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215 <br /> (ADJOURNED SESSION, A.T.M. , CONT. - APRIL 22, 1996 ) <br /> 8:55 p.m. Notice of Reconsideration on Article 9 was <br /> served by Karen Dooks. <br /> ARTICLE 10 STREET RELATED IMPROVEMENTS <br /> MOTION: That the Treasurer with the approval of the <br /> Selectmen be authorized to issue Highway <br /> Reimbursement Notes of the Town under G.L. <br /> c,44, sec. 6, as amended, in anticipation of <br /> reimbursement by the Commonwealth for highway Adopted <br /> reconstruction and improvements, including the <br /> _ construction of a fuel depot, under the <br /> authority of Chapter 90 of the General Laws as <br /> funded, and that notes issued for a shorter <br /> period than two years may be refunded by the <br /> issue of new notes maturing within two years <br /> from the date of the original obligation, and <br /> that the Selectmen are authorized to accept <br /> highway funds from all sources including the <br /> $400,000 allocated under Chapter 85 of the <br /> Acts of 1994 which are hereby appropriated for <br /> such highway purposes. <br /> 8:54 p.m. Presented by Selectman Fenn who indicated <br /> unanimous support of the Board. <br /> 9:03 p.m. David Miller, Capital Expenditures Committee, <br /> stated unanimous approval. <br /> 9:04 p.m. Paul Lapointe, Appropriation Committee, stated <br /> endorsement. <br /> George Woodbury, DPW, responded to questions. <br /> Following a voice vote at 9:17 p.m. , the Moderator <br /> declared adoption of the motion. <br /> 9:17 p.m. Notice of Reconsideration on Article 10 was <br /> served by Karen Dooks. <br /> ARTICLE 11 PUBLIC WORKS EQUIPMENT <br /> MOTION: That the sum of $105,000 be appropriated for <br /> the purchase by or with the approval of the <br /> Selectmen of equipment for the Department of <br /> Public Works; and that to meet the Adopted <br /> appropriation $45,000 shall be transferred <br /> from the Water Enterprise Fund, $45,000 shall <br /> be transferred from the Sewer Enterprise Fund, <br /> and $15,000 shall be transferred from the <br /> Recreation Enterprise Fund. <br /> 9: 18 p.m. Presented by Selectman Fenn who stated that <br /> the amount was not sufficient for vehicle replacement but <br /> stated unanimous Board support for the motion. <br /> 9:25 p.m. David Miller, Capital Expenditures Committee, <br /> stated support. <br /> 9:26 p.m. Paul Lapointe, Appropriation Committee, stated <br /> support. <br /> Following a voice vote at 9:32 p.m. , the Moderator <br /> declared adoption of the motion. <br />