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32 <br /> Report of the Finance Committee <br /> To the Honorable Board of Selectmen <br /> Mashpee,Massachusetts <br /> f dud The report of the Finance Committee is hereby sub- <br /> mitted for the year ending December 31, 1968. <br /> March 1968 Appropriation $3,500.00 <br /> From Overlay Surplus Revenue <br /> Account 4,000.00 <br /> Total $7,500.00 <br /> 1968 TRANSFERS <br /> 1. July 24 Selectmen's Expense $500.00 <br /> 2. July 24 Dump Custodian Account 1,200.00 <br /> 3. Aug. 21 Selectmen: School Traffic <br /> Signal Account 413.00 <br /> 4. Sept. 11 Accountant's Expenses 165.00 <br /> 5. Sept. 11 Dog Officer's Expense 255.00 <br /> 6. Sept. 11 Moth Suppression 112.00 <br /> 7. Sept. 11 Park & Recreation Expense & <br /> Wages 450.00 <br /> 8. Sept. 25 Board of Health, Wages 175.00 <br /> 9. Sept. 25 Board of Health, Dump Expense 800.00 <br /> 10. Sept. 25 Board of Health, Dental Account 320.00 <br /> 11, Oct. 9 Board of Election & Registration 64.38 <br /> 12, Oct. 16 Tax Collector's Expense 200.00 <br /> 13. Oct. 16 Treasurer's Expense 100.00 <br /> 14. Oct. 16 Police Dept., Wages 1,000.00 <br /> 15. Dec. 18 Town Accountant, Wages 20.00 <br /> ' 16. Dec. 31 Park & Recreation Wages 10.25 <br /> 17. Dec. 31 Laying Out Lots, Old Indian Cemetery 5.00 <br /> 18. Dec. 31 Election & Registration, Wages 6.00 <br /> 19. Dec. 31 Christmas Lights 15.06 <br /> Balance $1,689.31 <br /> Respectfully submitted, <br /> GEORGE A. BENWAY, JR., Chairman <br /> RALPH A. ROCKWELL <br /> FRANK E. SMALL <br /> CHESTER GARLAND <br /> F AMELIA G. MILLER <br /> THOMAS R. SAUNDERS <br /> �k <br />