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05/05/2008 Annual Town Meeting
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05/05/2008 Annual Town Meeting
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Town Meeting Warrants
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budget with the maximum amount to be appropriated as shown in the column entitled "Dept. FY <br /> 2009 Request" (See Omnibus Budget), or take any other action relating thereto. <br /> Submitted by the Board of Selectmen <br /> Explanation: This article seeks to fund the annual operating budgets for the various Town <br /> departments. <br /> The Board of Selectmen recommends approval by a vote of 4-1. <br /> The Finance Committee recommends approval by a vote of 5-2. <br /> Motion made by Selectman George Green. <br /> Motion: I move the Town vote to fix the salaries of the elected officers as specified under the <br /> columns entitled "Town Manager Recommendation": in line items 1, 2, and 22 of the "Omnibus <br /> Budget" as distributed to voters at the Town Meeting and further the Town defray the expenses <br /> for the ensuing fiscal year by appropriation those amounts shown under the columns entitled <br /> "Town Manager Recommendation" and that to fund said appropriation, the Town raise and <br /> appropriate $43,461,467; and further appropriate and transfer from the Ambulance Receipts <br /> Reserved for Appropriation Account $250,000 to line Item 38; $,50,000 to line Item 39; and <br /> $8,000 to Line Item 21- appropriated transfer from the Hotel/Motel Reserved Receipts Account <br /> $37,000 to line Item 85; appropriate and transfer from the Conservation Revolving Account <br /> $18,757 to 'line Item 27; appropriate and transfer from the Shellfish Receipts Reserved for <br /> Appropriation Account $10,000 to line item 50; appropriate and transfer from the Cemetery <br /> Reserved Receipts for Appropriation Account $20,000 to line Item 65; appropriate and transfer <br /> from the Street Betterment Reserved Receipts Account $13,6,050 to line Item 77, $63,139 to Line <br /> Item 79, and $18,835 to line item 81; appropriate and transfer from the CPA Funds $702,361 to <br /> line Item 77; and $369,424 to line Item 79; appropriate and transfer from the Overlay Surplus <br /> Account $300,,000 to Line Item 85; appropriate and transfer from the Septic Betterment Reserved <br /> Receipts Account $,10,992 to Line Item p <br /> 58; and appropriate and transfer from Revenue Available <br /> I <br /> for Appropriation $1,325,119 to line item 85. <br /> Motion passes unanimously 7:49 PMO <br /> 2 <br />
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