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T O W N O F M IL T O N

T O W N O F M IL T O N

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and that to meet said appropriation the sum of $16,000 be raised from the taxlevy, and that the sum of $716,566 be appropriated for the purpose of financingthe rehabilitation, replacement, or enhancement of the Town’s facilities andpublic safety equipment as described above, including costs incidental and relatedthereto; the Treasurer, with the approval of the Board of Selectmen, is authorizedto sell and issue bonds or notes of the Town, aggregating not morethan $716,566 in principal amount, pursuant to the provisions of Chapter 44,Sections 7(3A) and 7(9) of the Massachusetts General Laws, as amended, orany other applicable law and that the Board of Selectmen be and hereby is authorizedto accept and expend in addition to the foregoing appropriation one ormore grants or gifts from any other public or private funding source and that thesum of $13,000 be appropriated to meet said principal and accompanying interestfor one year and that to meet said appropriation the sum of $13,000 beraised from funds certified by the Department of Revenue as free cash.UNANIMOUS VOTEARTICLE 9 To see what sum of money the Town will vote to appropriate tothe Board of Selectmen for the purpose of conducting a municipal audit for thefiscal year ending June 30, 2011, and further to see if the Town will vote to authorizethe Committee appointed pursuant to Article 14 of the 1978 AnnualMarch Town Meeting (the Town Audit Committee) to make recommendationsto the Selectmen relative to the employment of a Certified Public Accountantfor the foregoing purpose; and to act on anything relating thereto.VOTED. The Town Voted to authorize the Town Audit Committee to makerecommendations to the Board of Selectmen relative to the appointment of aCertified Public Accountant for the purposes of this article, and that the Townappropriate the amount shown in the following tabulation:AUDIT DEPARTMENT FY 12General Audit 56,000TOTAL AUDIT 56,000and that to meet said appropriation the sum of $50,896 be raised from the taxlevy. Included in this appropriation are the sums of $2,233 representing expensesattributable to the Sewer Enterprise and $2,871 representing expenses attributableto the Water Enterprise, which are to be included in Schedule A,“Local Receipts Not Allocated”, of the Tax Recapitulation as Sewer and WaterEstimated Receipts.UNANIMOUS VOTE50

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