Joint RTM Finance, Parks & Rec and Public Works Committees.
AGENDA
7:30 p.m. Joint RTM Finance and Parks & Rec Committees
- Act on a request by the Parks and Recreation Director, as approved by the Board of Finance, for an appropriation of $34,200 to the Parks and Recreation Golf-Equipment Account #10108832-577000 for the replacement of a 1989 tractor/loader.
7:45 p.m. Joint RTM Finance and Public Works Committees
- Act on a request by the Director of Public Works, as approved by the Board of Finance, for an appropriation of $335,000 for the following Storm Sandy Accounts for four repair projects due to Storm Sandy:
a) $90,000-Hillspoint Road Revetment & Sidewalk Repairs Account #10101980-500130-10001
b) $75,000-Beachside Avenue Revetment Repairs Account #10101980-500131-10001
c) $20,000-ER Strait Marina Revetment Repairs Account #10101980-500132-10001
d) $150,000-Burying Hill Beach Account #10101980-500133-10001
3. Act on a request by the Director of Public Works, as approved by the Board of Finance, for an appropriation of $586,000 (with bond and note authorization) to the Capital Account for the replacement of the Town Hall roof.
Following this Joint committee meeting, the RTM Finance Committee will meet.
- Update from the Finance Director
Jeff Wieser Jay Keenan William F. Meyer
Chair Chair Chair
RTM Finance Committee RTM Public Works Committee RTM Parks & Rec. Committee