1942-10-10 SP 145
6-
On motion, meeting adjourned
Bert D. Turner
Town 'Clerk
Special Meeting, October 10th, 1942
At a special meeting of the Town Board of the Town of
Queensbury called pursuant to the following notice:
Notice of SPECIAL MEETING
TO THE MEMBERS OF THE TOWN BOARD OF Queensbury
in THE COUNTY 'OF Warren AND STATE OF NEW YORK:
Notice is hereby given that a special meeting of the
Town Board of the Town of Queensbury
in the County of 01arren and State of New York, will be
held at Town Clerk's Office on the 10th day 'of October, 1942
at 7 :30 o'clock P.M. , and that at such meeting the Town Board
will consider the estimates of the Town Officers which were
presented on the 3rd day of October, 1942 and adopt a preliminary
budget.
October 7th, 1942 D. Elmer Fowler
Supervisor
The Board met at the time and place specified in the said notice.
The following members were present:
D. Elmer Fowler, Supervisor
Charles Nobles , Justice of Peace
Henry Sleight , Justice of Peace
Curtis Lampson, Councilman
Raymond Walkup, Councilman
Also present; Rd.ward Sleight , Ernest Hillis and Feed Ricketts,
A=ssessors of the Town of Queensbury, B. K. Clifford , deputy
director of civilian protection and Frank Cowles , and
Sydney VanDusen.and George Bold, State Auditor.
Bids were received as follows for the scrap collected pursuant
to 'the`"salvage drive; Yamklowitz 'Haste Company $6.25 per net ton
and Simon Semelisky $6.50 per net ton free of wood
The Board generally discussed the matter with qtr. Clifford ,
Mr. Cowles and Mr. VanDusen and the following resolutions addopted
Resolution No. 48, Introduced by Justice Nobles , Seconded by
Councilman Walkup
Whereas., The Town Board did advertise for bids for the scrap
collected pursuant to the Salvage Drive to aid the war effort and
Whereas bids were received in accordance with said advertismsxtt
among Zich the bid received from the Yanklowitz Waste Company
is most advantageous.
146
Resolved, that the Yanklowitz Waste Company be and is hereby
awarded the contract for the disposal of the scrap collected
as aforesaid at a price of $6.25 per net ton at the Town Store-
house.
Further Resolved that the Town Board hereby 'designate the DeLong
Fuel Company as Official Weighing Station.
Further Resolved that the said Yanklowitz Waste Company shall
move all of said scrap on or before the lst of November, 1942.
Duly adopted by the following vote:
Ayes- Mr. Walk jp, fir. Nobles, Mr. Lampson, Mr. Sleight and
Mr. Fowler
Noes- None
The Board generally discussed with Mr. Bold the Budget
System, and Mr. Bold aided the Board in preparing a
Preliminary Budget, and after discussion, the following
resolution was adopted:
Resolution No, 49 , Introduced by Justice Nobles,
Seconded by Justice Sleight
Resolved, that this Town Board does hereby prepare and
approve as the preliminary budget of this Town for the
fiscal year beginning on the first day of January, 1943
the itemized statement of estimated revenues and
expenditured hereto attached and made a part of this
resolution, and be it
Further resolved, that such preliminary budget shall
be filed in the Office of the Town Clerk, where it shall
be available for inspection by any interested person
at all reasonable hours, and be it ,
Further resolved that this board shall meet at 9 o'clock
A*M, on the 2nd day of November, 1942 for the purpose of
holding a public hearing upon such preliminary budget and
be it ,
Further resolved, that the Town Clerk give notice
of such public hearing in the manner providdd, in
section 113 of the Town Law, and that such notice of
atxkxpukJtxxkxxx:txg be published in substantially the
following norm:
Notice of 14earing Upon Preliminary Budget
Notice is hereby given that the preliminary budget
of The Town of Queensbury for the fiscal year, beginning ,
January lst, 1943 has been completed- and filed intthe office
of the Town Clerk; at Ridge Road, Town of Queensbury,
New York, where it is available for inspection by any interested
person at all reasonable hours,
Further notice is hereby given that the Tbwn Board of
The Town of Queensbury will meet and review said preliminary
budget and hold a public hearing thereen,' at the Town
Clerk's Office and that at such hearing any person may be heard
in favor of or against the preliminary budget as compiled
or for or against any item or items therein containefl.
Pursuant to Section 113 of the Town Law the proposed
salaries of the following Town officers are hereby
specified as follows ::
147
Supervisor. ; : . . . . . . . . : .. . : : : . . . . . . : . . 1500
Justices of ' the Peace: : : : : : : : : : : : : : : : 1000 Each
400 Each
Town Clerk. . . . . . . . . . : . : : . . : . . :. . : : : : : 2000
Town Superintendent. : . . . . . . . . . : : . . :2400
Collector' of Taxes. : : : : : . : : . : : .: : : : : : :1800
945 Each
Health Officer. : : : : . : : . : : : : . : . : : : . - 881.79
Welfare Officer. . . . . . . . . . . . . . . . . . . . . . .360
Dated.Octover 10th,1942, By order of the Town Board
Town Clerk
Duly adopted by the following vote :
Ayes. Mr. Walkup, Mr. Nobles, Mr. Lampson, Mr. Sleight
and Mr. Fowler
Noes- None
Preliminary Budget for the Town of Queensbury
General Fund-- Appropiations
General Government
TOWN BOARD
Town Hall and Offices
Rentals( Board room, Offices, Elections Etc 510.00
Purchase of Furniture and Equipment 400.00
Elections
Compensation of Election Officials
Including mileage 900.00
Compensation of Voting Machine Custodians 100.00
-Voting machines , purchase and repair 50.00
Insurance
Official Bonds and Undertakings 550.00
Fire and Liability 1490,00
Printing and advertising ( All Departments) 400.00
Service of Attorney and Litigation 500.00
Total 49
Supervisor
salary 1500.00
Oif tee and other expense 150.00
Total $1650AD
JustYesld' of Peace
Salary 2000.00
Office and other expense 100.00
Councilman Total $2100.00
Salaries $800.00
Office and other expense 200,00
Town Cl e'rk Total $1000.00
Salary $20000' 00
O*ffice and other expense 85.00
Assessors` Total $208 6000
Salaries $2835.00
_ .. Office and other expense 258.M0
Receiver of Taxes or tax collector Total $3093.10
Salar�y,,s
V00.00
t 4 Or
Office and other expense $122.00
Total $1922.00
Total Town Government. . . . . . . . . . . . . . . . . . _ . . . $169750.00
Protection of .persons .and•property� _
. . . . . . . . . . . . . . . . . .
Police,"Constables and deputy. Sheriffs _ . . . _
Compensation $300.00
Mileage and other expense , . . . . . . . . . _ . - • - . •100.00 '
_ . . . . . . $400.00
Lockup
other .expense $100.00
_ Total $100.00
Traffic
Signs , Signals and highway lighting $500.00
Forest Fires
Payment to Conservation Commission $250.00
Total $250.00
War Emergency Purposes $500.00
Total Protection of Persons and property $1750.00
EDUCATION
Attendance Officer -
Salary $200.00
Total $200.00
Torun" Library
Payments to other libraries $100.00
Total $100.00
Total Education $300.00
Recreation
Patriotic Observances 20,00
To#Al Recreation $20.00
Public Utilities
Cemeteries $250.00
Total Public Utilities $250.00
Contingent Purposes
Sec 112 of the Town Law $953.50
Welfare Fund
Appropiations
Town Welfare Officer
Salary $360:00
Offide and other expense 141.80
Total $501:80
Home relief 1900:00
Total 'Appropiations $1001.80
Estimated Revenues ----
Amount to be raised by tax for welfare fund $1001.80
IGHWAY FUND
Highway Fund (Item 1) Appropiations
General Repairs $17014.17
Special Improvements 9000.00 '
Total Appropiations $26014.17
Estimated Revenues
.State aid $3014.17_
Total revenues $ 3014.17
Amount to be raised by Tax For Highway Fund (Item 1) $231,000.
Bridge Fuhd ( Item 2) Appropiations
labor and team work $500.00
Materials for repair and maintenance 500.00
149'
Total appropiations $1000.00
Estimated revenues
Total revenues -------
Amount to be raised by tax for Highway Fund (Item 2) $1000.00
MACHINERY FUND(Item 3) Appropiations
Purchase of machinery, tools and implements $3800.00
Repair of machinery, tools and implements 40000'00
Redemption of machinery Certificates 34510'25
Interest on Machinery Certificates 450.00
Total Appropiations $10901.25
Estimated revenues ______
Total revenues
Amount to be raised by tax for highway fund ( item 3)$10,000.00
SNO`N AND MISCELLANEOUS FUND ( ITEM $)-Appro cations
Salary of Town Superintendent 12400.00
Expenses Town superintendent 1000, 00
Removing obstructions caused by snow 40000'00
Cutting and removing noxious Needs and Brush 4000.00
Other miscellaneous purposes 2000.00
Total appropiations $129500
Estimated revenues
Unexpended balance - $1500000
Total revenues 1500.00
Amount to be raised by tax for Highway fund
Item 4 $110000.00
Amount to be raised by tax for highway fund
Items 2,3 and 4) 22000.00
Town Health Fund
Appropiations
Board of health
Salary Qf health officer $881.79
Other health expense 223,00
Total Board of health $1104.79
Registrar of Vital Statistics
Compensation - $50000
Other expenses - 40.00
Total registrar of Vital statistics 90.00
Amount to be raised by tax for Town Board of
Health.. $1194.79
General Fund
Estimated Revenues
Mortg6Be Taxes $350.00
Income Taxes 3500.00
Franchise Taxes on business Corporations11500.00 I
Alcololic beverage Taxes (Town Share) 7200.00
Dog License ( From County) 545.00
Fines penalties a ts� aah-No3ta# ®e€woes
and forfeitures - - 100000
Fees of Town Clerk 606.00
Fees of Justices of peace 453.00
Fees of Assessors - 53,50 1
Fees of Tax collector 1894.53
Total $26202.03
Unexpended Balance ( Sec.115 Town Law 25983.95
Total estimated revenues
General Fund ) $52185.98
General Fund
Summary
Approo iat i ons
General Government $16750.10
Propection of persons and property 1750.00
Education 300.00
Recreation 20.00
Public Utilities 250.00
Contingent purposes 953.50
Total appropiations $20,023.60 j
Total estimated Revenues ( General Fund) $52185.98 j
i
150
Amount of Taxes to be raised for general Fund None.
Preliminary Budget
West Glens Falls Water District
Appropiations
Cost of Improvement
Bond principal $1000.00
Bond Interest 330.00
Total $1330000
Maintenance
Personal services $50.00 a
Office and other expense 138.52
Repairs 50.00
Purchase of . Water 500,00
Purchase of Equipment 25.00
Total $763.52
Total appropiations $2093.52
Estimated revenues
Water rents $1670:50
Penalties ' 17:50
Sale of water 70,:00
Ubexpended balance $3499.71
Total revenues $5184.71
Amount to be raised for Test Glens Falls
Water District None
Preliminary Budget
North Glens Falls Water District
Ali 'rop iat ions
Principal $500. 00
Interest _ 208.00
Total $708.00
Maintenance
Personal Services $ 50.00
Offtoe and other expenees 61070
Repairs _ 25.00
Purchase of Water 500.00
Rurchaio of Eq-.ipment 25.00
Total $661.70
Toil appropiations $1369.70
Es t ima;tO revenues
Water $800.00
Penalt1,60 10.00
Unexpended Balance 13.85
Total Revenues $823.85
Amount to be raised for the North Glens
Falls District . $545.85.
On motion Meeting adjourned.