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14 <br />{I <br /> I <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 submit- <br /> ted for the year ending 1957: <br /> March Appropriation $2,000.00 <br /> From Overlay Surplus Revenue Account 2,000.00 <br /> Total $4,000.00 <br /> Transfers <br /> May 9 Finance Committee Expense Account 126.60 <br /> 27 To replace and repair Fire equipment <br /> damaged in fire May 8. 297.25 <br /> To defray expense incurred by forest <br /> fire May 8 (labor) 844.13 <br /> Oct. 7 May 8—Forest Fire 850.00 <br /> To defray expense for 12 additional <br /> dental clinics in Samuel Davis School 336.00 <br /> Nov. 11 Veterans' Benefits account 300.00 <br /> Assessors' expense account <br /> (adding machine) 150.00 <br /> Dec. 31 General accounts 153.61 <br /> Snow & Ice 146.50 <br /> General Accounts 661.62 <br /> j <br /> Total Transfers $3,739.11 <br /> Total Balance in Account $260.89 <br /> i <br /> Respectfully submitted, <br /> ROBERT JOHNSON, Chm. <br /> AGNES M. BESSE, Sec. <br /> HENRY LABUTE <br /> MINER PEDERSEN <br /> MYRON STUDLEY <br />