September 21, 2021

BOARD OF FINANCE REGULAR MEETING- September 21, 2021

The meeting was called to order by Board of Finance Chair Christopher Santucci at 7:01 pm. Members present: Christopher Santucci, Scott Crevier, Joseph Cross, Scott Mangold, Chuck Singer and Erick Ponkala.

The regular meeting minutes of July 20, 2021 were reviewed. A motion was made by Scott Mangold to approve the minutes. Chuck Singer seconded the motion. The motion was carried.

The members discussed the July 2020-June 2021 Final Revenue, Expenditure and Vendor History Report. A motion was made by Christopher Santucci to make the following budget adjustments to fiscal year 2020-21: Increase account 1131200-Tax Refund/Rebates by $610.29: Increase account 2110120-Building Inspectors Salary by $21,001.56: Increase account 3120411-Waste Removal by $407.69: Increase account 3130400-Public Works Equipment Maintenance by $18,050.49: Increase account 4180120-Sexton’s Salary by $4.40: Decrease account 3130120-Public Works by $31,885.48: Decrease account 3130200-Fuel by $8,188.95. A motion was made by Erick Ponkala to approve. All were in favor. The motion was carried.

A motion was made by Christopher Santucci to adjourn at 7:44 pm. Erick Ponkala seconded the motion. The motion was carried.

Respectfully,

 

 

Leanne Lake, Recording Secretary