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REPORT OF THE FINANCE COMMITTEE (({{ <br /> Iw <br /> The following is an accounting of the distribution <br /> period July 1, 1975 to February 17, 1976. of theReserve Fund for the <br /> May, 1975 appropriation <br /> From Overlay Surplus Reserve Account <br /> Total $10,000.00 <br /> 10,000.00 <br /> Transfers from reserve fund $20.000.00 <br /> July 28, 1975 <br /> Sept 10, 1975 Assessors - Wage Account <br /> Selectmen - Wa400.00 <br /> S <br /> Oct 14, 1975 ge Account <br /> Selectmen - Wage Account 500.00 <br /> Nov 24, 1975. <br /> Shellfish Warden - Expense 500.00 <br /> Nov 28, 1975 <br /> Jan 14, 1976 Assessors - Wage Account 425,00 ;' <br /> Jan 14, 1976 School Bldg. Comm. - Expense 500.00 <br /> School Bldg, Comm. - Wage 250.00 <br /> Jan 14, 1976 Town Owned Property Account 250.00 <br /> Jan 14, 1976 <br /> Fire Dept. - Wage Account 1,743.00 <br /> Feb 10, 1976 <br /> Parks & Recreation - Expense 761.99 <br /> Feb 10, 1976 Selectmen - <br /> Expense Account 850.00 <br /> Total -_1,000.00 <br /> Balance, February 17, 1976 7,179.99 <br /> $12,820.01 <br /> Your Finance Committee would like to thank the department heads, elected <br /> Officials and all personnel serving the Town of Mashpee who have offered their <br /> cooperation to maintain a sound financial base in our Town. <br /> Respectfully submitted, <br /> Walter F. <br /> Hurlburt, Chairman <br /> Thomas E. Gillis, Vice- <br /> Chairman <br /> Herbert Shanker, Clerk <br /> Robert Borowski <br /> Robert W. Bright <br /> Eugene W. Fischer <br /> Joseph R. O'Connor <br /> I <br /> 11 <br /> 1 <br />