Laserfiche WebLink
41.8 <br /> except Secretary were reimburseable. Mr. Burrell left our meeting at <br /> 9:50. <br /> We then went to the Selectmen' s meeting in reference to our free cash <br /> position and about the Road Machinery Fund. John Blaisdell stated our <br /> position on free cash and that the Division of Accounts are not happy <br /> about the Highway Road Machinery Fund. It was decided that we would <br /> do what Mr. Mac Kinnon suggested, is to close the Highway Road Mach- <br /> inery Fund into Excess & Deficiency account and to correct the Dec- <br /> ember 31, balance sheet which will increase our free cash by the $98,281 .71. <br /> Then to prepare a revised December 31, 1962 balance sheet andsend to <br /> Division of Accounts so as to get a letter as to our free cash. <br /> At 11 : 00 P. NI. we left the Selectmen' s meeting. <br /> Respectfully submitted, <br /> Raymond L. White <br /> Secretary <br />