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11-12-2013 Recreation Commission omw Town Of Queensbury 742 Bay Road, Queensbury, NY 12804 * AGENDA * REGULAR MEETING * 7:00 p.m. NOVEMBER 12, 2013 1. ROLL CALL 2. APPROVAL OF MINUTES—October 1, 2013 3. COMMUNICATIONS AND REMARKS FROM VISITORS a) Monthly Correspondence b) Budget Control Report 4. UNFINISHED BUSINESS a) Gurney Lane Pool Repairs—Phase 2 Update, Director b) Jenkinsville Improvement Plan—Update, Director c) 2014 Budget Request—Update, Director 5. NEW BUSINESS a) Hovey Pond Improvement Plan —Update, Director b) Any New Discussion Items Introduced By Commissioners 6. COMMITTEE REPORTS • Budget Review —Commissioner Mott • Safe & Quality Cycling—Commissioner Mott-Report • Bylaws—Commissioner White • School Liaison—Commissioner White • Personnel—Commissioner Mott • Planning—Commissioner Switzer • Program Review—Commissioner Matthews 7. ADDITIONAL INFORMATION or REPORTS— for review and discussion 8. EXECUTIVE SESSION IF NECESSARY- Report 9. ADJOURNMENT PLEASE NOTE.• Meeting to he held of 7.•00 p.m.in the Queensbury Town Office Building—Supervisors Conference Room. Queensbury Parks and Recreation Commission Queensbury, NY 12804 Minutes of the October 1, 2013 regular meeting of the Recreation Commission of the Town of Queensbury held at the Town of Queensbury Supervisor's Conference Room Chairman Matthews called the meeting to order at 7:03pm Roll Call: • Present—Lloyd Mott, Wendy Matthews, Greg Hewlett, Lisa White, Judy Goralski • Excused—Jennifer Switzer • Staff—Steve Lovering, Lori O'Shaughnessy,Jen Baertschi • Guests—2 QHS students observing the meeting for a government class 2.) Approval of Minutes: It was moved by Commissioner Mott, seconded by Commissioner White, to approve the minutes from the September 3, 2013 meeting. All members present approved. 3.) Communications and Remarks from Visitors: (see file for copies) a.) Monthly Correspondence: • Correspondence from the Open Space Institute (OSI) regarding the Faith Bible Church (FBC) property and the pending ownership by the Queensbury Land Conservancy (QLC) • Letter of request to Dr. Huntley; Superintendent of the Queensbury Union Free School District (QUFSD), to use the district's facilities for the upcoming recreation department • A resolution to increase the capital find for Hovey Pond Park. Miscellaneous repairs are needed including removal of trees and engineering work to increase the water quality. In addition to increase capital funding for Freedom Park where resurfacing is needed. • An article published in The Post Star about the authorization of the Town of Queensbury Recreation Department to clean up a number of abandoned property within the town. This is a onetime agreement • Flyer to have a fundraiser at Hovey Pond Park. • William H. Barton Intermediate School (WHBI) Principal honored the Town of Queensbury recreation department for all the work they do with the WHBI students at an assembly on the first day of school. This was also cited on the QUFSD website. b.) Budget Control—discussion 4.) Unfinished Business a) Gurney Lane Pool repair bids went out, thus far ten contractors have picked up the bid specs. Bids are due October 11, 2013. The bid is structured in such a way that all work will be completed in one phase. b) New signage for the park curfews is currently being addressed 5.) New Business a) There are funds in the project account that will allow the department to move forward with some improvements and repairs to Jenkinsville Park; build a new pavilion, resurface softball fields and tennis courts. Waiting for bids to come back. Some improvements will be made in fall 2013 and others done in the spring of 2014. b) The budget public hearing is scheduled for October 21, 2013. Director Lovering does not foresee and budget issues. c) Discussed the Rush Pond. 6.) Committee Reports • Budget Review • Safe and Quality Cycling—Discussed how to proceed with co unity outreach in the future specifically the roll WCSQB can play in the future in the cych co • Bylaws W U P\,i • School Liaison C • Personnel • Planning • Program Review 7.) Additional Information and Reports — • Discussion if Mr. Todd Eichler is still interested in becoming a member of the Queensbury Recreation Commission. • Commissioner White's term is almost finished. Inquired if Commissioner White is interested in being reappointed for another term • September '13 vs. September '12 revenue is the same. YTD the department is up 15% • Recreation assessment fees for September 2013 were $1700.00 this is significantly up from last September. • QUFSD has secured the Carol White Physical Education Grant. • Director Lovering has received a number of requests that dogs should not be allowed Freedom Park. Town of Queensbury Parks are considered "dog friendly"but the set up of Freedom Park is not conducive to dogs. Adjournment—A motion was made by Commissioner Hewlett, seconded by Commissioner Goralski to adjourn at 8:28pm. All members present approved. Respectfully submitted Approved by: Judith Goralski Wendy Matthews Commissioner Chairman 11/07/2013 13:24 (TOWN OF QUEENSBURY IPG 1 stevel (YEAR-TO-DATE BUDGET REPORT Iglytdbud SML - PARKS & RECREATION FOR 2013 13 ORIGINAL TRANFRS/ REVISED AVAILABLE PCT APPROP AD]STMTS BUDGET YTD EXPENDED ENC/REQ BUDGET USED 001 GENERAL FUND 0017020 RECREATION ADMINISTRATION 0017020 1010 SALARIES & WAGES 386,000 10,000 396,000 388,397.29 .00 7,602.71 98.1% 0017020 1020 OVERTIME 500 0 500 449.68 .00 50.32 89.9% 0017020 4010 OFFICE SUPPLIES 0 1,250 1,250 1,076.59 .00 173.41 86.1% 0017020 4030 POSTAGE 3,200 -500 2,700 2,344.22 .00 355.78 86.8% 0017020 4090 TRAINING EDUCATION SU 1,300 -295 1,005 1,004.16 .00 .84 99.9% 0017020 4120 PRINTING 4,000 -1,500 2,500 1,892.70 .00 607.30 75.7% 0017020 4400 MISCELLANEOUS CONTRAC 8,700 2,245 10,945 9,464.01 .00 1,480.99 86.5% 0017020 4446 SAFETY TRAINING MATER 200 0 200 200.00 .00 .00 100.0% 0017020 4800 EQUIP REPAIRS SERV SU 1,200 -1,200 0 .00 .00 .00 .0% TOTAL RECREATION ADMINISTRATION 405,100 10,000 415,100 404,828.65 .00 10,271.35 97.5% TOTAL GENERAL FUND 405,100 10,000 415,100 404,828.65 .00 10,271.35 97.5% TOTAL EXPENSES 405,100 10,000 415,100 404,828.65 .00 10,271.35 GRAND TOTAL 405,100 10,000 415,100 404,828.65 .00 10,271.35 97.5% * END OF REPORT - Generated by Steve Lovering ** 11/07/2013 16:02 ]TOWN OF QUEENSBURY IPG 1 stevel (YEAR-TO-DATE BUDGET REPORT Iglytdbud SML - PARKS & RECREATION FOR 2013 13 ORIGINAL TRANFRS/ REVISED AVAILABLE PCT APPROP ADJSTMTS BUDGET YTD EXPENDED ENC/REQ BUDGET USED 001 GENERAL FUND 0017110 PARKS 0017110 1010 SALARIES & WAGES 197,000 -26,000 171,000 142,724.20 .00 28,275.80 83.5% 0017110 1020 OVERTIME 1,000 0 1,000 971.57 .00 28.43 97.2% 0017110 2070 PARK EQUIPMENT 2,000 -125 1,875 1,874.41 .00 .59 100.0% 0017110 2080 POOL EQUIPMENT 2,000 -1,200 800 800.00 .00 .00 100.0% 0017110 2899 CAPITAL CONSTRUCTION 1,500 0 1,500 1,417.80 .00 82.20 94.5% 0017110 4110 VEHICLE REPAIR MAINTE 4,400 794 5,194 4,605.90 .00 587.64 88.7% 0017110 4140 MILEAGE REIMBURSEMENT 1,750 600 2,350 1,750.00 .00 600.00 74.5% 0017110 4230 PURCHASE OF WATER 1,800 0 1,800 1,546.17 .00 253.83 85.9% 0017110 4271 WATER TREATMENT CHEMI 6,800 -1,185 5,615 5,615.00 .00 .00 100.0% 0017110 4300 ELECTRICITY 13,500 0 13,500 12,400.56 .00 1,099.44 91.9% 0017110 4400 MISCELLANEOUS CONTRAC 31,500 9,985 41,485 34,490.36 4,850.71 2,143.93 94.8% 0017110 4410 FUEL FOR VEHICLES 14,750 0 14,750 12,162.14 49.74 2,538.12 82.8% 0017110 4418 BUS TRANSPORTATION 1,200 0 1,200 .00 .00 1,200.00 .0% 0017110 4500 HEATING FUEL 2,500 1,000 3,500 3,500.00 .00 .00 100.0% 0017110 4800 EQUIP REPAIRS SERV SU 4,200 1,000 5,200 5,192.01 .00 7.99 99.8% 0017110 4820 UNIFORMS & PROTECTIVE 800 0 800 300.39 .00 499.61 37.5% 0017110 4823 RECREATION FACILITY R 4,200 0 4,200 4,200.00 .00 .00 100.0% 0017110 4824 RECREATION PROGRAMS 43,000 18,625 61,625 57,265.19 3,129.75 1,230.06 98.0% 0017110 4825 REC PROGRAM SUPPLIES 10,000 0 10,000 10,000.00 .00 .00 100.0% 0017110 4991 LEASE RENTAL LAND 2,500 0 2,500 2,500.00 .00 .00 100.0% TOTAL PARKS 346,400 3,494 349,894 303,315.70 8,030.20 38,547.64 89.0% TOTAL GENERAL FUND 346,400 3,494 349,894 303,315.70 8,030.20 38,547.64 89.0% TOTAL EXPENSES 346,400 3,494 349,894 303,315.70 8,030.20 38,547.64 GRAND TOTAL 346,400 3,494 349,894 303,315.70 8,030.20 38,547.64 89.0% END OF REPORT - Generated by Steve Lovering **