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I; <br /> 27 <br /> PLANNING BOARD <br /> i <br /> Cash balance January 1, 1969 $52.50 <br /> Receipts 128.25 <br /> $180.75 <br /> Payments to treasurer <br /> 178.25 L <br /> Cash balance December 31, 1969 2.50 <br /> $180.75 - Li <br /> Cash balance January 19 1970 $2.50 <br /> Receipts January 1 to <br /> April 4, 1970 141.00 $13.50 , <br /> j <br /> Payments to treasurer January 1 to <br /> April 4, 1970 93.50 J1 <br /> Cash balance April 4, 1970, verified 50.00 !, <br /> $143.50 <br /> x . <br /> L I. <br /> POLICE DEPARTMENT <br /> Cash balance January 1, 1969 $124.00 <br /> Receipts3 <br /> 447.00 <br /> Adjustment 1969: <br /> Receipts reported in excess 17.00 II <br /> $588.00 <br /> Payments to treasurer 584.00 I ; <br /> Cash balance December 31, 1969 4.00 $588.00 ! <br /> Cash balance January 1, 1970. $4.00 <br /> Receipts January 1 to <br /> April 4, 1970 27.00 <br /> $31.00 <br /> Payments to treasurer January 1 to <br /> , April 4, 1970 16.00 <br /> Cash balance April 4, 1970, verified 15:00 i <br /> $31.00 <br />