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81 <br /> Reserve Fund 1,000.00 <br /> Retirement Fund 686.40 <br /> Unpaid Bills 850.00 <br /> Town Reports 475.00 <br /> Cemeteries 650.00 <br /> Old Indian Cemetery 100.00 <br /> Interest on Loans 400.00 <br /> School Loan 1,000.00 <br /> Town Hall Loan 11000.00 <br /> Fire Truck Loan 1,500.00 <br /> Town Barn &Fire Station Maintenance 325.06 <br /> Fire Chief's Salary 550.00 <br /> Police Travel Account 450.00 <br /> Highway Surveyor's Office Expense 150.00 <br /> Highway—General Account 3,100.00 <br /> Fire Insurance Town Property 300.00 <br /> Disability Assistance 500.00 <br /> Town Nursing Service— <br /> Compensation, Travel and Expense 750.00 j. <br /> Town Parks & Beaches— <br /> Cleaning and Maintenance 800.00 <br /> Administration—A.D. C., O.A.A., D.A., Welfare 1,100.00 <br /> Heavy Duty Oil Burner Davis School 4,000.00 <br /> Fire Dept. Gasoline Portable Pump 315.00 <br /> Town Landing Committee Expense 100.00 <br /> Purchase of Shellfish 1,000.00 i1 <br /> Planting & Transportation Shellfish 150.00 <br /> Recover and Rebuild Lounge Chairs— <br /> Town Hall 250.00 <br /> $112,166.90 <br /> The following transfers were also approved: <br /> Article 8: 1. <br /> From Surplus Revenue $7,150.00 is <br /> To Highway Chapter 81 $7,150.00 <br /> Article 9: <br /> From Surplus Revenue $9,000.00 <br /> To Highway Chapter 90 <br /> Construction $9,000.00 <br />