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14 <br />Report of the Finance Committee <br />To the Honorable Board of Selectmen <br />Mashpee, Massachusetts <br />The report of the Finance Committee is hereby submitted <br />for the year ending 1960: <br />March Appropriation $2,000.00 <br />From Overlay Surplus Revenue Account 2,000.00 <br />Total $4,000.00 <br />ol <br />TRANSFERS <br />2 April <br />Snow & Ice <br />$96.25 <br />2 May <br />Finance Committee Expense <br />25.50 <br />26 May <br />Insurance on Town Labor <br />139.22 <br />27 May <br />Town Reports Account <br />24.50 <br />6 June <br />Finance Committee Expense <br />13.75 <br />30 June <br />Police Compensation <br />225.00 <br />Police Equipment & Maintenance <br />118.89 <br />2 Aug. <br />Parks & Beaches <br />223.00 <br />26 Sept <br />Fire Equipment & Maintenance <br />200.00 <br />Fire Line Bushing <br />200.00 <br />Forest and House Fire Account <br />200.00 <br />Chapter 90 Maintenance <br />77.00 <br />General Relief <br />50b.00 <br />3 Oct: <br />Insurance on Town Labor <br />64.44 <br />20 Oct. <br />Selectmen's Expense <br />170.62 <br />7 Nov. <br />Relief Firemen Account <br />160.00 <br />Selectmen's Expense <br />200.00 <br />Town Clerk's Expense <br />326.07 <br />Finance Committee Expense <br />19.30 <br />Tax Collector's Expense <br />140.00 <br />28 Nov. <br />General Relief <br />325.00 <br />Police Equipment <br />44.00 <br />Police Travel & Maintenance <br />65.00 <br />Police Compensation <br />355.30 <br />