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'I <br /> i <br /> 32 <br /> Report of the Finance Committee P <br /> P <br /> 7 <br /> F <br /> To the Honorable Board of Selectmen I: <br /> and the Citizens of the Town of Mashpee S <br /> F <br /> The following is an accounting of the distribution of the F <br /> Reserve Fund for the period January 1, 1973 to March 31, q <br /> 1974. <br /> March 1973 appropriation $.20,000.00 7 <br /> From Overlay Surplus Reserve Account 10,000.00 <br /> i <br /> Total $30,000.00 <br /> Transfers From Reserve Fund <br /> 4/11/73 Police Expense $496.00 <br /> 8/ 1/73 Park & Rec. Lifeguards 559.75 <br /> 8/ 8/73 Park & Rec. Lifeguards 2,254.00 <br /> 9/12/73 Park & Rea Wages 300.00 <br /> 9/12/73 Park & Rec. Expense 750.00 <br /> i 9/12/73 Asst. Treas. Asst. Wages 247.00 <br /> 10/13/73 Fire Wages 900.00 <br /> 10/22/73 Tree Warden Pine Looper 6,000.00 <br /> 11/14/73 Highway Expense 1,000.00 <br /> 11/29/73 Historical C. Expense 1,565.00 <br /> 12/ 5/73 Fire Wages 1,300.00 <br /><i <br /> 12/12/73 Accountant Expense 150.00 <br /> 1/30/74 Police Wages 5,000.00 <br /> 2/ 1/74 Town Hall Wages 100.00 <br /> 3/ 6/74 Selectmen Gen. Adv. 300.00 <br /> 3/27/74 Accountant Expense 161.38 <br /> j — <br /> I <br /> Total $21,518.73 <br /> i' Balance in Reserve Fund, March 31., 1974 $8,481.27 <br />