RTM Finance & Public Works Committees Joint Meeting
Thursday, January 6, 2014 at 6:30 pm in Room 201 Town Hall.
AGENDA
The Finance Committee will meet at 630 pm to discuss the following appropriations, in excess of $20,000, approved by the Board of Finance on Dec. 11, 2013:
1. A request by the Executive Director of the Levitt Pavilion for the Performing Arts for an appropriation of $249,587 to the Levitt Pavilion Account # 30508810-500121-18005 for contingency costs and additional funding on the construction of the Levitt Pavilion.
The Finance and the Public Works Committees will meet at 6:45 pm to discuss:
2. A request by the Director of Public Works for an appropriation of $60,000 to the Vehicle Maintenance/Operations-Equipment Account # 10103321-543000 for unanticipated costs associated with maintenance of aging public works equipment.
3. A request by the Director of Public Works for an appropriation of $497,595 to a Capital and Non - Recurring account as a conduit for a reimbursable grant from the Main Street Investment Fund program for town center sidewalk and street infrastructure.
The Finance Committee will also review with the BOE, a projected shortfall in the Board of Education’s health insurance fund and expense account for the current fiscal year.
Jeff Wieser
Chair, RTM Finance Committee
Jay Keenan
Chair, RTM Public Works Committee
Submitted on January 3, 2014