1965-12-30 SPMiS3
A Special Meeting of the Town Board, Town of Wappinger, was held on Thursday
evening, December 30, 1965, at the Town Hall, Mill Street, Wappingers
Falls, New York, for the purpose of auditing accounts.
Present:
Richard H. Linge, Supervisor Vincent S. Francese, Justice of the Peace
William J. Bulger, Justice of the Peace Louis Diehl, Councilman
George Robinson, Councilman Elaine H. Snowden, Town Clerk
Absent: None
Others Present:
Joseph D. Quinn, Attorney at Law
The meeting was opened by Mr. Linge at 8:05 P.M.
A motion was made by Mr. Robinson that the minutes of the Special Meeting
of December 27, 1965 be accepted, and further be it resolved to ratify and
confirm all actions taken at that meeting, seconded by Mr. Bulger. Motion
amended to include time change from 8:12 to 8:45 P.M.
Upon roll call, the following vote was taken:
Richard H. Lange, Supervisor
William Bulger, Justice of the Peace
George Robinson, Councilman
Louis Diehl, Councilman
Vincent Francese, Justice of the Peace
Voting - aye
Voting - aye
Voting -aye
Voting - aye
Abstain
Mr. Lange called for a recess to audit the accounts. The meeting
resumed at 9:15 P.M.
The following resolutions were made by Mr. Francese, seconded by Mr.
Bulger. Resolutions Carried Unanimously
WHEREAS, the annual budget for the current fiscal year includes an appropri-
ation in the amount of $2,600.00 for Assessors' Office & Other Expenses, and
WHEREAS, after due allowance for outstanding claims and for further expendi-
tures chargeable against such appropriation or account,'there is an unexpended
balance in said appropriation or account in the amount of $1,635.54.
RESOLVED, that $1,295.99 of said unexpended balance be and hereby is trans-
ferred to Assessors' Compensation of Employees, and that the amount heretofore
appropriated for such purposes be and hereby is increased by such amount, and
WHEREAS, the current budget for the current fiscal year includes an appropri-
ation in the amount of $1,000.00 for Public Safety, Traffic Signs & Signals,
and
WHEREAS, after due allowance for outstanding claims and for further expendi-
tures chargeable against such appropriation or account, there is an unexpended
balance in said appropriation or account in the amount of $385.80.
331
RESOLVED, that $209.25 of said unexpended balance be and hereby is transferred
to Public Safety, Police Constables & Deputy Sheriffs, and that the amount
heretofore appropriated for such purposes be and hereby is increased by such
amount, and
WHEREAS, the annual budget for the current fiscal year includes anappropri-
ation in the amount of $1,000.00 for Public Safety, Traffic, and
WHEREAS, after due allowance for outstanding claims and for further expendi-
tures chargeable against such appropriation or account, there is an
unexpended balance in said appropriation and account in the amount of $176.55.
RESOLVED, that $128.07 of,said unexpended balance be and hereby is trans-
ferred to Recreation, Parks b Playgrounds, and that the amount heretofore
appropriated for such purposes be and hereby is increased by such amount, and
WHEREAS, the annual budget for the current fiscal year includes an appropri-
ation in the amount of $5,200.00 for Town Clerk, Salary, and
WHEREAS, after due allowance for outstanding claims and for further expen-
ditures chargeable against such appropriation and account, there is an
unexpended balance in said appropriation and account in. the amount of $325.15.
RESOLVED, that $321.32 of said unexpended balance be and hereby is trans-
ferred to Construction, Town Hall, Improvements and that the amount hereto-
fore appropriated for such purposes be and hereby is increased by such
amount, and
WHEREAS, the annual budget for the current fiscal year includes an appropri-
ation in the amount of $1,200.00 for General Government, Town Engineer,
Salary, and
WHEREAS, after due allowance for outstanding claims and for further expendi-
tures chargeable against such appropriation and account, there is an
unexpended balance in said appropriation and account in the amount of $1,200.00.
RESOLVED, that $966.82 of said unexpended balance be and hereby is trans-
ferred to Town Clerk, Compensation of Employees b Office and Other Expense and
that the amount heretofore appropriated for such purposes be and hereby is
increased by such amount, and
WHEREAS, the annual budget for the current fiscal year includes an appropri-
ation in the amount of $950.00 for Justice of the Peace, Office Expenses, and
WHEREAS, after due allowance for outstanding claims and for further expendi-
tures chargeable against such appropriation and account, there is an unexpended
balance in said appropriation and account in the amount of $431.99.
3 32
RESOLVED, that $185.75 of said unexpended balance be and hereby is transferred
to Justice of the Peace, Compensation of Employees, and that the amount hereto-
fore appropriated for such purposes be and hereby is increased by such amount,
and
WHEREAS, the annual budget for the current fiscal year includes an appropri-
ation in the amount of $5,000.00 for Planning Board, Consultant, and
WHEREAS, after due al$owance for outstanding claims and for further expendi-
tures chargeable against such appropriation and account, there is an unexpended
balance in said appropriation and account in the amount of $5,000.00.
RESOLVED, that $217.80 of said unexpended balance be and hereby is transferred
to Planning Board, Office & Other Expense and that the amount heretofore appro-
priated for such purposes be and hereby is increased by such amount, and
WHEREAS, the annual budget for the current fiscal year includes an appropri-
ation in the amount of $5,000.00 for Planning Board, Consultant, and
WHEREAS, after due allowance for outstanding claims and for further expendi-
tures chargeable against such appropriation and account, there is an unexpended
balance in said appropriation and account in the amount of $4,782.20.
RESOLVED, that
$655.88 of said unexpended balance be and hereby is trans-
ferred to Building Inspector, Compensation of Employees, and that the amount
heretofore appropriated for such purposes be and hereby is increased by
such amount, and
WHEREAS, the annual budget for the current fiscal year includes an appropri-
ation in the amount of $5,000.00 for Planning Board, Consultant, and
WHEREAS, after due allowance for outstanding claims and for further expendi-
tures chargeable against said appropriation and account, there is an unexpended
balance in said appropriation and account in the amount of $4,126.32.
RESOLVED, that $378.75 of said unexpended balance be and hereby is transferred
to Building Inspector, Office Expense and that the amount heretofore appro-
priated for such purposes be and hereby is increased by such amount, and
WHEREAS, the annual budget for the current fiscal year includes an appropri-
ation in the amount of $5,000.00 for Planning Board, Consultant, and
WHEREAS, after due allowance for outstanding claims and for further expendi-
tures chargeable against such appropriation and account, there is an unexpended
balance in said appropriation and account in the amount of $3,747.57.
RESOLVED, that $1,583.40 of said unexpended balance be and hereby is trans-
ferred to Board of Appeals, Zoning Inspector, and that the amount heretofore
appropriated for such purposes be and hereby is increased by such amount, and
33
WHEREAS, the annual budget for the current fiscal year includes an appropri-
ation in the amount of $5,000.00 for Planning Board, Consultant, and
WHEREAS, after due allowance for outstanding claims and for further expendi-
tures chargeable against such appropriation and account, there is an unexpended
balance in said appropriation and account in the amount of $2,164.17.
RESOLVED, that $102.60 of said unexpended balance be and hereby is trans-
ferred to Board of Appeals, Zoning Inspector Office Expenses and that the
amount heretofore appropriated for such purposes be and hereby is increased
by such amount, and
WHEREAS, the annual budget for the current fiscal year includes an appropri-
ation in the amount of $5,000.00 for Town Board, Town Hall, Repairs, and
WHEREAS, after due allowance for outstanding claims and for further expendi-
tures chargeable against such appropriation and account, there is an
unexpended balance in said appropriation and account in the amount of
$2,339.79.
RESOLVED, that $2,305.80 of said unexpended balance be and hereby is trans-
ferred to Town Board Town Hall, Other Expenses and that the amount heretofore
appropriated for such purposes be and hereby is increased by such amount,
and
WHEREAS, the annual budget for the current fiscal year includes an appropri-
ation in the amount of 55,000.00 for contingent purposes, and
WHEREAS, after due allowance for outstanding claims and for further expendi-
tures chargeable against such appropriation or account, there is an
unexpended balance in said appropriation or account in the amount of
$1,267.89.
RESOLVED, that $1,053.38 of said unexpended balance be and hereby is trans-
ferred to General Government, Elections, Compensation of Officials, and that
the amount heretofore appropriated for such purposes be and hereby is
increased by such amount, and
WHEREAS, the annual budget for the current fiscal year includes an appropri-
ation in the amount of $5,000.00 for contingent purposes, and
WHEREAS, after due allowance for outstanding claims and for further expendi-
tures chargeable against such appropriation or account, there is an
unexpended balance in said appropriation or account in the amount of
$214.51.
RESOLVED, that $200.00 of said unexpended balance be and hereby is trans-
ferred to General Government, Elections, Compensation of Custodians, and that
the amount heretofore appropriated for such purposes be and hereby is
a4
increased by such amount, and
WHEREAS, the annual budget for the current fiscal year includes an appropri-
ation in the amount of $2,000.00 for General Government, Elections, Voting
Machines, and
WHEREAS, after due allowance for outstanding claims and for further expendi-
tures chargeable against said appropriation and account, there is an unexpended
balance in said appropriation and account in the amount of $1,990.71.
RESOLVED, that $216.75 of said unexpended balance be and hereby is transferred
to General Government, Elections, Other Expenses, and that the amount hereto-
fore appropriated for such purposes be and hereby is increased by such
amount, and
WHEREAS, the annual budget for the current fiscal year includes an appropri-
ation in the amount of $10,000.00 for General Government, Attorneys' Fees
and Litigation, and
WHEREAS, after due allowance for outstanding claims and for further expendi-
tures chargeable against such appropriation and account, there is an unexpended
balance in said appropriation and account in the amount of $5,448.92.
RESOLVED, that $2,486.70 of said unexpended balance be and hereby is trans-
ferred to General Government, Employees Retirement System, and that the
amount heretofore appropriated for such purposes be and hereby is increased
by such amount, and
WHEREAS, the annual budget for the current fiscal year includes an appropri-
ation in the amount of $108,900.00 for the Highway Fund - Item I, and
WHEREAS, after due allowance for outstanding claims and for further expendi-
tures chargeable against such appropriation or account, there is an unexpended
balance in said appropriation or account in the amount of $24,684.00.
RESOLVED, that $3,418.00 of said unexpended balance be and hereby is trans-
ferred to the Town Highway Improvement Program - Item IA, and that the
amount heretofore appropriated for such purposes be and hereby is increased
by such amount, and
WHEREAS, the annual budget for the current fiscal year includes an appropri-
ation in the amount of $6,000.00 for the Bridge Fund - Item II, and
WHEREAS, after due allowance for outstanding claims and for further expendi-
tures chargeable against such appropriation or account, there is an
unexpended balance in said appropriation or account in the amount of $5,697.00.
RESOLVED, that $1,396.00 of said unexpended balance be and hereby is trans-
ferred to the Machinery Fund - Item III, and that the amount heretofore appro-
priated for such purposes be and hereby is increased by such amount.
f
Mr. Bulger made a motion it be resolved that: the Supervisor, in accord-
ance with a letter dated December 27, 1965, from Audit and Control, be
authorized to pay Charles J. Gunnison $15.00 as a remission of a fine.
Seconded by Mr. Robinson.
Motion Carried Unanimously
Mr. Linge asked the Board if they had anything they cared to bring up
at this time. Mr. Diehl requested to speak about Police protection. In
the past, the sheriff afforded protection; more recently, the State Police.
Good coverage is now missed, due to increased areas covered by them. The
Village Police now have a Central Communication System, and the Village
would be interested in developing a centralized system for good Police
protection throughout the Village and Town. Thus a meeting with Mayor
Furnari, and Captain Costa would be beneficial. Mr. Linge stated he would
hesitate to act on this, it would be wiser to carry this over to the New
Board.
Mr. Linge asked if anyone from the floor wished to speak.
Mr. Lafko asked what the Surplus was from the 1965 Budget.
Mr. Francese stated that an exact total had not been ascertained, but
it would be made public when published after the Supervisor's Annual Report
had been filed.
Mr. Bulger made a motion that a vote of thanks be given to Mr. Linge
and Mr. Robinson on their fine performance of duties, and faithful service
to the Town, in their tenures of Office. Seconded by Mr. Diehl.
Motion Carried Unanimously
Mr. Linge noted that these had been six years of good, and some bad,
times. It was good experience and he had tried to do what was best for the
Town. All in all, it had been enjoyable.
The Clerk was asked to read the bills:
General Fund $5,081.56
Highway $5,352.29
A motion was made by Mr. Francese, seconded by Mr. Robinson, that the bills
be paid, subject to audit. Motion Carried Unanimously.
Mr. Linge asked if there was any further discussion from the floor.
Mr. Worona asked if a Resolution had been provided for an application
to the Government for a loan for a Sewer Survey. Action was tabled to
next meeting.
Mr. Bisom spoke, with complaints on Myers Corners Road. Mr. Linge
replied that it was a scheduled project for 1965, therefore it will be a
carry-over into 1966.
836
A motion to adjourn the meeting was made by Mr. Bulger, seconded by Mr.
Robinson. Motion Carried Unanimously
The meeting adjourned at 10:15 P.M.
Signed:
Town Clerk
To R. H. L4NGg
WARRANT
, Supervisor
•
Town of WAPPINJ3ER , County of OUTCHESS New York.
The following claims, having been presented to the Town Board of the Town of
, and duly audited and allowed at a meeting thereof held on the
_30th day of DECEMBER , 1945_, in the amounts hereinafter respectively specified, and
a certificate thereof having been duly filed in my office as Town Clerk, you are hereby authorized
and directed to pay to each of the following claimants the amount allowed upon his claim as
hereinafter stated:
WAPPINGER
CLAIM NAME OF CLAIMANT AMOUNT
No. ALLOWED
610 New York Telephone Co. 111.35 Town
'611 New System Window Cl. Co. 15.00 Town
612 Assoc. Hospital Service Town
FUND OR
ACCOUNT
613 IAPECO (Amer. Photocopy
Equipment rs. g
614 'Verner Christensen
615 'Prentice -Hall, Inc.
616 'Petty Cash - Town Clerk
617 IR. J. Brooker Company
618 'Great Bear Spring Co.
619 IBottini Fuel Oil Co.,
620 IBottini Fuel Oil Co.,
621 1Bottini Fuel Oil Co.,
622 'Irving Mond, M.O.
623 'Charles Friedman, M.O.
624 'Vassar Bros. Hospital
625 'Agnes M. Grosenbeck
626
627
628
629
630
631
632
94.02
105.63
11.50
25.28
5.78
3.15
5.00
Inc.+ 108.02
inc.J 39.50
Inca 9.00
10.00
10.00
3.00
52.00
Sioper-Willen Com. 667.58
Ambulance Serv., Inc.
Baker, Voorhis & Co., Inca 6.00
Harold H. Reilly
Vincent C. Kelley
Black Electric, Inc.
Dave Alexander
William
J.
Fredrickson
291.68
933.37
740.00
992.50
793.50
633 Capital Highway Materials 47.70
In Witness Whereof, have hereunto set my hand
OTHER INFORMATION
Hall Re airs & Light
Hall - 1 r
the Expenses
Hall - :nsurance
Town Clerk - Office & Other Expense
Assessors - ffice & Other Expense
Assessors - iffice & Other Expense
Town Clerk-I0ffice & Other Expense
Town Clerk -'Office & Other Expense
Town Hall - light, Telephone, Etc.
Town Hall - liepairs, Heat
Town Hall - iepai rs, Heat
Town Hall - epairs, Heat
Justice of Pace - Other Expense
Justice of Pace - Other Expense
Justice of Pace - Other Expense
Town Clerk-JOffice & Other Expense
Misc. - Ambulance Service
Board of Anal s
Atty. Fees &JLitigation
Engineering Jervlces
Recreations
Recreations
Recreation
General Fund raffic WAPPINGER
and the Seal of theTown o
this._. ath..._____-day of DECEMBER , 19105. .
VC e dam. ajap,_ij,.
Town Clerk
lOOSWILLIAMtON LAW BOON CO.. NOMMEN. N.T.