 <br />Net Appropriations Recommended $792,902.58 <br />Add Taxes to State and County as estimated: <br />State Tax 33,000.00 <br />County Tax 32,000.00 <br />North Metropolitan Sewer Tax 9,500.00 <br />