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01-06-1971 165, Regular Meeting December 2, 1970 4; 30 P.M. Commissioners; Vend Dusen, Cowles, Regan & Supt Dunn Present. Receipts for November 1970 Interments $ 465.00 Lots 540.00 (Reardon & Ashley) Foundations 148.00 Total $1053.00 It was agreed that duplicate records of lets and burials would be taken to Town Hall and stored in fire proof vault. It was also agreed to micro film the cemetery records if possible in the future to be kept in town vault. The meeting was adjourned at 5;20 P.M. Secretary K` Regular Meeting January 6, 1971 4; 00 P.M. Commissioners, Van Dusen,- Cowles, Regan & Supt Dunn Present. Annual report was resented by commissioner Cowles. Receipts for December 1970 Interments $ 885.00 Lots Sold 200.00 (Phillips) Misc 53.75 Vault Rental 25.00 - Tetal$1163.75 It was thought that an inventory of equipment should be taken. Also that the date p urchased if possible for future reference. That the lawn mowers to be serviced for the spring use was agreed on. Meeting adjourned at 5 P.M. Secretary ?//__ C � ^ Regular Meeting February 3, 1971 4;15 P.M. Commissioners Van Dusen, Cowles and Supt Dunn Present. Regan absent Receipts for January 1971 Interments $ 285.00 Lots 340.00 Wilson & Ringrose) Vault Rental 115.00 Totals 740.00 Meeting adjourned at 4;45 pM a e re ary ANNUAL REPORT 1969 CEMETERY COMMISSION - TOWN OF QUEENSBURY Balance January 1, 1969 $ 9,120.14 RECEIPTS Sale of Lots Openings $10,040.00 Vault Rent 6,140.00 Foundations 135.00 Investment Income - Coupons 1,205.00 Property 000.00 Sale of Pro P Y - Quaker Road 10,000.00 Sale of Logs 1,145.71 $28,866.71 DISBURSEMENTS Supervisor, Town of Queensbury 75% Sale of Lots $ 7,530.00 •• Openings 6,140.00 Vault Rent 135.00 Foundations 1,201.00 Sale of Logs 1,145.71 $16,151.71 Purchase $20,000 U.S. Treasury Notes 8% of May, 1971 20,404.35 Transfer to Savings Account, Glens Falls National Bank & Trust Co. 1,000.00 $37,556.06 Receipts $28,866.71 Disbursements 37,556.06 - $ 8,689.35 Balance Jan.1,69 9,120.14 + 430.79 Balance as per Bank Accounts, December 31, 1969 430.79 Investments as of January 1, 1970 $1,000.00 Central New York Power Corp. General Mortgage Bond Due 1974 $1,000.00 General Motors Acceptance Corp. Due 1975 $1,000.00 General Motors Acceptance Corp. Due 1975 $20,000.00 U.S.. Treasury Note 8% Due May, 1971 $8,826.13 Super Savings Account, Glens Falls National Bank & Trust Co. $10,250.00 Premium Savings Account, The First National Bank of Glens Falls. Initial deposit includes $250.00 interest earned on Certificate of Deposit of $10,000 that matured Feb. 28, 1969 I , eS a a e- TENTATIVE BUDGET FOR PINEVIEW CEtffTERY 1970 Improvements to Cemetery $4000.00 New Equipment .� 42900.00 * Personal Services $29000.00 Repairs to Equipment $300.00 Gas & oil for Equipment $400.00 Bond for Commissioner & Supt. $75.00 Miscellaneous 400.00 Heat, Lights & Telephone X600.00 $37675.00 * Includes coat of new .* ton pickup truck which is badly needed.