01-04-1967 144
Regular Meeting
January 4, 1967
4:30 P.M.
All Commissioners & Supt. Scoville present.
Receipts:
Sale of Lots $ 600
Openings 320
20
•
Discussion on needed equipment for new garage. Motion
duly made, seconded and Carried that Supt. Scoville be
authorized to purchase an aluminum Ladder, two tarps, and
a battery Charger.
Meeting adjourned at 5:45 P.M.
Secre ary
Regular Meeting
Feb. 1, 1967
4:45 P.M.
Commissioners Cowles, & Van Dusen, & Supt. Scoville present.
Receipts:
Sale of Lots $ 300
Openings 240
$ 540
Battery Charger has been purchased & work-bench built
in Garage. Adjustments are still being made to the heating
system.
Meeting adjourned at 5:30 P.M.
Secretary
Regular Meeting
March 1, 1967
4:40 P.M.
Commissioners Cowles & Van Dusen, & Supt. Scoville jresent.
Receipts:
Interments $240
Supt. Scoville reported that he had purchased tarps &
aluminum ladder. He also stated that he could buy a used
Stanley electric Trimmer with 200' of cord for $70. It is
in like new condition and sold new for $143. Motion duly
made, seconded & carried to authorize Supt. to purchasd it.
Also authorized the purchase of a first aid kit for the office
and truck. Meetingadjourned at 5:45 P.M. ' I J�
ti `
Sect-= ar
ANNUAL REPORT 1966
CEMETERY COMMISSION - TOWN OF QUEENSBURY
Balance January 1, 1966 $ 1,296.40
RECEIPTS
Sale of Lots 7,430.00
Openings 4,480..00
Vault Rent 45.00
Foundations 233.33
Investment Income 603.74
$12 ,792.07
DISBURSEMENTS
Supervisor, Town of Queensbury
75% Sale of Lots $ 5,572-.50
Openings 4,480.00
Vault Rent 45.00
Foundations 233.33
$ 10,330.83
Total Receipts. . . . $12,792.07
Disbursements . . . 10,330.83
Net Income • 2,461.24
Balance Jan. i, 1966 1,296.40
$ 3,757.64
Balance as per Bank Account, December 31, 1966 $ 3,757.64
Investments as of January 1, 1967
$ 500.00 U.S.A Treasury Bond, 2 1962-67
$ 500.00 " 'I It It I.
$ 1,000.00 Central New York Power Corp. General Mortgage Bond
3% Series, Due 1974
$ 1,000.00 General Motors Acceptance Corp. 3 5/8% Debenture - Due Sept. 1, 1975
$ 1,000.00 " n n n n n n n
$ 6,000.00 Savings Account - Glens Falls Nat'l Bank & Trust Co. - Balance
(Accumulated Interest Dec. 31, 1966 - $6,898.74)
$10,000.00 Glens Falls Savings & Loan Income Share Class 1
PINEVIEW CEMETERY
197 Budget
Cost of Improvements:
Improvements to Pine View Cemetery 4 765.00
New Equipment (mowers, etc. ) 550.00
New Office & shop Bldg. (Note & furnace)7,000.00
$8,200.00
Maintenance:
Personal Services 4 13,750.00
Repairs to existing equipment 200.00
Gas & Oil tor truck & equipment 200.00
Bond for Commissioner & Supt. 35.00
Miscellaneous 415.00 ;.00
Maint. of outside cemeteries 1,200.00
415,800.00
$ 24,000.00
REVENUES:
Sale of Lots, less perpetual cave 1.5,000.00
Fees for Vault rental 100.00
Fees for opening graves 3,500 .00
Fees for setting monuments 150.00
Estimated balance Dec. 31, 1966 250.00
49,000.00
Requested Budget Appropriation $15,000.00