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HomeMy WebLinkAbout2008-10-15'I`B 10 -15 -48 TOWN OF DRYDEN TOWN BOARD MEETING October 16, 2008 Present: Supervisor Mary Ann Sumner, Cl SvLphen Stelick, Jr,, C1 Joseph Solomon, Cl David Makar, Cl Jason Leifer 1 }Iected Officials; Sambi L. Hollenbeck, Town Clerk Other Town Staff; Henry Slater, ironing Officer Supv Sumner opened the board meeting at 7;03 p,m, and beard Tnernbers and guests participated in the pledge of a.11egiaiice. PUBLIC HEARING SPECLkL PERMIT AlPPLICATION OF THE MAILBOX, INC. FOR EXPANSION AT 1650 HANSHAW ROAD Supv Sumner opened the public hearing at 7:06 p.m. and Town Clerk 13 Hallenbeck read the notice pub] ifshed in The fthaea Journal, Frank Leon of'1,he Mailbox, Inc. explained that the business is in need of additional storage space because of the volume ofi work they have,_ Tl,e owners of the building have committed to an increase of 0' by 38. It would be constructed on an area that is paved and so would have an a: }pha1t Door_ The space will have electric lights, but will not be heated. There would be no additional runoff as a result of the construction. Supv Sumner noted this is a pre-existing non - conforming use. There is no change in use but needs approval for the addition_ The board reviewed. the associated short environmental assessment farm_ RESOLUTIOR #172 - NEG SEAR DEC - THE MAILBOX, INC, C1 SlleliCk offered the following resolution and asked for its adoption' Ulf H C R CA S, A_ The proposed action involves consideration of t_i]e, .application of The Mailbox, 1M. to construct a 760 square foot addition to the Faeility at 1650 Hanshaw Road_ 13_ The proposed action is an Unlisted Action for which the Town Board of the Town of Dryden is the lead agency for the purpose% of ul) coordinated environmental review in connection u►Zth approval by the Town- C, The Town Soacrd of the Town of Dryden, in performing the Icad agency function for its independent and uncoordinatncl environmental review in accordance with Article 8 of the New York State Environrn(.nfgj Conservation Law - the Mate Environmental QLiality Review Act p( EQR), (i) thoroughly reviewed the Short: Environmental Assessmcnt Form (the 'Short SAF "), lPaxt I, and any and all other documents prepared and submitted vk-ith respect to this proposed action and its environmental review, (ii) thoroughly analyzed the potential relevant areas of environmental concern to determine if the proposed action may have a sign fticant adverse Page I of 3 • TB 10=15=08 impact on the environment, including the, critcria identifed in 6 NYCRR §617.7(c), and (iii} completed the Short EAF, Fart H; NOW, 'rHEREl CRP., 6F, IT RESOLVED AS FOLLOWS: 1. 'I'he 'Town k3nard c)f the Town of Dryden, based upon (i) its Ll- korough review of the Short EAF, Part 1, and any and all other documenU. prepared and submitted with respect to this proposed action and its environmental review, (ii) its thorough review of the potential relevant areas of environmental concern to dekrmine if the proposed action may have a significant adverse impact on the environment, including the criteria identified in 6 NYORR 3617.7(c}, and (iii) its completion of the Short EAF, Part 11, including the findings noted thereon (which findings are incorporated herein as if set forth at length), hereby makes a negative determination of environrnc:ntal significance ('Negative Declaration') in accordance with SEAR for the above referenced proposed action, arkil determines that neither o full Envirornnentai Assessment Form, nor an Environmental Impact Statement will be required, and 2. The Responsible Officer of the Town Board of the Town of Dryden is hereby authorized and directed to complete and sign as required the determination of significance, confirming the foregoing Negative Declaration, which fully completed and signed Short EAF and determination of significance shall be incorporated by reference in this Resolution. 2°O C1 Soloman Roll Call Vote Cl Stelick Yes Cl Solomon Yes Supv Sumner Yes Cl Makar Yes Cl L[:ifer Yes RESOLUTION 0173 - APPROVE SPECIAL PERMIT APPLICATION OF THE MAMBOX, )NC. Supv Sumner offered the following resolution and asked for its adoption; RESOLVED, that this Towri Board hereby approves the special permit application of The Mailbox, Inc_ for a 760 square foot addition to the existing structure at 1650 Ranshaw ]Road, subject to the Standard Conditions of Approval (S- 14 -08 ). 2nd Ci Stelick Roll Call Vote Cl Stelick Yes Cl Solomon Yes Supv Sumner Yes Cl Makar Yes Cl Leifer yes Supv Sumner explained there is a need for local law specifically repealing the two older rc creation local laws, The local law was in trod aced as follows, and the public: }tearing on the same was set for November 12, 2008, at 7 =00 p.m_ Proposed Local Law _ 2045 A local law repealing Local Law No. I of the year 2000 and Local Law No, 3 of the year 2002. !_ Local Law No_ I of the year 2000 (a local Jaw establishing the Town of Dryden Recreation Comniissiolt) as amended by )vocal Law No, 3 of the year 2003 (A local law amending ]„oval Law No. I (if the year 2000 which, Lmbiishud the "Town of Dryden recreation Commission, to clarify the ternis of members and provide for an increase in the J,Wrrher of mcmt ers) is herohy repealed_ Page 2 of 3 TB 10 -15 -08 2. Said Local Law No. 3 of the year 2002 is also hereby repealed to the extent paragraph I hereof does • not repeal the same in its entirety. 3. Fflective Date. This Local Law shall take effect following its adoption and as provided in the Municipal Home Rule Law, Supv Sumner noted there are several items the board needs to consider for inclusion in the 2009 budget, including: Community Center Program grants - $10,000 in recreation. Triathlon - $10,000 in recreation. Dryden Renewable Energy Workgroup - $46,000 for energy audit grants. This would provide $300 grants to 1.50 homeowners. There needs to be a discussion about who would administer this. Rehabilitation funds for the barn on the 'Tuttle property - $30,000 to $85,000, depending on the amount of work to secure and /or restore it in an authentic manner. Tompkins County Area Transportation - $18,000. Supv Sumner is interested in seeing what, if any, additional services or discount could be offered to Dryden residents. There is some objection to this contribution without a specific benefit to residents. Supv Sumner said this would make a $3 per year difference in the tax bill on a $100,000 home. Cl Stel.ick said he thinks it is a good idea, but needs to be fleshed out more, and it is a little late in the season for the request. Cl Leifer said they would probably expect a contribution in following years. Cl Makar said part of it could be funded in the budget, but not given to them until there is an agreement in place. It will be discussed further at the budget: workshop. Staff IT training - $5,000. Bookkeeping software package - $10,000. The next budget workshop will be October 22, 2008, at 6:00 p.m. Supv Sumner would like the finance committee and the board to discuss the need to establish reserve funds for capital expense and equipment replacement. There being no further business, the meeting was adjourned at 8:00 p.m. Respectfully submitted, /B/an bi L. Hollenbeck Town Clerk Page 3 of 3 1Z /P0 /7GOB J.4:16'20 MONTHLY REPORT OF SUPERVISOR TO THF„ TOWN BOARD OF TH C Town of 1)ryden: �suant; to Section 125 of the Town Law, T. hereby render the followi«y detaiied statement all moneys received and dj:sbur5Qd by me duririg [!he month of ctobcD�, 20OB : DATED. Novcml UT 10, 2001 A GENERAL FUND - TC]WNWTDE Balance Balance 09/3012048 Increases Decreases 14/31/2048 CASH - CHECKING 6,742.90 0.04 164,803,19 IE5,'77B 179,540.04 293s4h<�8 B,496 -05 -83 CASH - SAVINGS 5r 666,OC10,95 - SAVINGS 145.170.23 SAVINGS 180,750.53 25, 5.539,380,65 64247.28 PETTY CASH 500.00 -59 MO 1,939,?08.89 0.00 SL 2- ETNA LIGHTING DISTRICT 604.00 TOTAL PETTY CASH - 20STAGS 1.,B09 -53 130e026'11 D.DO 0 -00 0-00 1080D,51 1, 439,308 TOTAL 5,675,153.36 329,973.92 360,290.57 50649,836,21 DA 141CHWAY TCW1~ TIDE FUND CRSH - CHECKING 17 -Qq 0.04 29 -D, IE5,'77B -63 293s4h<�8 65,7''8 -83 0.40 Cr45H - O.UO - SAVINGS C;�SY. - SAVINGS i,S40,987.15 25, 963.02 64247.28 313, 808.53 311,90 65;8/5 -59 1,939,?08.89 SL 2- ETNA LIGHTING DISTRICT TOTAL IF 410, 997 -1,.5 130e026'11 131,704.42 0-00 1, 439,308 -84 2248 GENERAL - CMSIDE FUND 0.40 CASH - SAVTNGS ;3, 3 76.91 3 -71 2xl8 -39 3, 1,51,73 �H CASH - CHECKING 56FO34- 58 :1.ie 452, 93 70e 547.10 0.41 C'A -? - SA'V'YNGS 692,612 -29 50eMB,2�3 19,952.52 678,468,10' PET & V CRSH - POSTAGE 2, 105- 54 C1, 00 0100 21105,54 TOTAL 700, 77 72 9 �i 1. 64x761.26 84,955 -62 680,5 9.05 D8 HIGHWAY OUTSIDE FUM C2 S1] - CH1uxTNf; 17 -Qq 307.X33 29 -D, 468.vB 25,000.02 293s4h<�8 -58 0.00 0.40 Cr45H - CASH - SAVINGS 974,5-�J. -96 349.09 19,477.59 25, 963.02 2931468,58 313, 808.53 311,90 7000581.49 615.56 TOTAL 97 4 , 57:1, - 98 312, 94 5.27 56 6, 93 7 .16 700, 581, 09 SF1- DRYDEN FIRE DISTRICT ,.38- - CHECKING 37.DO 307.X33 25,963 -02 307 -83 25,000.02 4 -00 0.00 3,7,54 -02 Cr45H - S+'V'INGS ?39, 902.51 307 -83 349.09 3,460 -26 25, 963.02 4,02 313, 808.53 311,90 TOTAL 3391439,51 2'f 332,06 51,963 -04 313,809 -53 SL1° VARNA LIGHTING DISTRICT CASH - CHECKING 0 -00 307.X33 307 -83 4 -00 CASH - SA'ITNGS 3,7,54 -02 1.0? 307 -83 3,460 -26 DOTAL 4,02 311,90 615.56 3x450.26 SL 2- ETNA LIGHTING DISTRICT CASH - CHECYTHCr 0-00 248.39 2248 39 0.40 CASH - SAVTNGS ;3, 3 76.91 3 -71 2xl8 -39 3, 1,51,73 Page 1 NIONTIMV REPORT OF SUPERVISOR Balance Balance 09/30/2008 Increases Decreases 10/31/2008 TOTAL 31396,41 252.10 496.78 3,151.73 SL3- MEADOW /LEISURE LIGHTING CASH - CHECKING 0.00 203.47 203.11 0.00 CASH - SAVINGS 21618.73 2.84 203.47 21418.10 TOTAL 21618.73 206.31. 406.94 2,416.10 SM AMBULANCE DISTRICT CASH - SAVINGS 228,252.89 268.73 0.00 228,521.62 TOTAL 228,252.69 268.73 0.00 228,521.62 SS1- SAPSUCKER SEWER - UNITS CASH - CHECK.ING 0.00 171.90 111.90 0.00 CASH - SAV.T,NGS 40, 657.47 1,637,84 171i.90 42, 123, 41 TOTAL 40,657.47 1,609.741 343.80 42,123.41 SS2- VARNA SEWER - UNITS CASH - CHECKING 846.30 496.1,1. 1,342.41 0.00 CASH - SAVINGS 1.56,902.06 5,949.35 496.11, 162,355.30 Page 2 TOTAL 157,748.36 6,445.46 1,838.52 162,355.30 ® SS3- CORTLAND RD SEWER CASH - CHECKING - 28,5;1.0.06 29,166.82 656.76 0.00 CASH - SAVINGS 173,533.86 37,757.90 29,166.82 182,124.94 POSTAGE -34.95 0.00 0.00 -34.95 TOTAL 144,988.65 66,924.72 29,823.58 182,089.99 SS4- MONKEY RUN SEWER CASH - CHECKING 49.15 56,454.82 56,504.57 0100 CASH - SAVINGS 173,133.51 !,575.66 56,454.82 118,254.35 TOTAL 173,183.26 58,030.48 112,959.39 118,254.35 SS5- TURKEY HILL SEWER CASH - CHECKIIG 0100 5,747.6" 5o74'4,67 0.00 CASH - SAVINGS 120,273.41, 4,283.68 5,747.67 118,809.42 TOTAL 1.20, 273.41 10t031,35 11r495.34 1.18, 809.42 SS6- PEREGRINE HOLLOW SEWER CASH - CHECKING 0.00 140.81. 140.81 0.00 CASH - SAVINGS 93,513. "r0 429.83 140.81 93,602.72 TOTAL 931513.70 570.64 281.62 93,802.72 OSS7- ROYAL ROAD SEWER CASH - CHECKING 0.00 8,386.68 61375.00 11.88 CASH - SAVINGS 21,523.76 170.22 8,375.00 13,318.98 Page 2 MONTHLY REPORT OF SUPERVISOR Balance Balance 09/30/2008 Increases Decreases 10/31/2008 SW4- HALL ROAD WATER TOTAL 21,523.76 8,007.46 8,557.10 15,250.60 16,750.00 14,921.04 13,330.86 PN MCARTHUR SPECIAL RESERVE SW1- VARNA WATER 0.29 1,972.66 11972.95 CHECKING - SPECIA1., RESERVES 2,922.90 0.00 CASH - CHECKING 31 „1.02.57 0.00 0.00 2,565.07 1.1,843.81. 11,843.81 2,922.90 31,694.98 0.00 CASH - SAVINGS 31,102.86 31.0,82'.51 4,537.73 131444.39 11,843.81 312,428.09 TURKEY HILL WATER TO'T'AL 310r82",51 CASH - CHECKING 188,093.40 25, 288.20 23o687,62 0.00 31.2, 428.09 SW2- SNYDER HILL WATER 1.88,093.40 0.CIO 6,004.37 1901978.85 0.00 CASH - CHECKING 147,448.80 0.00 91666.58 0,331.81 6,331.81 0.00 157,115.38 0.00 CASH - SAVINGS :1.53,453.17 611497.80 9,666.58 1,371.06 6,331.81. 56,537.05 'T'O'TAL 61, 49 "i .80 70702-87 12r663,62 56o5347,05 SW3- MONKEY RUN WATER CASH - CHECKING 464.33 44,117.17 44,5 1.50 0.00 CASH - SAVINGS i70,901.72 3,493.68 44,117.17 130,278.23 TOTAL 171,366.05 47,610.85 88,698.67 1301278.23 SW4- HALL ROAD WATER 22,164.18 8,007.46 15,250.60 14,921.04 PN MCARTHUR SPECIAL RESERVE CASH - CHECKING 0.29 1,972.66 11972.95 CHECKING - SPECIA1., RESERVES 2,922.90 0.00 CASH - SAVINGS 31 „1.02.57 0.00 2,565.07 11972.66 2,922.90 31,694.98 0.00 TOTAL �SW5- 31,102.86 2,322.90 4,537.73 CD REHABILITATION LOANS AND GRANTS 3,945.61 31,694.98 TURKEY HILL WATER CASH - CHECKING 188,093.40 2,885.45 0.00 190,978.85 CASH - CHECKING 6,004.37 1.88,093.40 0.CIO 6,004.37 1901978.85 0.00 CASH - SAVINGS 147,448.80 91666.58 0.00 157,115.38 TOTAL :1.53,453.17 9,666.58 6,009.37 157,115.38 SW6- ROYAL ROAD WATER CASH - CHECKING 0.00 ?,635.51 7,625.30 10.21 CASH - SAVINGS 22,164,18 371.95 7,625.30 141910.83 TOTAL 22,164.18 8,007.46 15,250.60 14,921.04 PN MCARTHUR SPECIAL RESERVE CHECKING - SPECIA1., RESERVES 2,922.90 0.00 0.00 2,922.90 TOTAL 2,922.90 0.00 0.00 2,322.90 CD REHABILITATION LOANS AND GRANTS CASH - CHECKING 188,093.40 2,885.45 0.00 190,978.85 TOTAL 1.88,093.40 2,885.45 0.00 1901978.85 H CAPITAL PROJECTS - TOWN HALL CASH - SAVINGS 1,002.94 1.18 0.00 1,004.12 TOTAL, 1,002.94 1.i8 0.00 11004.12 TA AGENCY FUND Page 3 MONTHLY REPORT OF SUPERVISOR Balance Balance 09/30/2008 Increases Decreases 10/31/2008 CASH - TRUST & AGENCY 161133.59 109,343.22 109,084.60 3.61392.21 TOTAL 16,133.59 109,343.22 109,084.60 16,392.21 CM MISC SPECIAL REVENUE /MCARTHUR CASH - SAVINGS `L'OTAI,, HB CORTLAND ROAD SEWER SAN CASH - SAVINGS TOTAL TOTAL ALL FUNDS 14.66 0.00 0.00 14.66 14.66 0.00 0.00 14.66 24,198.65 24,"x98.65 0.00 0.00 0.00 24,798.65 0.00 24,798.65 11,104,222.98 1,232,491.19 1,650,201..53 101686,512.64 Page 4 DRYDEN TOWN BOARD MEETING Held At Ellis Hollow Community Association 111 Genung Road, Ithaca, New York .14850 Wednesday, October 8, 2008 ~ 7:00 PM 1) Call Meeting to Order 2) Pledge of Allegiance 3) Roll Call 4) Public Hearings a) 7:00 — Proposed Recreation Commission Law 5) Citizen's Privilege a) Dan Schmoe 6) Town Court 7) Town Clerk a) Approve Meeting Minutes for September 10, 2008 8) Town Highway Superintendent/Department of Public Works a) Resolution to accept seasonal use roads 9) Recreation Department a) Monthly Program Report b) Appointment of new Dryden Recreation Commission Member c) SUNY Youth Sports Institute 10) County Briefing 11) Zoning Officer �) Environmental Planner a) Official Map b) Six Mile gauge project 13) Engineering a) Update on progress of Salt Storage Building and Storm water Pond 14) Attorney 15) Unfinished Business a) Weatherization Cash Grant Program 16) New Business a) Meeting Room use policy 17) Committee Reports (3 minutes or less each, please) a) Emergency Services Committee b) Personnel Committee— Computer Use Policy c) Finance Committee — Schedule Budget public hearing d) MUD Loans & Grants Committee e) Technology Committee 0 Recreation/Youth /Community Centers Committee 18) Approve Abstract # 10 19) Future Agenda Items 20) Executive Session J. Valentinelli B. Hollenbeck J. Bush M. Bianconi County Rep H. Slater D. Kwasnowski A. Sciarabba M. Perkins J. Leifer M. Sumner The Alext Town of Dryden Board Meeting will be Held November 12, 2008 at the Town Hall