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i' <br /> 14 <br /> Report of the Finance Committee <br /> To the Honorable Board of Selectmen <br /> and the Citizens of the Town of Mashpee <br /> The following is an accounting of,the distribution of the Re- <br /> serve <br /> g <br /> serve Fund for the fiscal year ending December 31, 1972. <br /> j March 1972 appropriation $7,000.00 <br /> From Overlay Surplus Reserve Account 5,000.00 <br /> Total $12,000.00 <br /> 4/12 Plumbing Inspector — Wage Account $ 1,450.00 <br /> 4/12 Health Department — Expense Account 1,070.00 <br /> 9/8 Police Department — Chief's Salary 1,649.00 <br /> 9/8 Fire Department — Chief's Salary 1,507.80 <br /> 9/13 Building Needs Committee — Expense 280.00 <br /> I <br /> 9/13 Town Clerk — Expense 100.00 <br /> / P <br /> 10/30 Health Department — Dump Wage Account 350.00 <br /> 10/30 Plumbing Inspector — Wage Account 1,500.00 <br /> 10/30 Fire Department — (thief's Salary Adjustment 957.24 <br /> 11/8 Selectmen — Expense 200.00 <br /> 11/27 Police Department — Expense 1,645.20 <br /> 12/13 Town Accountant Salary 400.00 <br /> 12/13 Town Accountant—Expense 61.00 <br /> 12/13 Highway Department — Expense 350.00 <br /> 1/4 Building Inspector—Expense 139.00 <br /> 1/7 Fire Department— Expense 72.76 <br /> 1/7 Fire Department — Wage Account 267.24 <br /> TOTAL $11,999.24. <br /> ,'•, Balance .76 <br /> $12,000.00 <br /> Recapitulation: <br /> Health Department $4,370.00 <br /> l "Police Department 3,294.20 <br /> j "Fire Department 2,805.04 <br /> Town Accountant 461.00 <br /> Highway Department 350.00 <br />