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154 <br /> APPROPRIATION COMMITTEE <br /> DATE: May 27, 1975 <br /> TIME: 7:30 P.M. <br /> PLACE: Town Office Building, Room 111 <br /> PRESENT: Edward E. Furash, Chairman, Donald B. White, Vice <br /> Chairman-Schools, Arthur T. Bernier, J. H. Blaisdell, <br /> Martin A. Gilman, Howard L. Levingston, Richard M. <br /> Perry, Comptroller <br /> I. BONDING <br /> Mr. Zehner presented his views to the Committee and the Board <br /> of Selectmen regarding sewer bonding. A five year vs a 3 year <br /> plan was the issue at hand. 10 year financing was ruled out. <br /> Chairman Furash complimented Mr. Zehner on the super job he had <br /> done and stated he felt that a five year bonding would be the <br /> most advisable. Selectman Bailey concurred with this opinion. <br /> II . RESERVE FUND BALANCE: $111,084. _ <br /> III. RESERVE FUND TRANSFERS <br /> 1. $300.00 - Ambulance - to Account #4200 <br /> 2. $3,500 to account #5700 Sewer Maintenance <br /> 3. 29,000 to account #5600 Street Lights <br /> 4. 500.00 to Account #7550-210 Library Expense <br /> 5. 1,000 to Account #2935 Office Copier and Supplies <br /> Upon motions duly made and seconded <br /> the above transfers were VOTED by the <br /> Committee. <br /> Meeting adjourned at 9:30 P.M. <br /> Next scheduled meeting is to be announced. <br /> Respectfully submitted, <br /> Edward E. Furash, Chairman <br />