REVISED TO CHANGE MEETING DATE
The RTM Finance Committee meeting scheduled for Tuesday May 24th, has been rescheduled to meet on Tuesday May 31st, 2011 at 7:30 PM in Room 309 at Town Hall for the following purposes:
1. A request by the Public Works Director for an appropriation of $275,000 to the Sewer Reserve Fund Account (Pump Station #9, Force Main) for the replacement of the Hillandale Road force main serving Pump Station #9.
2. A request by the Public Works Director for an appropriation of $425,778 to the Highway Account (Storm Expenses) to cover the expenses incurred during the previous winter.
3. A request by the Public Works Director for an appropriation of $500,000 to the Capital and Nonrecurring Expenditure Fund (C&NEF) Account (HVAC upgrade: Town Hall) for the HVAC upgrade and energy efficiency project for the Town Hall.
Revised by Allen Bomes, Acting RTM Finance Committee Chair
May 20, 2011
Submitted by Michael Rea, RTM Finance Committee Chair
May 19, 2011
See Minutes below: