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HomeMy WebLinkAbout1941_12_12 Town Board Minutes SPECIAL MEETING OF THE TOWN BOARD TOWN OF ldAMARONECK, NEW YORK HELD DECEMBER 12, 1941 At the Town. Offices, 158 West Boston Post Road, Mamaroneck, N. Y. The meeting was called to order by Supervisor McCulloch at 5 P. M. Present: Supervisor McCulloch Councilmen Bates, Griffin, Mandeviile, Meginniss Absent: None The presence was also noted of Town Clerk Payne, Town Attorney Delius, Comptroller Luceno, Town Engineer Foote and Assessor Smith.. The minutes of the meeting of December 3, 1941, were approved as presented. The Supervisor asked the Town Clerk to read the communications . A letter dated December 5, 1941, was received from John F. Conboy, agent for Mrs . Emma D. Hansen, requesting that since Mrs . Hansen had taken title to the property at 4 East Main Street or Boston Post Road, the Board now re-zone the property for business . The Town Attorney reported that Mrs. Emma D. Hansen had taken title to property on the Boston Post Road near Dillon Road and had requested a resolution permitting her to operate the premises as a restaurant and tea-room, not including, however, the sale of alcoholic beverages; that this matter had come before the Board first on the 19th. of March, 1941 and was thereafter, at the meeting of April 2nd, laid over until record of the transfer of the property to Mrs . Hansen, was filed with the Town. Upon motion duly made by Councilman Bates, seconded by Councilman Griffin, it was RESOLVED, that a permit be granted by this Board, pursuant to Article 2, Section 7 (unclassified district) of the Zoning Ordinance of the Town of Mamaroneck, to Emma D. Hansen to use the premises hereinafter described as a restaurant and tea-room, not including, however, the sale of alcoholic beverages . FURTHER RESOLVED that the description of the premises for which such permit is granted, is as follows: Being all of that lot, plot or parcel of land, lying, being and situate in the Town of Mamaroneck, County of Westchester, New York, and known by and as Darts of lots 70 and '71 on Map entitled "Map of Dillon Park" made by Horace Crosby, Civil Engineer, August 1903 and filed in the Division of Land Records of Westchester County (formerly Registers Office) February 26, 1904 as Map Number 1245 and a parcel of land adjoining lot 71 on the Southeast, which parcel is shown on Map of Street System of Dillon Heights' Mamaroneck, N. Y. made by William Ropes, Surveyor June 22, 1916 and filed in the Division of Land Records of Westchester County (formerly Registers Office) as Map number Volume 46 page 70 January 19, 1917, also known by and as parts of Lots 9B, 10 and 17 in Block 504 Town of Mamaroneck Assessment Map, said lot, plot or parcel being more particularly bounded and described as follows : BEGINNING at a point in the Southerly line of the Boston Post Road where the same is intersected by the n Westerly line of Town of Mamaroneck and also the Westerly line of Lot 71 as shown on the first above mentioned map thence Northeasterly along the Southerly line of the Boston Post Road 78.88 feet to a point in the said Southerly line of the Boston Post Road which goint is the Northwesterly corner of Lot Number 70, thence in a Southeasterly direc- tion along the line dividing Lots 9A and 9B on Town Assess- men Man 504 and continuing Southeasterly on the same line which is 200 feet from the Southerly line to the Boston Post Road if measured at right angles to same thence South westerly along a line parallel with and 200 feet from the said Southerly line of the Boston Post Road 11 feet more or less to the Mamaroneck-New Rochelle boundary line thence Northwesterly along said Boundary line 230 feet more or less to the Southerly line of Boston Post Road the point or place of beginning. The Town Clerk presented a certified copy of a resolution received from Westchester Joint Water Works, No. 1 setting forth the arrears for water as of September 30, 1941 and remaining unpaid on December 11, 1941, on premises located in the unincorporated section of the Town. On motion by Councilman Bates, seconded by Councilman Iandeville, it was unanimously RESOLVED, that the Receiver of Taxes and Assessments be and he hereby is authorized, empowered and directed to accept payment of the following taxes on the follow- ing described property, the liens for which are held by the 'Town, at the face amount of the liens, provided payment be made within thirty days: Amount of Section Block Lot Tax Year Sale Year Lien 2 40 27,28 1939 1940 $ 75 .33 1940 1941 75 .90 9 79 7 1925 1926 8.21 1932 1933 18.27 On motion by Councilman Bates, seconded by Councilman Mandeville, it was unanimously RESOLVED, that the Receiver of Taxes and Assessments be and he hereby is authorized, empowered and directed to accept payment of the following taxes' on Section 7, Block 58 Lots 4A and 4B (new designation - Block 720, Parcel 1 , .the lien for which is held by the Town, at the face amount of the lien plus interest computed at 6 per cent per annum, provided payment is made within thirty days: Amount of Tax Year Sale Year Lien 1940 1941 $2,051.33 Supervisor. McCulloch stated that the Board had met pursuant to call, for the purpose of considering the tax budget for the year 1942• The Board thereupon proceeded to consider the protests and objections made by those who addressed the Board at the hearing held on December 10th, 1941. The various items contained in the tax budget were then considered item by item, and after a thorough discussion had thereon, Councilman Mandeville offered for adoption, the following: WHEREAS, this Board has heretofore made compiled and filed with the Town Clerk, a proposed tax budget con- taining the estimated probable revenues and estimated TOWN OF MAMARONECK TAX BUDGET ADOPTED FOR 1942 TABLE OF CONTENTS Page Summar,- of Proposed Tax Budgct 1,2 Estimated Revenues 3 GENERAL TOWN 25 Debt Service Department of Town Offices 4 Department of Supervisor 5 Department of Town Clerk 6 Department of Comptrollor 6 Department of Elections 7 Department of Roceiver of Taxes 8 Department of Town Assessor 9 Department of Law 10 Certiorari Proceedings and Foreclosures 10 Department of Justices of the Peace 11 Contributions and Donations 11 Department of Highways 12 Department of Tm m Engineer 12 Department of Public Wolfarc 13,111 1Tis coil ancous Expenditures 15 . Debt Sorvice 16,17, 18 OUTSIDE OF VILLAGES Department of Board of Appeals 19 T,liscellancous Expenditures 19 Building and Plumbing Department 20 Department of Highways 20 Department of Police 21 Debt Service 22 - GARBAGE DISTRICT NO. 1 Garbage Collection 23 Garbage incinoration and Disposal 23 Debt Service 2,1 PARK DISTRICT N0. 1 Departmont of Parks 25 Debt Service 26 FIRE, LIGHTI-NG & WATER SUPPLY DISTRICT i70. 1 Tire Department 27 Stroot Lighting 27 Hydrant Rental 27 ' Dobt Service 28,29 SEVTER DISTRICT NO, 1 Sewer Departricnt 30 Debt Service 31 ,32 MAMARONECK VALLEY SEWER DISTRICT Debt Service 33 SPECIAL ASSESSHENT DISTRICTS Debt Service 31 TOMN, OF ^,.4`_P21LR ONE CK SUITYARY OF PROPOSED T,R BUDGET-FOR ] 949 1942 1941 Proposed GENERAL TOWN Budget BudEef Town Offices . . . . . . .. . . . . . . . . . . . . . . . . . . . . . .qP 7,350.00 6,450.00 Supervisor . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 9,100 .00 9,360.00 Town Clerk. . . . . . . . . . . . . . . . . . . . . . . . . . . . 2;970.00 31670.00 370.00 4,636.00 Comptroller . . . . . . . . • : . . . . . . . . . . . . . . . . . . . . 1,,'58.00 4,377,00 Elections . ° Receiver of Taxes . . . . . . . . . . . . . . . . . . . . . . . i 8,535 .00 815,10.00 Assessor . . . . . . . . . . . I . . . . . . . . . . . . . . . . . . . . : 101225.00 9,225 .00 Lana. . . . . . . . . . . . . . 9,115 .00 9,211 :00 Foreclosures and Cer-iorari Costs . . . . . . . . 5,000.00 8,500.00 Justicos of the Peace . . . . . . . . . . . . . . . . . . . . . 5,0821100 5,082.00 Contributions and Donations . . . . . . . . . . . . . . . 500.00 500.00 Highways . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 15,600 .00 13,600.00 Engincer . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3,300 .00 3,300.00 Public Welfare . . . . . . . . . . . . . . . . ... . . . . . . . . . 181,707 .00 120,4=8.00 Miscollaneou.s Expenditures . . . . .. 10,978 .00 10,703 :00 Debt Service . . . . . . . . . . . . . . . . . . . . . . . . . . . . 156,888.50 225,568 :25 Grand Total . . . . . . . . . . . . . . . . . . . . . . . . .`!,1=135,178.50 -43,170.25 Less : Revenues . . . . . . . . . . . . . . . . . . . . . 12_-9,-_50.00 153 650.00 Stet Levy . . . . . . . . . . . . . . . . . . . . . ',;285728 .50 289,520.25 TOINMT OUTSIDE OF .VILL' GESS Highway: Repairs and Improvements . . . . . . . . T 22,500.00 20,000.00 Debt Scrvicc . . . . . . . . • . . • . . . • • . . . . . • • • • • 62,219 .00 60,264.00 Total. . : . . . . . . . . . . . . . . . . . . . . . . . •`> 84,719.00 80,264.00 Less : Revenues . . . . . . . . . . . . . . . . . . . . . , , _- _ — 800.00 T'Tet Levy. . . . . . . . . . . < . . . . . . , . < .`; 84-,79 .00 79,0,6=•_00 Fire, Lighting & Water Supply District rI — Fire D^ artment . 21,051 .00 22,891.00 Street ighting. . . . . . . . . . . . . . . . . . . . . . . . 16,500.00 15,000.00 Hydrant Rental . . . . . . . . . . . . . . . . . . . . . . . . . 12,000.00 12,000.00 Water District Debt Servico . . . . . . . . . . . 50,972 .75 4-998_=-.00 — - —_. Total 3xpenditures . . . . . . . . . . . . . . . . .:;100,523 .75 99;875 .00 Less : hratcr District Revenues : . • • . . 50,972 .70 49L98=: .00 -Tot Levy. . . . . . . . . . . . . . . . . . . . . . _'9 551.00 49 891 .00 Garbage District No. 1: Garbage Collection. . . . . . . . . . .';; 11 ,290 .00 13,110.00 Garbage Incineration and Disposal . . . . . . 5,780 .00 8,380.00 Debt Service . . . . . . . . . . . . . . . . . . . . . . . . . 7,4,10.37 7 0_6 .50 Net Lcvy "s 2=r,4"80.x'7 28,536 .50 Other Departments: Board of Appeals . . . . . . . . . . . . . . . . . . . . .y5 970.00 615.00 Building Depa . rtment . . . . . . . . . . . . . . . . . . . 1 ,440.00) 2,. 270.00 Plu.ioing Department . . . . . . . . . . . . . . . . . . 1,425.00) Police Department . . . . . . . . . . . . . . . . . . . . . . 68,098 .36 68;516 .17 Tfiiscellaneous Expenditures . . . . . . . . . . . 8 830 .00 10 705.00 i ... _ Gross Levy. . . . . . . . . . . . . . . . . . . .:;?80,763.36 82,106 _.17 Less: Revenues . . . . . . . . . . . . . . . 8- 72--- 306 Net Levy . . . . . . . . . . . . . . .vv_. - -- — -1- TOYM OF T2I'MRONECK SITIFEr1RY 07 PROPOSED T.1X BUDGET FOR 1942 ----------- 1942 1941 Prbpd: ed Budget B„ ad-Set TOWN OUTSIDE OF VILLLGES Park District ilo. to Operating. . . . . . . . . . . . . . . . . . . . . . . . . . . > 81866.00 8,861.00 Debt Service . . . . . . . . . . . . . . . . . . . . . . . . . . 25,851.75 25379 .25 ct Levy. . . . . . . . . . . . . . . . . . . . . . . . . . p 3-:720.75 3-r,2-_0 .25 .. Sower District No. 1 - Operating. . . . 6,195.00 6,215.00 Debt Service . . . . . . . . . . . . . . . . . . . . . . . . . . 13_•=,764„12 131 ,734-.87 Not Lovy. . . . . . . . . . . . . . . . . . . . . . . . . .”14Qz53 12 137,9':.-9_87 Mamaroneck Valloy Sewor District: Debt Service . . . . . . . . . . . 23,795 .00 22,695.00 County Levy ` (to be determined by the Board of Supervisors) . . . . . . . . . . . . . . . - - '' 795.00 n,695.00 Not Levy . . . . . . . . . . . . . . . . . . . . . . . . . ...... Judicial, Military (": County Levy (to be determined by thc) Board of Supervisors) . . . . . . . . . . . . . . . . . . . . . . . . . . . - - Special Assessment Debt Service: Maple Hill - Past I . . . . . . . . . . . . . . . . . . . .`> 7,080.00 6,810.00 Maple ~Till Part I_ . . . . . . . . . . . . . . . . . . . . 6,168.75 5,956.25 Myrtle & Madison- .Avenue Street Improvement . . . . . . . . . . . . . . . . . . . . . . . . . 4,720.00 4,340.G0 Total Levy . . . . . . . . . . . . . . . . . . . . . . . 17,968 75 17,306 .25 SIT " tR Total 0_iperatin9 ,283,528.36 285,717 .17 . . . . . . . . . . . . . . . . . . . . . . . .` Total Piolf-are . . . . . . . . . . . . . . . . . . . . . . . . . . 181,707.00 120,4^_-8.00 Total Debt Service . . . . . . . . . . . . . . . .=77,873.24 3,108.60 539,976.12 946,143:29 Gross Eypeni,i ores . . . . . . . . . . . . . . < 9- Loss - Rovenues : : . : . . . : . . . . . . . . . . . . . . 208,872.75 214,234.00 Net Lc-Ty: : . . . . . . . . . . . . . . . . . . . . .?57 ,235.65 731 ,909.29 Note, 1941 Trlarr,aronocic Valloy Sowor County Levy. . . . . .`;5130,922 .08 , . . . . 1941 Judicial, ..ilitary and County Lcvy 507,16' .65 Total ':'iestchoster County Levios . . . >638,08G.73 -2- TOM IT OF !A lI RONIICK ESTI `ATI,D RE=-'J-ES GETERAL TOWN Interest and Penalties on Taxes Justices' Fincs Justices' Foos Income Tax Beverage Tax Welfare Rofunds - Salary Welfare Refunds - Relief Town Clerk' s Earnings Total OUTSIDE OF VILLPGES Dog Licenses Building Permits Plumbing Per,zits Franchise Tax mercantile and TH4anufacturing Tax 'Hortgagc Tax Total FIRE , LIGHTTG !",,M WLT R SUPPLY DISTRICT N0. I Water Revenues HIGHWAY DISTRICT Estimated. State _":id -3- 1941 1942 Estimate Estimate 25,000.00 750.00 1,000 .00 0,000.00 20,000 .00 6,500 .00 55 ,000.00 1200.00 4,149 ""50.00 25,000.00 750.00 1,000.00 50,000.00 30,000.00 5,700.00 40,000.00 1 ,200.00 153,650.00 1,500 .00 1,500'.00 750.00 500.00 400.00 400.00 300.00 400.00 10500.00 2,000.00 4,000.00 5,000.00 8"±50.00 9,800.00 Sj 50,952 .75 49,984.00 - 800.00 TOWN OF MAMARONECK - GENERAL TOWN 1942 BUDGET REQUIREMENTS DEPARTMENT OF TOWN OFFICES SERVICES - PERSOTAL Permanent Employees Janitor Telephone Operator General Office Secretary SERVICES - CONTRACTUAL Rent Light Telephone MATERIALS AND SUPPLIES Office Supplies Furniture & Fixtures Expenditures 1941 to budget Apropriatlon Sept .30,1941 , Allowed 675.00 900 .00 900.00 675 .00 900.00 400.00 1 ,125 .00 1 ,500.00 1,500.00 1,575 .00 2,100.00 2,100.00 114.24 150.00 150.00 807.27 1,200.00 1,000.00 201.16 500.00 400.00 100.00 100.00 - 5,272.67 7,350.00 6,450.00 -4- TOWN OF MAHARONECK - GENERAL TOWN 1942 BUDGET REQUIREPMENTS DEPARTMENT OF SUPERVISOR SERVICES - PERSONAL Permanent Emplogees Supervisor Bookkeeper SERVICES - CONTRACTUAL Surety Bond MISCELLANEOUS Traveling Publishing Annual Report Expenditures 1941 to Budget Sept .30 1941 Apropriation Allowed 5,625 .00 71500.00 7,500.00 750 .00 1,000.00 1,300.00 125 .00 125.00 125 .00 225.00 300.00 250,00 185.49 175 .00 185 .00 6,910.49 9,100.00 9,360.00 TOWN OF MAMARONECK GENERAL TOWN 1942 BUDGET REQUIREMENTS I. DEPARTMWNT OF CLERK i` Expenditures 1941 to Budget Ap- Sept.30,1941 ,proprIation Allowed SERVICES - PERSONAL Permanent Employees Town Clerk y;: 2,100.00 2,600.00 3,000.00 Clerical Assistance - - 500.-00 SERVICES - CONTRACTUAL Surety Bonds and Insurance 15 .16 20.00 20.00 MATERIALS AND SUPPLIES Office Supplies 101.88 150.00 150.00 xh 21217.04 21970.00 31670®00 DEPARTMENT OF' COMPTROLLER SERVICES - PERSONAL Permanent Employees Comptroller „; 20100.00 2,800.00 31000:00 Clerk 900.00 1,200.00 1,320.00 SERVICES - CMTTRACTUAL Surety Ponds and Insurance 15.36 20.00 16.00 MATERIALS AND SUPPLIES Office Supplies 254:74 350.00 300.00 3,270,10 4,370.00 4,636.00 M. TOWN OF MAMARONECK= - GENERAL TOWN 1942 BUDGET REQUIREMENTS DEPARTMENT OF ELECTIONS Expenditures 1941 to Budget Ap- Sept 30;1941 propriation Allowed SERVICES - PERSONAL Custodians of Voting machines (2) Compensation of Inspectors and. Poll. Clerks for (a) Fall Primary - (b) Registration ( c) Gencral Election (d.) Attending Instruction Meeting Compensation of Chaimen for delivering returns to White Plains Labor in setting up and removing equipment SERVICES- CONTRACTT.iAL Rcnt of Polling Places Transportation of equipment and supplies MATERIALS AND SUPPLIES New equipment and supplies MISCELLANEOUS Publishing 'Notices Special Elections and Permissive Referenda Rercanvass of voting machines Insurance 131 .18 IN 245.18 200.00 512.00 1,664.00 592.00 64.00 256.00 4.13 90.00 109 .87 MW -7- 200.00 300.00 200.00 175.00 50.00 15 .00 140.00 4,458.00 200.00 512.00 1,664.00 576 .00 128.00 232.00 7.10:00 200 .00 300.00 200.00 175.00 50.00 15.00 15.00 4,.377.00 TOWN OF MAMRONECK - GENERAL TOWN 1942 BUDGET REQUIREMENTS DEPARTMENT OF RECEIVER OF TAXES SERVICES - KERSPTLAIL Permanent Emrloyees Receiver of Taxes and. Assessments Doputy Receiver of Taxes and Assessments Bookkeeper and Clerk SERVTCES - CONTRACTUAL Insurance and Surety Bonds MR .TRIALS AND SUPPLIES Office Supplies MISCELLANEOUS Publishing Notices Expenditures 1941 to Budget Ap- Sapt .30,1941 propriation Allowed 2,812.50 31750.00 I 3,750.00 1,800.00 2,400.00 2,700.00 600 600.00 500.00 260.00 260.00 260.00 1;265.17 1,300.00 29.14 $6,766.81 25 .00 8,535.00 1,300.00 30.00 8,540.00 TOWN OF MAMARONECK - GENERAL TOWN 1942 BUDGET REQUIREMENTS DEPARTMENT OF TOWN ASSESSOR SERVICES - PERSONAL Permanont employees Onn (1) Assessor One (1) .Clerk' One (1) Clerk Board of Review ( 3) Maintaining Assessment Maps and Cards MATERIA,LS AND SUPPLIES Office Supplies MISCELLANOUS Traveling and Insurance Publishing Notices Deed and Mortgage extracts Now Maps Expenditures 1941 to Budget Ap- Sept.30 ,1941 Apropriation Allowed 2,'/00.,00 3,600,00 3,600.00 1,800.00 2,400,00 2,400.00 900.00 1,200.00 1 ,200.00 1 ,500000 1,500.00 50c.00 531 .00 600.00 600.00 196 .13 150.00 200.00 271.52 300 .00 300.00 26.19 25.00 25.00 182.25 250.00 250.00 117 .06 200.00 150.00 8,224.15 10,225.00 9,225 .00 - a -10- T01N OF 1J-'i i ROT CK - GE 7 R.L TOWN 1942 BUDGET RE"-UIYiETKEDiTS =A= !EDIIT OF LAIJV Expenditts es 1941 to Budget Ap- Sept.30,1941 oropriation Allowed SERVICES - PERSCYAL Permanent Employees Town Attorney 4,500.00 6,000.00 6,000.00 Legal astistance 675.00 900.00 1,000.00 Stenographer 1,125.00 1,500.00 1,500.00 MISCELLANEOUS Insurance 10.36 15 .00 11.00 Traveling 182.03 200.00 200.00 Supplies , stationery, title searches , etc. 283.10 500.00 500.00 $ 6,775.49 9,115 .00 9,211.00 CERTIORARI PROCEEDINGS AND FORECLOSURES Tax Lien Foreclosure Costs: Searches , Referees ' fees, title changes, etc . $1,045 .15 1,000.00 1,000.00 Certiorari Costs: Referees ' fees, real estate appraisal fees , court costs , etc . 6;932.98 4,000.00 7,500.00 7,978.13 5,000.00 8,500.00 -10- TOWN OF MAMARONECK - GENERAL TOWN 1942 BUDGET REQZUIREMENTS DEPARTMEIT OF JUSTICES OF THE PEACE SERVICES - PERSONAL Permanent Employees Justicos of the Peace (2) Clerical Assistance Stenographic Charges SERVICES - CONTRf CTUAL Rent Surety Bonds Telephone Light MATERIALS AND SUPPLIES Office Supplies A. Expenditures 1941 to Budget Ap- Sept.30,1941 propriation Allowed 2,700.00 3,600.00 3,600.00 675.00 900.00 900.00 67.07 50.00 50.00 225.00 300.00 300.00 10.00 10.00 10.00 90.00 120.00 120.00 6.65 12.00 12.00 86.75 90.00 90.00 50 .00 Rental of Post Quarters ( 2) u 3,860.47 51082 .00 5,082 .00 CONITRIBUTION AND DONATIONS Memorial Day Observance American Legion, 1 Post 50.00 50.00 50.00 Veterans of Foreignars 50.00 50.00 50 .00 Rental of Post Quarters ( 2) 400.00 400.00 400.00 500.00 500.00 500.00 -1_1- TOWN OF MAMARONECK - GENERAL TOWN 1942 BUDGET REQUIREMENTS DEPARTMENT OF HIGHWAYS BRIDGE FUND - item No. 2 MACHINERY FUND - item No. 3 SEPT AND MISCELLANEOUS FUND - Item No. 4 For salary of Town Superintendent For removal of snow Insurance Miscellaneous Grand Total Expenditures 1941 to Budget Ap- Sept .30 1941 propriation u 177.38 300.00 6'810.40 6,700.00 1;949.94 3,349.60 1,904.66 357 .41 $14,549.39 2,600.00 3,500.00 1,700.00 800.00 Allowed 500.00 4,500.00 2,600.00 3,500.00 1,900.00 600.00 15,600.00 13'600.00 DEPARTMENT OF TOWN ENGINEER Salary of.' Engineer „s 900.00 1,200.00 Engineering Expenses 1,37158 2,100.00 2,271.58 3,300.00 -12- 1,200.00 2,100.00 3,300.00 TOWN OF MAMARONECK - GENERAL-TOWN 1942 BUDGET REQUIREMENTS DEPARTMENT OF PUBLIC WELFARE Expenditures 19441 to Budget Sept.30,1941 Apropriatior. Allowed SERVICES - PERSONAL Permanent Employees Public Welfare Officer ;' 1 ,500.00 2,000.00 20000.00 Medical Advisor 900.00 1,200 .00 1 ,200.00 Stenographers (3) 2,340 .00 3,120 .00 3,120.00 Janitor 540.00 720.00 720.00 Supervising Case Worker 11350.00 1,800.00 1,800.00 No . 1 Case Worker 1,125.00 11500.00 1,500 .00 No. 2 Case Worker 1,125 .00 1,500.00 1,500.00 No . 3 Case Worker 1 ,125 .00 17500.00 1,500.00 No. 4 Case Worker 875 .00 1 ,200.00 1,500.00 No . 2 Clerks (2 ) 2,573.64 3,432.00 2,288.00 Storekeeper 78C .00 1,040.00 - SERVICES - CONTRACTUAL Light 70.40 140.00 100.00 Fuel 119 .85 350.00 350.00 Water 17 .85 25.00 25.00 Insurance 160.46 230.00 220.00 Telephone 675.00 900 .00 850.00 Central Index 50.00 100 .00 100.00 MATERIALS AND SUPPLIES Office Supplies 432.65 600.00 500.00 Furniture and Fixtures , - Repairs 276.92 350.00 100.00 Gasoline, oil, car repairs and storage 80.05 250.00 200.00 Distribution of Surplus Foods 86.12 150 .00 - MISCELLANEOUS Traveling expenses 222.76 300 .00 275 .00 Repairs to building 71.02 100.00 100.00 Total Administrative ;16,496.72 22,507 .00 19,948.00 • -13- TOWN OF MAMRONECK - GENERAL TOWN 1942 BUDGET REQUIREMENTS DEPARTMENT OF PUBLIC WELFARE ( Continued) (Carried Forward) lit. P. A . Expenditures HOME RELIEF Public Welfare Office 1940 deficit ( 60% of $30,000) VETERAN RELIEF Expenditures 1941 to Budget Ap- Sept .30 1941 propriation plowed $16,496.72 22,507 .00 19,948.00 - 500 .00 840321.84 120,000.00 85,000.00 18,000.00 180000.00 - Voteran Relief OffIce 900.00 11200.00 - Home Relief for. Veterans 16,991.25 200000.00 15,000.00 Grand Total 136,709.81 181,707.00 1202448.00 -14- TOWN OF MAMARONECK - GENERAL TOMIT 1942 BUDGET REQUIREMENTS MISCELLATEOUS EXPENDITURES Z 0 Yote . Interest on loans and payment on account of tax lien note shown on this page for the 1941 budget is shown on pages 16 and 18. -15- Expenditures 1941 to Budget Ap- Sent .30 1941 propriation ,'allowed AUDITING SERVICES Town Audit ti - 1,000.00 1,000.00 TOWN BOARD Reports , surveys, traveling 185 .99 200.00 200.00 Publishing notices - 25.00 25.00 Salaries, four (4) Councilmen 3,600.00 4,800.00 4,800 .00 BANK SERVICES 499.60 550.00 550.00 LEGAL OPINIONS, FORMS :ETC. 162.50 500.00 400.00 TOIVIT CAR Repairs , gasoline and. oil 115.93 150.00 125.00 INSURANCE 396 .48 400.00 350.00 FEES FOR VITAL STATISTICS - 50.00 50 .00 CARE OF TOWN CEMETERY 80.00 100.00 100.00 MEMBERSHIP IN TOWN ASSOCIATION 103.00 103 .00 103.00 TAXES ON TOWN-OWNED PROPERTY 1,838.16 2,500.00 2,500.00 TOWN CAR 600.00 600.00 - PUBLIC INFOPMATION _ - - 500.00 ,.27,581.66 10,978.00 10,703.00 Z 0 Yote . Interest on loans and payment on account of tax lien_ note shown on this page for the 1941 budget is shown on pages 16 and 18. -15- TOWN OF MAMARONECK - GENERAL TOWN 1942 BUDGET REQUIREMENTS -DEBT SERVICE - PRINCIPAL 1. Weaver Streot Improvement Bond No. 5, dated 1000.00 Feb. 1, 1928, due Feb. 1, 1942. 2 . Highway Improvement Bond No. 12, dated Fob. 1, 1931, duo Feb. 1, 1942 . 9000 .00 3. Gonoral Bonds of 1933, Nos . 78 to 38 incl . , 11 000.00 dated Feb. 1, 1934, due Feb. 1 , 1942. General Bonds of 1939 .No . 25 to 36 incl . , 12,000.00 dated ie .. i, 1939 , due For . l, 1942 . 5 . Weaver Street-Part I-Hignway Improvement 19273 Bonds , .Sos . 21 and 22, dated •Sept . 1, 29000.00 duo rcpt. 1, 19. 2 . 6 . Highway Bonds of 1936 (Boston Post Road Land Dainage) Nos . 11 and. 12, datcd Oct . 1, 1936, 2,OOQ .00 duo Oct . 1 , 19A-2. 7 . Highway Improvement Ponds (Boston Post Road) 15, 1932 , Nos . 136 to 150 incl. , dated, :aprll 15 ,000 .00 du.e ipril 15, 19412 . 8 . Highway Bonds ( Co. Rd. 67-]-i ) No• , dated 1 000 .00 Tay 15 , 1938, duo %?ay 15, 1942 . s 9. Highway Bonds-Scries ^_ (Boston Post, Road) 1, 1932, 1710S . 9,1 to 103 Incl . , dated Juno 10,000 .00 due June 1, 1942 . 10 . Highway Bonds of 1937 (Boston. Post Road Land- Damage) NOS . 9 to 11 incl. , datod June 1, p 39000.00 ...2 1937 , due June 1 , 1o ,.= . 11 . General Bonds of 1937 (`s`.'? . =. ) qos . 61 to 75 du.c June 1 , 191`:2 . 15,000.00 dated June 1, 1937 , 12. General Bonds of 1940 ( Scrics 1) Nos . 7 to 15, 192..0, duc Jul- 15,1942 . 6,000 .00 12 incl . , dated July 13 . General_ Bonds of 1940 ( Series II ) ?SOS . 5 to 8 15, 19-'',O, duo July 15, 1942. =,000.00 incl . , dated July 14. General Bonds of 1941 (':"1 .P • =. ) ]Nos • 1 to 10 duo 2iarch 1 , 1942 . 10,000 .00 incl . , dated "larch 1, 19•1-1, 15 . Payment on account of tax lion note due 1002000 .00 Jul; 1 , 1942 . Carried Forward 1932000.00 -16- TOWN OF MAMARONECK- GENERAL TOWN 1942 BUDGET REQUIREMENTS DEBT SERVICE Continued -17- 193,000.00 Brought Forward. INTEREST 16. On $4,900 4.5% Weaver St .Improvment Bonds dated Feb. 1, 1928, duo Feb. 1, 1942 and on 198'00 $3,900 due August 1 , 1912. 17 . On $10,000 25% Highway Improvement Bonds dated Fob. 1 , 1951, due Feb. 1, 1942 a-nd on 403.75 $9 ,000 due August 1 , 1942 . 18. On `$33;000 5 1 /2 General Bonds of 1933 dated Feb. 1, 1934, due Feb . 1 , 1942 and on $22,000 due August 1 , 1942. 1,512.50 19 . On `$76,000 1 .90%, General Bonds of 1939 dated. Feb. 1 , 1939, due Feb. 1 , 1912 and on $64,000 due August 1 , 1942 9330.00 20 . On $14,600 4 1%2% Weaver Strect-Part I- Highway Improvement Bonds dated Sept . 1, 1- 9271 due 657 .00 March 1 and Sept . 1, 1942. 21 . On `;$35,000 3 1l4, Highway &ends of 1936 (Boston Post Road Land DarL-ge ) dated Oct. 1, 1936, due, April 1 and Oct. 1 , 1942. 1 37.50 ,- 22. On : $180,000 6, Highway Improvement Bonds (Boston Post F.oad d.atcd I,pril 15, 1932, due April 15, 1942, and on $165,000 due Oct.15,19 '2 . 10,350 .00 23 . On 1:16,000 3.60% Highway Bonds ;Co. Rd.. 67-II) dated. :May 15, 1938, due May 15, 1942 and or_ 558.00 `$15,000 due November 15, 1942. 24-' . on $140,000 6 ' High .-my Bonds ( Series A) dated June 1 , 1932, due June 1 , 1942 and on $130,000 duo December 1 , 1942 . 8,100400 25 . On $48,000 3.25% Highway Bonds of 1937 dated Juno 1, 1937, due Junc 1 , 1942 and or $45,CC0 1,511 .25 due December I , 1942 . 26. On $100,000 3.25% General Bonds of 1937 dated Juno 1 , 1937, du June 1 , 1942 and on $85,000 3,006.25 duo December 1 , 1942. -- Carried. Forward 221,764.25 -17- TOWN OF MAMARONECK - GENERAL TOWN 1942 BUDGET REQUIREMENTS DEBT SERVICE (Continued) Brought Forward 27. On $25,000 1.60%, Goncral Bonds of i =0 ( Series I dated July 15, 1940, due January 15 and July 15, 1942 . 28. On $24,000 1.60 General Bonds of 1940 ( Series II) dated July 15 , 1940, duc January 15 and July 15, 1942• 29 On $65,000 1 .70% General Bonds of 1941 • dated !iaren ]. , 19 i1, due iae.r ch -2 1, 1✓ - .9 and on '1155,000 due Soptcnibor 1 , 19 i-2. 30. Tntorost on tomporary dobt . Oi ai -18- `221,764.25 400.00 38= .00 1,020.00 2,000.00 225,568.25 TOWN OF MAMARONECK - OUTSIDE OF VILLAGES 1942 BUDGET REQUIREMENTS DEPARTMENT OF BOARD OF APPEALS Expenditures 1941 to Budget Appropriation Sept .30,1941 SERVICES - PERSONAL Permanent Employoos Clerical Assistance MATERIALS AND SUPPLIES Office Supplies MISCELLADiEOUS Publishing Notices Printing amended Zoning Ordinances and. Zoning Maps TOWN BOARD 225.00 300.00 12.00 20.00 188.28 400.00 22 .00 250.00 3 447 .28 970900 MISCELLEOUS EXPENDITURES ' llowed 300.00 15.00 100.00 _ 200.00 615.00 Notices of Hearings - 50.00 50.00 CI.RE OF i,Silwq.ALS 550.00 900.00 900 .00 PUBLIC LIBR,,RY Larchxront Public Library 49365.00 5,820.00 5,820.00 PUBLIC HEALTH NURSES Employed pursuant to Sec .20-B, Par . 8 of the Public Health Law 1,104.16 1,560.00 1,560.00 SHADE TREE FUND. 339.31 500.00 500.00 PINE BROOI{ DRAIN COSTS - - 500.00 DEFENSE COUNCIL - - 1,375 .00 6,358 .47 8,830,00 10,705.00 -19- TOWN OF MAMARONECK - OUTSIDE OF VILIN GES 1942 BUDGET REQUIREMENTS BUILDING AND PLUMBING DEPA RTMENT Expenditures 1941 to Budget Ap. Sept p .30,1941 nrori tion Allowed SERVICES - PERSONAL Permanent Employees Building and Plumbing Inspector 1,911.00 2,400.00 1,800.00 Examining Board of Plumbers - 150.00 150 .00 Clerical Assistance 112.50 150.00 150.00 SERVICES - CONTRACTUAL Insurance 40.12 70.00 35.00 MATERIALS AND SUPPLIES Publishing Notices 3.36 5.00 5.00 Gasoline and. oil 65.04 55 .00 80.00 Office supplies 17.25 30.00 50 .00 Plumbing examination supplies - 5 .00 --- 22149.27 2,865.00 2,270.00 DEPARTS"' ZT OF HIGHVLdZS Item No. 1 - for repairing and improving highways , including foreman and laborers X19,664.17 22,500.00 20,000.00 -20- TOWN OF MAMARONECK - OUTSIDE OF VILLAGES 1942 BUDGET REQUTREMENTS DEPARTMENT OF POLICE MATERIALS AND SUPPLIES Miscellaneous Expenditures 1941 600.00 Repairs to headquarters to Budget .p- 100.00 Fuel oil Sept .30,1941 propriation Allowed SERVICES - PERSOAL 1,095 .96 1,500.00 1,750.00 Permanent Employees 234.16 300.00 300.00 Equipment 23.90 50 .00 50.00 Chief of Police 2,700.00 3,600.00 3,600.00 Lieutenant (1) 2,344.50 3,126 .00 3,126.00 Sergeants ( 3) 6,300.00 8,400 .00 8,400.00 Patrolmen (16) 29,569.31 39,462.36 39,753.85 Janitor 900.00 1,200.00 11200.00 Stenographer 525.00 700.00 700.00 SERVICES - CO TTRACTLTLI: 74.98 100 .00 100.00 'telephone, alarm., teletype 1,229 .23 1p550.00 1;600.00 Traffic signals 803.97 1,200.00 1,200.00 Insurance 2,075 .48 2,385.00 2,111.32 Water, light and gas 200.67 325.00 325.00 MATERIALS AND SUPPLIES Miscellaneous 719 .63 600.00 600.00 Repairs -to headquarters 29.69 150 .00 100.00 Fuel oil 231 .30 300.00 300.00 Gasoline and oil 1,095 .96 1,500.00 1,750.00 Office supplies 234.16 300.00 300.00 Equipment 23.90 50 .00 50.00 Clothing 628.75 700.00 700.00 Purchase of motorcycles , cars 1 ,063.75 1 ,1100.00 1 ,200.00 Repairs to cars and motor- cycles 744.93 800.00 900.00 Fingerprint equipment 73.13 100 .00 100 .00 Range supplies 74.98 100 .00 100.00 Radio maintenance 143 .38 250.00 300.00 Traffic Safety 47.35 200.00 100.00 51,759.07 68,098.36 68'516.17 -21- TOWN OF MAMARONECK - OUTSIDE OF VILLAGES 1942 BUDGET REQUIREMENTS DEBT SERVICE PRINCIPAL 1 . Murray Avenue Widening Bonds Nos . 25 and 26, dated Feb. 11 1926, due Feb. 10 1942. ? 2,000.00 2. Pine Brook Improvement Bonds Nos . 9 and 10, dated Feb. 1 , 1934, due Feb. 1, 1942. 2,000.00 3 . Highway Improvement Bonds Dios . 31 to 33 incl . , dated Sept. 1, 1927, due Sept . 1, 1942 . 3,000.00 4. Highway Improvement Bonds Nos . 131 to 140 incl. , dated Oct . 1, 1928, due Oct. 1, 1942. 10,000.00 5 . Highway Lmprovement Bonds Nos . 121 to 135 incl . , dated May 1 , 1929, due .Say 1, 1942. 15,000.00 6. Highiway Drainage Bonds Nos . 9 to 11 incl . , dated May 15, 1938, due May 150 1942, 3,000.CO 7. Highway improvement Bonds (iriurray Avenue) Nos . 100 to 108 incl. , dated June 1, 1930, due June 1 , 1942. 91000.00 INTEREST 8 . On p24,000 4 1/2% . ,hurray Avenue Widening Bonds dated February 1 , 1926, due February 1 , 1942 and on " 22,000 due August 1 , 1942 . 1,035.00 9. On ". 56,000 5 120 Pine Brook Improvement Bonds dated February 1 , 1934, due February 1 , 1942 and on `;54,000 due August 1 , 1942 . 30025 .00 10. On 3;,15,000 4 120 Highway Improvement Bonds dated September 1, 1927, due March 1 and September 1 , 1942 . 675.00 11 . On ',70,000 4 120 Highway Improvement Bonds dated October 1 , 1928, due April 1 and October 1 , 1942 . 3,150.00 12 . On :;105,000 4 120 Highway Improvement Bonds dated Ilay 1 , 192,9, due I':'Iay 1 , 1942 and on 90,000 due November 1 , 1942. 4,387.50 13 . On (;)21 ,000 3;600 Highway Drainage Bonds dated May 15, 1938, due May 15, 1942 and on ?18,000 duo November 7.5, 1942 . 702.00 14. On 481,000 4.300 Highway Improvement Bonds dated June 1, 1930 due June 1,1942 and on :; 72,000 - due December 1, 1942. 3'289.50 Total `;60,264.00 TOWN OF MAMARONECK GARBAGE DISTRTCT NO 1 1942 BUDGET REQUIREMENTS GARBAGE COLLECTION Expenditures 1941 to Budget Ap- Sept.30,1941 pr p iation Allowed SERVICES - PERSONAL Permanert Emp!oyees Collectors' Salaries $r 6,936.80 8,580.00 10,260.00 SERVICES - CONTRL CTUAL Insurance 668.75 845 .00 810.00 MISCELLANEOUS Gasoline and oil 388.16 400.00 540.00 Truck repairs 77.89 480.00 450.00 Equipment 177.10 135.00 200.00 Clean-up Week (2) 173.44 400.00 400.00 Rat control at two dumps 337.50 450.00 450.00 1>8,759.64 11,290.00 13,110.00 GARBAGE, INCINERATION 1LIM DISPOSAL Separate ash removal - 780.00 2,000.00 Garbage Disposal 2,672.63 1,500.00 , 1,000.00 Town share of incineration 1 ,237 .26 3,500.00 5,380.00 p 3,909.89 51780.00 8,380.00 -23- TOWN OF MAMARONECK GARBAGE DISTRICT iTO. 1 DEBT SERVICE PRINCIPAL 1 . Incinerator Site Bond No. 3, dated January 1 . 1940, due July 1 , 1942. 2 . Incinerator Bonds Nos . 7 to 11 incl . , dated October 1 , 1940, due October 1 , 1942. INTEREST 3. On $7,000 2.20% Incinerator Site Bonds 1940 due January 1 and dated January 1 ,July 1 , 1942. 4. On $51,000 1 .75% Incinerator Bonds dated October 1, 1940 due April 1 and October 1 1942 Total -24- 01 110000.00 5,000.00 154.00 892.50 7,046.50 4' TOWN OF MAMARONECK - PARK DISTRICT 110. 1 1942 BUDGET REQUIREMENTS DEPARTMENT OF PARKS SERVICES - PERSONAL Permanent Employees Foreman Assistant Foranan Clerical Assistance Temporary Employees SERVICES CONTFI--ACTUAL Light, power and Leases Water Insurance Compensation Fire and theft Liability - General Liability - Truck MATERIALS AND SUPPLIES Office supplies Gasoline and oil Materials, soil, seeds , trees and shrubs EgUIPPIF'DTT General Equipment MISCELLANEOUS Repairs - Building Repairs - Equipment Expenditures 1941 245 .00 to Budget Ap- 1 .00 Sept.30,10«1 propriation Allowed 1,575 .00 21100.00 2'100.00 866.56 1,300.00 1 ,300.00 127.62 170.00 170.00 2,638.53 3,200.00 30200.00 63.85 80.00 80.00 163.30 350.00 400.00 182 .65 245 .00 245 .00 .60 1100 1 .00 247.02 280.00 205 .00 46 .41 50.00 50.00 6 .83 10.00 10.00 79.65 180.00 150.00 541 .31 400.00 500.00 240.81 300.00 300.00 46.21 100.00 50.00 82.87 100.00 100.00 6,909.22 8,866 .00 8,861.00 -25- TOWN OF MAMARONECK - PARK DISTRICT NO. 1 1942 BUDGET REQUIREMENTS DEBT SERVICE PRINCIPAL 1 . Town Park District No. 1 Bonds Nos.._41 to- 44 Incl . , dated February 1 , 1925, d.ue February 1 , 1942. 4, 4,000.00 2. Town Park District No. 1 Load. No. 5 dated 1,000.00 April 1 , 1937 , due April, 1942. 3 . Town Park District No. 1 Bonds loos . 61 to 5,000.00 65 incl . , dated Eay 1 , 1920 , due May 1 , 1942. 4. Tomm Park District No. 1 Londe No. 12 dated 1,000.00 June 1 , 1930, due June 1 , 1942 . INTEREST 5. On $108,1000 4 1/2% Town Park District No . I Bonds dated February 1 , 1925, due February 1, 4 770 .00 1942 and on $104,000 due August 1, 1942 . , 6. On .;6,000 2 3/4, Tovm Park District No. 1 Bonds dated April 1 , 1937 , clue April 1, 1942 151.25 and on 3 5,000 due October 1 , 1942. 7. On `$195,000 4 1/2% Town Park District No. 1 Bonds dated Yay 1, 19290 due on May 1, 1942 and on . 190,000 due November 1 , 1942. 8,662.50 S. On $197,000 4.30% Town Park District No. 1 Bonds dated June 1 , 1930, due June 1 , 1942 and on "is.000 due December 1 , 1942. 795 .50 Total 1$25,379.25 -26- TOWN OF MAMARONECK FIRE , LIGHTING AND WATER SUPPLY DISTRICT NO. 1 1942 BUDGET REQUIREMENTS FIRE DEPARTMENT STREET LIGHTING Rental of street lights p11,910.3T 16,500.00 Rental of fire hydrants FYDRAN T RENTAL fi 8,852.97 12 ,000.00 -27- 15,000.00 12,000.00 Experditures 1941 to Budget Ap- Sept :30,1941 Appropriation t Mowed SERVICES - PERSOYAL Permanent Employees Seven (7) Drivers X100897 .50 14,530.00 14,820.00 SERVICES - CONTRACTUAL Light 209 .91 250.00 250.00 36x :90 450 .00 450.00 Fuel 41.10 50.00 50.00 Water 10984.51 2,165,00 2,000.00 Insurance 143.80 225.00 200,.00 Telephone Alarm System 146.54 160.00 200.00 MATERIALS AND SUPPLIES_ Office supplies 57 .37 125 .00 100_00 Furniture and. filtures - 126 .11 100.00 150.00 225.00 Gasoline and oil 51 .00 100.00 100.00 Miscellaneous 315.31 500 .00 500.00 Materials Equipment 191 .02 750.00 1,800.00 Clothing 309 .44 300.00 300.00 MISCELLANEOUS Repairs - Building 382.38 500.00 600.00 650 .00 1,150 .00 Repairs - Equipment 499.43 20.00 96 .00 96 .00 Garage rental r $15,743.32 21,051 .00 22 ,891-00 STREET LIGHTING Rental of street lights $11,910.3T 16,500.00 Rental of fire hydrants FIRE HYDRANT RENTAL $8,852.97 12 ,000.00 -27- 15,000.00 12,000.00 TOWN OF MAMARONECK FIRE, LIGHTING AND WATER DISTRICT NO. 1 DEBT SERVICE PRINCIPAL 1. Water Distribution System Bonds Nos . 179 and 160, dated. February 1, 1930, due Feb. 1, 1942. 2. Water Distribution System Bond No. 261 dated October 1 , 1936, due October 1 , 1942. 3. Water V1rorks System Bonds Nos. 9 and 10 dated 17ay 1 , 1937, due ieIay 1 , 1942. 4. Water Works System Bonds Nos . 292 to 297 incl. dated November 15, 1931, due November 15, 1942. 5 . Water Distribution System Bond No. 267 dated lovember 15, 1931, due Novaraber 15, 1942 . 6. Water Distribution System Bonds Nos . 53 to 56 incl. dated June 1 , 1927, due June 1 , 1942 . 7. Water Works System Bonds Nos . 40 to 43 Incl. dated June 1 , 1927 , due June 1, 1942 . 8. Water Works System Bonds Nos . 176 and 177 , dated June 1, 1927 , due Jwze 1 , 1942. INTEREST 2,000.00 1,000.00 2,000.00 6,000.00 1,000.00 4,000.00 4,000.00 2,000.00 9. On $78,000 4 1/2% Water Distribution System Bonds dated February 1, 1930, due Feb. 1, 1942 and on `$76,000 due August 1, 1942. 3,465.00 10. On $32,000 3 1/4% Water Distribution System Bonds dated October 1, 1936, duo April 1 and Oct .1,1942 . 1,040.00 11 . On $61,000 3.900 Water Works System Bonds dated Vlay 1 , 1937, due Ntay 10 1942 and on 9;59,000 due November 1 , 19412. 2,340.00 12. On $164,000 5.10% Water ?'forks System Bonds dated November 15, 1931 , clue iTlay 15 and Nov. 15, 19x2. 8,364.00 13. On $30,000 5 .10% Water Distribution System Bonds dated November 15, 1931, due I,iay 15 and November 15, 1942. 10530.00 14. On $104,000 4 1/4% Water Distribution System Bonds dated June 1 , 1927, due June 1. 1942 and on "$100,000 due December 1 , 1942. (Continued) -26- 4s 335.00 TOWN OF MAMAROWECK FIRE, LIGHTING AND WATER DISTRICT NO. 1 DEBT SERVICE ( Continued) 15 . On $100,000 4 1/4% Water Works System Fonds dated Juno 1 , 1927, due June 1, 1942 and on ; $96,000.00 due December 1 , 1942. 16. On $62.,000 4 1/2i6 Water works Syatom Bonds dated June 1 , 1927, due June 1 , 1942 and on ,$60,000 due December 1 , 1942. Total -29- i 4,165.00 2 ,745.00 49,984.00 TOWN OF MAMARONECK SEWER DISTRICT NO. 1 1942 BUDGET REQUIREMENTS SEWER DEPARTMENT SERVICES - PERSONAL Permanent Employees Supevision Temporary Employees Laborers SERVICES - CONTRACTUAL Power Insurance Rents of railroad rights- of-way MATERIALS SUPPLIES Gasoline and oil Diaterials Clothing MISCELLNEOUS Repairs , manhole heads , Water Expenditures 1941 to BiY3.got Ap- Sept ,30,194-1 raropriation Allowed 1004G.o0 2,080.00 1,700.00 1,302 .46 40.71 4:9 .82 50.00 95 .78 407.02 49 .75 2277 Now sot of sewer charts and binder - eP ;95 31 -, The unexpondcd balance of this item was used for the construction of a sewer Line on Berton Road, at a cost of 1,097 .35 5,055 .66 -30- 2,250.00 35 .00 690 .00 50.00 140.00 '-75.00 25 .00 450.00 6,195.00 2,500.00 50.00 450.00 50.00 140.00 475,00 25.00 4.50.00 375 .00 6,215 ,00 TOWN OF MAMAROHECK - SEWER DISTRICT NO. 1 1942 BUDGET REQUIREMENTS DEBT SERVICE PRINCIPAL 1 . Sewer District No. 1 Bonds (1st Issue ) Nos . 101 to 105 incl . , dated July 1, 1921, due July 1 , 1942. 5,000.00 2. Sewer District No. 1 Bonds ( 2nd Issue ) Nos. 81 to 84 incl. , dated July 1 , 1921, due July 1, 1942. 4,000.00 3. Sower District No. 1 Bonds ( 6th Issue ) Nos .53 to 56 incl . , dated January 1, 1924, due Jan.1,1942. 4,000.00 4. Serer District No. 1 Bonds (7th Issue) Nos . 37 to 39 incl . , dated January 1, 1925, due January 1 , 1942. 21500.00 5. Sewer District No. 1 Bonds (8th Issue ) Nos . 49 to 52 Incl . dated , July 1, 1925, due July 1 ,1942. 40000.00 6. Sewer District No. 1 Bonds (9th Issue) Nos . 23 and 24 dated July 1, 1926, due July 1 , 1942 . 2,000.00 7. Sewer District No. 1 Bonds (11th Issue ) Nos . 77 to 87 incl : , dated February 1 , 1931, due February 1 , 1942. 11,000.00 _ 8. Sewer District No . 1 Bonds (13th Issue ) Nos. 26 to 30 incl. dated April 15, 1932, due April 15, 1942• 5,000.00 9. Sewer District No. 1 Bonds (12th Issue ) Nos . 97 to 112 Incl . , dated. June 15, 1931, due June 15, 1942. 16,000.00 INTEREST 10.. On 630,000 6/ Sower District No. 1 Bonds (1st Issue) dated July 1 , 1921, duo July 1,1942 . 1,800.00 11 . On $40,000 6% Sower District No. 1 Bonds (2nd Issuo ) dated July 1, 1921,due January 1 and July i , 1942. 2,400.00 12. On ;;$50,000 4 3/4% Sower District No. 1 Bonds (4th Issue) dated January 1 , 1923, due January 1, and July 1, 1942. 2,375.00 13. On $128,000 4 1/2o Sewer District No. 1 Bonds ( 6th Issue ) dated January 1 , 1924, due January 1, 1942 and on $125,000 due July 1 , 1942. 51670.00 (Continued) -32- TOPIN OF MAMARONECK - SEWER DISTRICT NO, 1942 BUDGET REQUIREMENTS DEBT SERVICE (Continued) 1- 14. On $70,000 4 1/4% Seder District No. 1 Bonds (7th Issue) dated January 1 , 1925, due January 1 , 1942 and on $67,500 duo July 1 , 1942 . 2,921.87 15 . On $92,000 44 1/4% Sower District T:To . 1 Bonds (8th Issue ) dated January 1 , 1925, due January 1 and July 1 , 19412. 3 910.00 s 16. On `$58,000 4 1/2% Sower District No . 1 Bonds ( 9th Issue) dated January 1 , 1926, duo January 1 and July 1 , 1942 . 20610.00 17. On $150,000 4 1/-1% Sevier District TTo. I Bonds (10th Issue ) dated January 1 , 1927 , due January 1 and July 1 , 1922. 6,375.00 18. On $359,000 4.20% Sewer District No. 1 Bonds (11th Issue) dated February 1, 1931, due February 1, 1942 and. on x')3448,000 duo Aug.1,1942. 14,847.00 19 . On $150,000 6% Sevier District .To. 1 Bonds (13th Issue ) da.tod A;:)ril 15, 1932, due April 15, 1942 and on duo October 15, 1942. 8,850.00 20. On $100,000 4 1/2% Sevier District No. 1 Bonds (3rd Issue) dated June I , 1.922, due June 1 and Deco:abcr 1 , 1942. 4,500.00 21. On $544,000 4.10% Sewer District No. I Bonds (12th Issue) dated June 15, 1931, due Juno 15, 1942 and on 528,000 duo Docombor 15, 19,12 . 21 ,976.00 Total 131,734.87 -32- TOWN OF MAHARCHECK MAMARONECK VALLEY SEWER DISTRICT 1942 BUDGET REQUIREMENTS DEBT SERVICE PRINCIPAL 1 . Sewer Funding Bonds of 1933, Nos . 111 to 130 incl . , dated February 1 , 1934, duo February 1 , 102. )20,000.00 INTEREST 2. On $59,000 5 1/2% Sower Funding Bonds dated Fobruar 1 , 1934, due February* 1, 1942 and on $39,000 duo August 1 , 1912. 2,695,00 p22,695.00 -33- TOWN OF MAMARONECK SPECIAL ASSESSMENT DEBT SERVICE 1942 BUDGET REQUIREMENTS 1. MAPLE HILLS - PART I - STREET IMPROVVIEIT Interest and amortization on bonds issued pursuant to Chapter 5--149, of Laws of 1926 as amended. 1942 Principal - 'due December 1, 1942 60000.00 Interest - 4 1/S% - due June 1 and December 1 , 1942. 810,00 Total 9,6,810.00 2. MAPLE HILLS - PART II - STREET IMPROVEMENT Interest and amortization on bonds issued pursuant to Chapter 549 of Laws of 1926 as amended . 1942 Principal - due May 1 , 1942 6 5,000.00 Intorest - 4 1/4' - due =;Iay 1 and Hovomber 1 , 19,12. 956,25 Total 915,956.25 3 . MYRTLE AND MADISON AVENUES STREET IMPROVEMENT Interest and amortization on bonds issued pursuant to Chapter 549 of Laws of 1926 as amended. 1942 Principal - duo December 1, 1942 interest - 4 1/2% - due June 1 and December 1, 1942 Total -3°1- 1,000.00 5 -0.00 xA ,540.00 expenditures for the several departments, offices and other town and special district purposes for the year 1942; and WHEREAS, notice of the completion and filing of said tax budget and calling a public hearing thereon has been duly published on November 29th, 1941 and December 6th, 1941 in the Daily Times, Mamaroneck, on December 4th, 1941 in the Larchmont Times, in the manner required by law; and WHEREAS, a public hearing upon said tax budget was duly held by and before this Board, December 10th, 1941; and WHEREAS, this Board has duly considered the protests and objections made against certain items contained in said tax budget, and considered separately all the items contained in said tax budget NOW, THEREFORE, BE IT RESOLVED, that the final estimates, as completed by the Town Board and filed in the office of the Town Clerk, be and the same hereby are adopted as the budget for the year 1942, pursuant to the provisions of the Town Law and that said estimates, as so adopted, be entered in detail in the minutes of this Board as follows: (Insert Budget) and it is further - RESOLVED, that the annual budget estimates of the expenditures of the Town of Mamaroneck for the fiscal year 1942, be adopted and confirmed and that the 'Town -' Clerk be and he hereby is directed to enter the same upon the minutes; and that the sums of money herein- after stated are hereby appropriated from the current revenues, as provided by law, for the offices, depart- ments, boards, commissions and purposes hereinafter enumerated for expenditure in the manner directed by law, to wit: (1) GENERAL TOGN PURPOSES Town Offices $ 6,450.00 Supervisor 91360.00 Town Clerk 3,670.00 Elections 4,377.00 Comptroller 4,636.00 Receiver of Taxes 8, 540.00 Assessor 95225 .00 Law 9,211.00 Foreclosures and Certiorari costs 81500.00 justices of the Peace 51082.00 Contributions and Donations 500.00 Highways 13,600.00 Engineer 3,300.00 Public Welfare 120,448.00 Idiscellaneous Expenditures 10,703 .00 Debt Service (State and County, Highways and General) 2259568.25 tn Total 170.2 443, 5 (2) FOR PURPOSES IN TOWN OUTSIDE OF THE VILLAGE OF LARCMJONT AND MAMARONECK Board of Appeals 615 .00 Building and Plumbing Department 22270.00 Highways 20,000.00 Police $ 683516.17 Miscellaneous 10,705 .00 Debt Service lHi,ghvaays & Drains) 60 ,264.00 Total $162,370.17 (3) GARBAGE DISTRICT NO. 1 Garbage Collection 13,110.00 Garbage Incineration and Disposal 85380.00 Debt Service 7 ,046. 50 Total 28,536. 50 (4) PARK DISTRICT NO. 1 Operating charges 8,861.00 Debt Service 25 ,379.25 Total 34,240.25 (5) FIRE, LIGIITING AND WATER SUPPLY DISTRICT NO. 1 Weaver Street Fire Department 22,891.00 Street Lighting 15,000.00 Hydrant Rental 125000.00 Debt Service (Water Distribution System) 49 ,984.00 Total 99,875 .00 (6) SEWER DISTRICT NO. 1 Operating 61215.00 Debt Service 131,73L..87 Total 137,949.87 (7) MAMARONECK VALLEY SEWER DISTRICT Debt Service 225695.00 County Levy (to be determined by the Board of Supervisor) - Total 22,695 .00 (8) MILITARY, JUDICIAL AND COUNTY LEVY County Levy for 1941 (to be deter- mined bar Board of Supervisors of Westchester County) - - (9) SPECIAL ASSESSMENT DEBT SERVICE Maple Hill, Part I. Street Improve- ment, Chap. 549, Laws of 1926 6,810.00 Maple Hill, Part II, Street Improve- ment, Chap. 549, Laws of 1926 5,956.25 Myrtle & Madison Avenue Street Im- provement, Chap. 549, Laws of 4,540.00 1926 Total 17,306.25 GRAND TOTAL , $946,143 .29 and it is further RESOLVED, that for the fiscal year 1942, the sums hereinafter set forty, and for the purposes listed below, be levied, assessed and collected upon the taxable properties of the Tovm of IUiamaroneck and properties in the Town of Mamaroneck outside of the Villages of Larchmont and Mamaroneck, the pro- perties of the several districts specified below including idamaroneck Valley Sewer District, and the several parcels of taxable property, franchise assessments and persons within the Tovin and within such special districts, and that the various assess- ments for sewer, sidewalk, street and other improvements listed below and contained in the various assessment rolls and books of the Town of Mamaaroneck, the instalment assessments of which become payable in the year 1942, be extended on the Tax Roll of the Town of Mamaroneck against each of the several parcels affected by such assessments, or parts thereof, to wit: For General Town Purposes as mentioned and described in the foregoing budget $443,170.25 Less estimated revenues 153 ,650.00 Total Levy for General Town Purposes For Military, Judicial and County Levy To be determined by Board of Supervisors of Westchester County - For Town Purposes outside the Villages of Larchmont and Mamaroneck as mentioned and described in the foregoing tax budget: For Highway Purposes : (including drains) Repairs & Improvements $20,000.00 Debt Service 60,264.00 $80,26L.00 Less: Estimated State Aid 800.00 79,464.00 For other purposes outside of the villages $82,106.17 Less estimated revenues 9,800.00 72,306.17 Total Levy for Town outside of Villages 289, 520.25 $151,770.17 DISTRICT LEVIES: Fire, Lighting and Water Supply District No. 1 Street Lighting ; 15,000.00 Weaver Street Fire Dept. 22,891.00 Hydrant rental 12,000.00 Debt Service (water Dis- tribution System) 49,984.00 99,875 .00 Less estimated revenues 491984.00 Total Levy, Fire, Lighting & Water Supply District No. 1 49,891.00 Garbage District No . 1 Garbage Collection 13,110.00 Garbage Incineration and Disposal 8080.00 Debt Service 7 ,046. 50 Total Levy, Garbage District No. 1 28, 536.50 Park District No . 1 Operating charges 81861.00 Debt Service 25 ,379.25 Total Levy, Park District No. 1 341240.25 Sewer District No. 1 Operating charges 6,215 .00 Debt Service 131,731,.87 Total Levy, Sewer District No. 1 137,949.87 i Mamaroneck Valley Sewer District Debt Service 22,695 .00 County Levy for 1942 (to be deter- mined by Board of Supervisors of Westchester County) Total Levy, Mamaroneck Valley Sewer District, exclusive of County Levy 22,695.00 Amount necessary to amortize and pay interest on the bonds issued for street improvements during the year 1942, which sums have been apportioned and charged against the various lots and parcels of land liable to pay the same in accordance with the statute, pursuant to which such improvements were mad. and such bonds issued, A statement of the lots or parcels of land liable to pay the same and the amount chargeable to each is hereby attached and marked Exhibit "A" Myrtle & Madison Avenue Street Im- provement, Chap. 549, Laws of 1926 `e4, 540.00 Maple Hill, Part I. Street Improve- ment, Chap. 549, Laws of 1926 65810.00 iulaple Hill, Part II, Street Improve- ment, Chap. 549, Laws of 1926 5 ,956.25 Total Levy of Special Assessments 17,306.25 GRAND TOTAL (exclusive of Mili- tary, Judicial, County and Mamaroneck Valley Sewer County Levy) $731,909.29 and it is further RESOLVED, that pursuant to the provisions of Chapter 654 of the Laws of 1927 as amended and the provisions of Article 12 of Chapter 61 of the Consolidated Laws, known as the Town Law as amended, there be levied against the several lots and parcels of land contained upon the statement hereto annexed and marked Exhibit "B" the several sums set opposite each such parcel or lot of land on such statement as and for unpaid water charges due upon said lots or parcels, which said sums shall be placed in a separate column of the Tax Roll of the 'Porn of Mamaroneck, under the name "tilater Rents"; and it is further RESOLVED, that the Town Clerk be and hereby is authorized and directed to deliver to the Supervisor a copy of said tax budget and a transcript of the minutes of this meeting, duly certified, and to transmit to the Clerk of the Board of Supervisors of Westchester County, a duplicate copy of said tax budget and transcript of the minutes of this meeting, also certified, as provided by Section 116 of the Tovm Law. After being seconded by Councilman Griffin, a vote was taken _ upon the foregoing resolutions and after roll call the vote was announced as follows : AYES: Supervisor McCulloch Councilmen: Bates, Meginniss, Mandeville and Griffin NOES: None The Supervisor explained that the funds for the Defense Council were not sufficient now since war had been declared on December 8, 1941. He said that there would be blackouts and that the Town would have to be ready for any emergency and that supplies and materials would have to be there when needed. Councilman Meginniss stated that no doubt there would be some legislation passed to permit the towns to finance the cost of materials and supplies. Councilman Mandeville stated that there would be many changes in the law, including the welfare law. He said that all that are able to should be made to do their part, as there will be plenty of work to be done. - The Supervisor stated that he had received a request from the Defense Council for the services of a paid secretary. He said that the work required full-time attention and that the Council had -" recommended Mrs. Eleanor W. Kay, 4 Spruce Road, Town. On motion by Councilman Bates, seconded by Councilman Mandeville, it was unanimously RESOLVED, that TMrs. Eleanor W. Kay be and she hereby is appointed as secretary of the Defense Council of the Town of Mamaroneck to serve at the pleasure 'of the Town Board at a salary of $100.00 per month. The Supervisor stated that he might be called upon to do many things in a hurry during the emergency and asked the Board to bear with him, as there was no way to determine what would be necessary. The following reports were received and filed: (1) Report of the Town Clerk for the month of November; and (2) Annual Report of i1liamaroneck Health Center for 1941.