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1997-06-18 SPM061897.SPM A Special Meeting of The Town Board of the Town of Wappinger was held on June 18, 1997 at the Town Hall, 20 Middlebush Road, Wappingers Falls, New York. Supervisor Smith called the Meeting to order at 4:30 P.M. Present: Constance Smith, Supervisor Joseph Ruggiero, Councilman (4:43 P.M.) Robert Valdati, Councilman June Visconti, Councilwoman Elaine H. Snowden, Town Clerk Others Present: Al Roberts, Attorney to the Town Jay Paggi, Engineer to the Town Ann Buckley, Comptroller Absent: Vincent Bettina, Councilman The Supervisor scheduled the Meeting for June 18, 1997, for the purpose of evaluating the options outlined by the Comptroller, for the various Capital Projects from Unexpended Fund Balances. The first item on the Agenda is a discussion regarding the funds needed to repair the collapsed sewer line on All Angels Hill Road. ANN BUCKLEY, COMPTROLLER, went over the other options available for funding the Rockingham collapsed Sewer line on All Angels Hill Road. There are moneys available from the interest earned from SRF Draw down Tri - Muni Plant Expansion borrowing. She explained that $129,732.92 is available for Rockingham Sewer District, and presented a schedule to back up this figure. If the Town wishes to use these moneys, the following entries will be necessary. $ 26,22.17 2402 Interest & Subsidy BUDGET AMENDMENT 2404 Debt Sew Earnings 56,912.31 Rockingham Sewer District 91,084.90 Total Interest for 1996 Increase Revenue 9901.9 Transfer to Other Funds Interfund Transfers 50131SR $118,000.00 Increase Expense Administration 8110ASR 23,000.00 Sewage Collection System 8110ASR 95,000.00 Expenditure form Plan Expansion District from line item Transfers to Other Funds 9901.9SP 118,000.00 Interest Earned 2401 Interest & Earn. $ 26,22.17 2402 Interest & Subsidy 274,683.46 2404 Debt Sew Earnings 56,912.31 2405 Const. Earnings 91,084.90 Total Interest for 1996 $448,902.84 9901.9 Transfer to Other Funds 1 (Sewer Impro. #1) B.U. Rockingham B.U. S #1 Total Rockingham S#1 871.87 2155.05 3026.92 448902.84 X 28.9% 448902.84 X 71.1% 061897.SPM 178,669.85 270,232.99 28.9% 71.1% 100% 129,732.92 319,169.92 448,902.84 COUNCILWOMAN VISCONTI moved to authorize the expenditure of $118,000.00 from Rockingham 448902.84 Account, to pay for the collapsed sewer line in the Rockingham District. Seconded by Mr. Valdati Motion Unanimously Carried On July 11, 1997 there are BAN's coming due. Mrs. Buckley has been in touch with Sal Pennini of PFA to roll these BAN's over (borrow moneys again to pay down this issue). Mr. Pennini would like to sell the new BAN's by July 1, 1997 in order to have the moneys available to pay off the old issue. There have been principal moneys budgeted to pay these BAN's down ($80,000). However, there are additional moneys available to increase the principal payments such as: Tri -Muni Plant SP $210,425. comes from refund of buy in Tri -Muni Comm. Tri -Muni Lines ST 60,000. comes from accrued interest. Oakwood Wter WO 5,575. comes from closing out of Capital Projects. Sewer # Addl lines SI 130,000 comes from closing out Capital Project. TOTAL ADDITIONAL. MONEYS $406.000.00 If the Board wishes to use these moneys at this time, the following entries are necessary. OAKWOOD WATER BUDGET AMENDMENT Increase Revenue 5031WO Interfund Transfer $ 5,575.00 Increase Expenditure 9730.6WO BAN Principal 5,575.00 CAPITAL PROJECT/OAKWOOD WATER 210HO Cash Credit 5,575.00 9901.9110 Interfund Trans Debit 5,575.00 TRI -MUNI PLANT SP BUDGET AMENDMENT Increase Expenditure 9730.6SP Principal BAN 210,425.00 Increase App. Fund Bal. 599SP Appr. Fund Balance 210,425.00 TRI -MUNI LINES ST BUDGET AMENDMENT Increase Expenditure 9730.6ST BAN Principal 60,000.00 Increase App. Fund Bal. 599ST Appr. Fund Balance 60,000.00 SEWER IMPROVEMENT #1 BUDGET AMENDMENT Increase Revenue 5031SI Interfund Transfer 130,000.00 Increase Expenditure 9730.6SI BAN Principal 130,000.00 2 061897.SPM CAPITAL PROJECT SEWER IMPROVEMENT/I&I WORK 201HA Cash Credit 130,000.00 9901.HA Interfund Trans. Debit 130,000.00 $406,000.00 COUNCILWOMAN VISCONTI moved to expend the $406,000 as requested by Comptroller, Ann Buckley in her June 13, 1997 letter. Seconded by Mr. Valdati Motion Unanimously Carried The next item for the Boards consideration concerns the B Fund Balance Shortage. Mrs. Buckley has a bill from Engineer to the Town, Jay Paggi, for $9,583, that she cannot pay. There is no money left in any of the Line Items. Line item 1440AB, Engineer, has a balance of $3,055.28 at the end of May. The amount of the May charges are $3,417.89. Line Item 1440.42B, Castle Point Landfill, has a balance of $1,282.27 at the end of May. The amount of May charges are $2,524.00. Line Item 1440.43B, Town Wide Water, has a balance of $417.98 at the end of May. The amount of the May charges are $3,116.14. As you can see, the budget for these line items should be increased, so the Bills for May to December can be paid. Mrs. Buckley suggests the following Budget Amendments to increase the expenditures in order to pay Bills. 1440AB Engineer $31,000.00 1440.42B Castle Point Landfill 10,000.00 1440.43B Town Wide Water 22,000.00 Expenditure $63,000.00 Increase Appropriate fund balances $63,000.00 The total budget for the Engineer Line Item 1440.4B, in the Supervisor's Tentative Budget was $125,000. However, the Adoptive Budget was reduced to $55,000 causing this shortage. If the Board approves the suggested transfers, the total Engineer Line Items will equal $148,000. Per the Town Board Workshop Meeting on May 12, 1997, the following Budget Amendments were approved. B FUND AS OF 5/21/97 BALANCE 1440AB (14,807.74) NEGATIVE Decrease Expenditure 1990AB Contingency Increase Expenditure 1440AB Engineer $0,000.00 30,000.00 The above amendment is so that the engineer line item does not go over budget. Increase Expenditure 1440.42B Castle Point Landfill 20,000.00 Increase Expenditure 1440.43B Town Wide Water 16,000.00 Increase Expenditure 1440.44B Dean Property 5,000.00 Increase Expenditure 1440.45B Atlas Aquifer 30,000.00 The above are Special Projects for Engineer Line Item and need to be created. 3 061897.SPM Decrease Expenditure 1440AB Engineer 20,000.00 Decrease Expenditure 1440AB Engineer 16,000.00 Decrease Expenditure 1440AB Engineer 5,000.00 Decrease Expenditure 1440AB Engineer 30,000.00 The above amendment is to reduce the engineer line item so that the Special Projects can be created. HIGHWAY FUND AS OF 5/21/97 BALANCE 5130.2DB $4,416.00 Increase Appr. Fund Bal. 599DB Appr.Fund. Bal. 83,854.00 Increase Expenditure 5130.2DB Equipment 83,854.00 The above amendment is so that we can purchase an international truck with plow. There was discussion, and Mrs. Visconti requested a Memo from Mrs. Buckley, with inputs from Engineer to the Town, Jay Paggi, and Attorney to the Town, Al Roberts, of all the projects listed above, and what is needed, and then from the memo, determine, what will be needed in terms of future bonding and/or leaving them status quo in terms of money we may have expended from the unexpended fund balance for some of these projects. But tonight, we are going to authorize expending money from the unexpended fund balance for the Castle Point Landfill project. COUNCILMAN RUGGIERO moved to appropriate $480K from the Unexpended Fund Balance for the closure of the Castle Point Land Fill project. Seconded by Mrs. Visconti Motion Unanimously Carried Bids for the Castle Point Landfill Closure Project were received and opened on May 27, 1997. Six Bids were received. The Office of Paggi and Martin has reviewed all the Bids and finds them to be mathematically correct and in the proper format. Mr. Paggi would recommend, that the Board award the bid to Hudson Canyon Construction, Inc., as the lowest bidder at $444,008.00 for the Castle Point Landfill closure. COUNCILMAN RUGGIERO moved to award the bid for the Castle Point Landfill closure, upon the recommendation of Jay Paggi, to Hudson Canyon Construction, Inc., for $444,008.00, they being the lowest bidder. Seconded by Mrs. Visconti Motion Unanimously Carried At this time, Mrs. Buckley need authorization for all the appropriate transfers. COUNCILMAN RUGGIERO moved to authorize Mrs. Buckley to create the line item Castle Point Landfill and Capital Project, and transfer to Capital Project from B Fund. . Seconded by Mrs. Visconti 4 i 061897.SPM Motion Unanimously Carried COUNCILMAN RUGGIERO moved to appropriate $31,000 Engineer Line Item, from the Unexpended Fund Balance to the B Fund for the Engineer. Seconded by Mrs. Visconti Motion Unanimously Carried At this time, Elaine Snowden, Town Clerk informed the Board that she received a memo from Carl Amburgey that he is in possession of two patrol cars which have been taken out of service, and are available for sale or bid. Mrs. Snowden is also asking permission to dispose of an old safe which is no longer of any use, and is asking permission to dispose of the safe thru bid. COUNCILWOMAN VISCONTI moved to authorize the two out of service vehicles from the Town Patrol and the old safe from the Town Clerks office, to go out to bid. Seconded by Mr. Ruggiero Motion Unanimously Carried There was no other Business to come before the Board. COUNCILWOMAN VISCONTI moved to close the Special Town Board Meeting, seconded by Mr. Ruggiero, and Unanimously Carried. The Special Town Board Meeting closed at 5:45 P.M. Elaine H. Snowden Town Clerk '61