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HomeMy WebLinkAbout1991-05-01 9J M,-i V i , 1.9 9 1 The regular meeting of the Enfield Town Board was called to order at 7:30 pm with the following members present: Elected Officials: Other 0f f icialt-3: Supervisor Etta Gray County Rep- James Mason Councilman Onale Monte Town Historian M. Clyde Hubbell Councilman Robert Linton Town Clerk Jean Scofield Absent: Councilman Kraft Town Justice Dale Townley Councilman Lovelace • PLEDGE OF ALLEGIANCE TO THE FLAG PRIVILEGE OF THE FLOOR There were no comments from the floor. MINUTES TO THE LAST MEETING OF APRIL 4, 1991 The minutes to the last meeting of April 4, 1991 were read by Town Clerk Jean Scofield. Correction: Historic Ithaca will give an evaluation not an estimate on work to be ci(--).rje on cemeteries. Councilman Mente made a motion to accept the minutes with the correction. Councilman 'Linton seconded the motion. Motion carried. ADDITIONS/DELETIONS TO ME AGENDA Deleted from the agenda was the Community Council Report. REPORTS COUNTY BOARD OF REPRESENTATIVES County Board Representative James Mason reported that members for the Reapportionment of Election Districts Committee will be selected at the next. County Representative meeting. The Town of Enfield's population has increased 29%. The County has received the DEC permit for the Central Processing Facility. County Representative Mason stated that the County Health Department is stressing that there is a serious rabies outbreak- in the area. Rabies have been located in Schuyler County. Representative 'Mason reported that the telephone company it will be four years before Tompkins County will be on a "911- emergency phone line- For use of this phone line, there will be a $.35 surcharge per phone line. TOWN OF ENFIELD PLANNING BOARD Gone Endres ,reDorted that Steve Tanksley has resigned from the Planning Board. The Planning Board needs a replacement board member ol app The Draft Site Plan Review Law, Newfield's Mobile Home Park Regulation and Licensing Local Law, and a copy of the Town of Coventry Site Plan Review Law. 14-Ill like • COMMUNICATIONS A letter of resignation was received from the Highway Superintendent, David Miller. The effective date is May 1, 1991. BILLS Councilman Linton made a motion to pay General Fund Warrant 5-91 for $2,880.65 and Highway Fund Warrant 5-91 for $17,032.56. Councilman Mente seconded the motion. Motion carried. OLD BUSINESS REGULATION OF JUNK CARS IN ENFIELD Supervisor Gray read a letter from Shirley Egan suggesting a "get- rid-of-your-junk car month" before enforcing the law- A sub- committee of the town board should be iorined, a press release to the local newspaper , and a flyer containing all the information and informing people on what their choices are. Councilman Linton made a motion that Councilman Kraft and Councilman Lovelace form a subcommittee to follow the suggestions of the town attorney. Councilman Mente seconded the motion. Motion carried. NEW BUSINESS HIGHWAY SUPERINTENDENT RESIGNATION Supervisor Gray will the-call the state to get information on filling the vacant Highway Superintendent Position. ASSESSMENT GRIEVANCE DAY Assessment Grievance Day will be hold in the Enfield Town Hall on Thursday, May 9, 1991 from 3:00 to 6:00 pin. Town Clerk Jean Scofield spoke regarding a request she received from U. S. Comstruct, Inc. for a letter stating that there was no zoning regulations in Enfield. They have plans to erect a communication tower for mobile phones. Councilman Linton stated that it would be okay to state that. Councilman Mente made a motion to adjo-Lirl-1 the meeting. Councilman Linton seconded the motion. Motion carried. Meeting ad,journed at 11:00 pin. Respectfully submitted, Jean Scofield Enfield Town Clerk SUPERVISOR' S REPORT General. Fund Balance April 1, 1991 Savings $108, 088. 42 Checking $ 107. 68 Total $108, 196. 10 Receipts $141, 904. 26 D i sbiarse 111e nt S 68, 632. 92 Balance April 31 , 1991 Savings $181, 289. 63 Checking 177. 81 Total $181, 467. 44 Highway Fund. Balance April. 1. , 1-991, Sa v i n ., s $220. 169. 44 Cl.-j.ecki iig 110. 87 Total $220, 282. 00 Receipts $ 3, 628, 84 Disbursements $ 19, 111. 46 Balance April 31 , 199:1, Saving" $204 ,698.28 Checking 101 . 10 Total $204, 799. 38 Equipment Reserve Interest $ 279. 53 Savings 58, 958, 95 Checking 1. 00