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HomeMy WebLinkAboutSpec/Postponed Mtg. Minutes 2/25/927; 3/15/1927E Special Meeting - February 259 1927 Present: Re M. Wiegand, President S. Be Garrett, Trustee A. 0. Durand, Trustee A. J. Heinicke, Treasurer Minutes of last meeting read and approved. The Treasurer's report for the fiscal year ending February 28, 1927 was filed with the Clerk as follows: i Receipts V, Balance on hand March It 1926 ------------------------- ------ - --- $5445.19 General village tax------------- ------- -- ------- ---- ----- ---- -- 12745.78 insurance tax------------------- -------- --- ------------- ------- 1526.26 Mortgage tax-------------------- ---------- ----- ---- -- -- ------ -- .120.85 Building permits ------- ----------- ----------------------------- 11.00 Payment for water repairs on private property------------ - - - - -- 31.00 Total reaeipts419880.08 Disbursements Lights---------------------------- ---- - ------------- ---- -- ----- $768.00 Garbage removal----------------- ------- -- --------- --- ----- -- --- 1349.50 Redemption of bonds and interest-----------------=------ - - - - -- 2261025 General-------------------------- --- ----- ---------- --- --- ------ 156.29 State highway maintenance --------------------------- ------------ 172.37 Village highway - General' - - -- $1740.67 Drain on Parkway - -- 2629.40 Resurfacing 11 . - - -- 3387.50 7757.57 Water supply - Hydrants installed.by J. T. Newman (3) --------- 325.23 Total Disbursements -- $12,810.21 Bolance on hand- - - - - -- $7,069.87 ' Detail of Improvement on Parkway Drain Surveying and supervision------------------------- - - - - -- $273.50 Labor-------- --- ------- ---- --- ----- - ----- - -- - --- 1126.50 Material ------- ------ =-- --- ---------------------- = --- -° 1079.80 Machine------- -- --- -- ----- -- ----- ---- -- -- - --- -- -- - -- 149:60 $2629.40 Resurfacing the Roadway Surveying and superivsion------------ ------------- - - - - - -- Labor- -- ---- ----- ---- ---- --- -- - - -- - -- -- --- -- --- -- - --r Material------------------------------------------------ Machine ----- Total --, „'$177.50 1269.32 e .:1295.59 365.09 $3487.50 __ _ - - - -- 46116.90 85, The following tentative budget for the fiscal year beginning April 1, 1927 was formulated as an expression of the immediate needs of the Village: General Fund ----------------------------------------------------- $350.00 Lighting. Fund---°°°---------- -- --- ° °- -------- --- --- --- - ----- 800600 Water Fund Maintenance of system--------------------------------- - - - - -- 100.00 Fire hydrants - water supply - 14 © $40--------------- - - - - -- 550.00 Now hydrant (1) -- estimated co bt---=------------------- - - - - -- 175.00 Highway Fund state-------------------------- =----------=---- ------- - - - - -- 200:90 Village----------------------------------------------------- 4500.00 Garbage Disposal Fund ------------------ - ----------- - ------------- 1500.00 Bond and Interest Fund ------- - ------------------------------------- 1350.0 The date of March 10th was chosen for the annual village meeting.9'�� S 0� Voted to adjourn. `l President{ Vij,.;Age Cler Postponed Monthly Meeting - March 15, 1927 Present: K. M. Wiegand, President S. S. Garrett, Trustee A. C. Durand, to A. J. Heinicke, Treasurer Minutes of the annual meeting of the residents of the Village held March 10 were read and approved with certain corrections. Minutes of the special meeting held February 25 read and approved. Upon motion duly made and seconded, the following bills were approved, ordered paid, and charged to the funds indicated: Garbage Fund 8. Mosher - Team - 108 hra. ® $ 1. 00 ---- - -------------------------- $108.00 - Man - IOS.hre. a 50 ots --------- --------- ------------ 54.00 ° Highway Fund S. Mosher - Team on walks - 7 hrs. ® $1.50 -------------- mm, ------ - 10.50 ' J. Collins-Ream on walks - 10 hrs. ® $1.50--------------- - - - - -- 15.00 n n _ Team - 52 hts..® $ 1 .00°------ ----- --- ---- ----- -----. 5.50 C. Collins -Team on walks - 4 brs. ® $1,50------------ ---- ------ 6.00 AMIK 86 C. Collins -.Team - 5k bra. ® 81.00 --------------- -- ----------- 86.50 R. Durbon - Team - 4� bra'. 0 $1.00 ------------ --- - - - -- ----4.50 A. G. Hurlbutt - Services as Street Commissioner 12 bra ------ 12.00 General Fund Stable Pulleyn - Typing of two copies of minutes for year, 121 hrs.-----°----- ------- ---- -- --- --- -- -- ---- -- --- 6.25 Katherine Si. Sandwick - materials and time for preparing annual letter to residents of Village------- - - -- -- 4.03 Union Free School District $6 -.Use of room for storing safe and holding meetings - Starch 1, 1926 until March 1, 1927 - -10.00 C. J. Humsey & Go.- Ballot box --------------------------------- 1.45 Li t nsz Fund- New York State Gas & Electric Corporation -Light for February(A*00 Bond & Interest Fund Retiring Certificates of Indebtedness ($800 still unpaid) - -- 600.00 Interest till March 18th------------------------------ - - - - -- 15.16 During the meeting ways and means were considered for meeting present and future needs of the Village as these were thought through by the Trustees. Voted to adjourn. /- -- - - - -- 1 -- - -- - -- Pre ent ----------- w - --� Vil ge C1G cTlf