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17 <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 sub- <br /> mitted for the year ending December 31, 1971. <br /> March 1971 Appropriation $7,000.00 <br /> From Overlay Surplus Account 5,000.00 <br /> $12,000.00 <br /> 1971 Transfers <br /> 1. May 21 Ambulance Fund $3,475.00 <br /> 2. Aug. 25 Police Dept. Wages 4,000.00 <br /> 3. Aug. 25 Board of Selectmen Adv. 200.00 <br /> 4. Sept. 8 Ins. Town owned prop. 161.41 <br /> 5. Sept. 8 Cemetery Expense 125.00 <br /> 6. Oct. 13 Moth Suppression Ex. 103.60 <br /> 7. Oct. 13 Personnel Board—Wages 400.00 <br /> 8. Oct. 13 Highways—Wages 1,000.00 <br /> 9. Oct. 13 Highways—Expense 1,000.00 <br /> 10. Nov. 101 Board of Assessors 153.09 <br /> 11. Nov. 10 Fire Dept.—Wages 200.00 <br /> 12. Nov. 10 Fire Dept.—Expense 100.00 <br /> 13. Nov. 10 Sanitation & Refuse— <br /> Wages 400.00 <br /> 14. Nova 17 Tax Collector 200.00 <br /> 15. Dec. 31 Assessors—Expense 94.15 <br /> 16. Dec. 31 Fire Dept.—Expense 36.85 <br /> Total $11,649.10 <br /> Balance $350.90 <br /> Respectfully submitted, <br /> CHESTER A GARLAND, Chairman <br /> RALPH A. ROCKWELL <br /> FRANK E. SMALL <br /> DAVID J. KOPP <br /> JOHN A. PETERS <br /> STANLEY CIPKOWSKI <br />