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DRAFT 41 MAY 2019 SPECIAL & ANNUAL TOWN MEETING WARRANT Page 24 <br /> Article <br /> To see if the Town will vote to authorize the total expenditures for the following revolving funds <br /> pursuant to G.L. Ch 44 Section 53E YZ for the fiscal year beginning July 1, 2019 to be expended in <br /> accordance with the Bylaw establishing said revolving funds, heretofore approved, or take any <br /> other action relating thereto. <br /> FUND FY 2020 AUTHORIZATION <br /> RECREATION $580,000 <br /> LIBRARY $ 20,000 <br /> SENIOR CENTER $ 15 000 <br /> HISTORICAL COMMISSION $ 2,500 <br /> Submitted by the Finance Director <br /> Explanation: This article establishes the FY 2020 expenditure limits for departmental revolving <br /> funds. <br /> The Board of Selectmen recommends approval of Article by a vote of <br /> The Finance Committee recommends approval of Article by a vote of <br /> Article <br /> To see if the Town will vote to appropriate$498,098 to establish a budget for the PEG Access and <br /> Cable Related fund for fiscal year 2020,with said appropriation to be funded through the current <br /> balance of the fund, or take any other action relating thereto. <br /> Submitted by the Finance Director <br /> Explanation: The Department of Revenue now requires the Town to vote a yearly budget based <br /> on estimated expenditures from the fund for the next fiscal year. The total budget voted may not <br /> exceed the current balance within the fund. <br /> The Board of Selectmen recommends approval of Article by a vote of <br /> The Finance Committee recommends approval of Article by a vote of <br /> Article <br /> To see if the Town will vote to accept the last paragraph of G.L. c.41, §111F to create a special <br /> fund to be known as the Injury Leave Indemnity Fund,to be expended by the Board of Selectmen <br /> without further appropriation for payment of injury leave compensation or medical bills incurred <br /> under G.L.c.41, §§111F or 100,to which appropriations may be made, and amounts received from <br /> insurance proceeds or restitution for injuries to firefighters or police officers shall be credited, <br /> provided further that said board may, if the amounts therein are not immediately necessary or <br /> required in the foreseeable future, release specific amounts to the General Fund,or take any other <br /> action relative thereto. <br /> Submitted by the Finance Director <br /> Explanation: <br /> The Board of Selectmen recommends approval of Article by a vote of <br /> The Finance Committee recommends approval of Article by a vote of <br />