HomeMy WebLinkAbout1933_01_06 Town Board Minutes 41
9DJrUPN7D Y27TITG 07 TH7 TOW Y BOA-RD
To 7717 OF IJ–TAH-,ROTS 7 CK, N. Y.
hQ? January 6th , 1933
The meeting was called to order by Supervisor Burton
at ? ;25 P. Y.
Present : Supervisor Burton
Justices B0701 Leeds , •eesersmith and Burbank
Tc7n Clgrk 1'lO• 75n
Suvervisor Burton state? thst the Board had met 7ursuant
to adjournment taken at the hearing held on January 4, 1933 , for the
purpose of further considering the ten budget for the year 1933x
The Board thereupon n7oneefeV to consider the protests and
objections made by those who addressed the Word at the hearing held
on January 4, ION
The various items contained in the tax budget 7ere then
considered item by item, and after a thorouvb discussion had thereon
Justice Boya offered for Plortion the follonring-
747FTIS , thin Board has horntafore mode , compiled and filed
–ith the ToTn Clark a tax budget containing the estimated probable
revenues and estimated ex-oonditures for the several departments ,
offices ?no other to–n end, snecial distridtF ou=o7ss for the year
19!37 and
TH7R7AS , notice of the completion ani filing of PW tax
budget an? calling a public hearing thereon has been duly posted and
oublishad in the manner reouired by V-7 end
WH7R74S9 a rublic hearing upon said tax budget -Ps duly
held by and before this BoFrO on JarUP177 4, 1933 .- and.
=WAS, this Board has duly considered tin protests and
objections made against certain items contained in spQ tax budget ''
consitered , sep—tell, all the items contained in sFiQ twx budget
and hos rejects? P& reduned certain estimated expenditures in said
budget ccn7JP !ned ,-
Y07, TMRM17 , it is
WSOLWD that the tax budget of the To7n of
WmFionwh for the year 1933 , c:ntyining the
estimnled revenues and ex-oonditures for the
several deyartments . offices , specini districts ,
and other la7ful purposes , as amended, Dreppred
and compiled pursuant to the orovisionot of
Article 6—F, of the To,--m LF,j is PY the same
hereby is in oil res7ects Morteol and it is
further
RFS0177D, that there be levied and assessed against
the taxable property situated in the Tor of
Yan?ronech, for general to, n purposes mentioned anal
described in the annexed d -07 budget, and collected,
the sum of 893 ,691.53 : and it is further
RFS0177D, that there be levied and assessed against
the
e taxable Y–opery sivat
ted in the To–n of
Yaozrowck, outside of Ve Villpge of Urchmont ant.
MFmpronwk, for the yuryoseq montnowd F& described
in the RnnFned tax budget, and colincted. the sum,
of 8101"A9. 06 : onr it is further
43
R7SCIVTD, that there be levied and assessed against
the taxable property situated in the special districts
hsrainafter named , —ithin the To7n of 1 7v==ch for
the sur-noses mentioned and described in the annexed
tax bullet, PiA collected, the sums of money set
opposite each special district, reFpFctivelyo to -it -
For surroses affecting
Distric! No. 1 800 ,153. 46
Pay ou7joges affecting
Dint7lot yo, 2 2'800so
For VU "y osss affecting
Sewer District No. 1 99 . 858. 13
The ouestion of the adoption of the foregoing resolutions
Tas out to a vote —hich resulted as follo• s :
AY7S: Suvervinor Burton, Justices Boyd ,
leedej Mersersmith and Burbank,
To—r Clerk Marvi-n,
No-es : None
The chFir declared the resolutions dulv w3coted.
AV it in further
R7SCIAD, th7t the To• Clerk be Y& hereby is
2UthorizEd and directed to deli-er to the
Suoervisor a copy of said t budget and a transcript
of the minutes of this me6ting, duly certified,
Yn§ 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 thin meVing, also certifieds as provided
by Section 148 of the Tonn law.
The ou5stion of the adoption of the foregoing resolution
was put to 2 vote which resulted as folloTs .-
Ayes : Sim
Yogis ; None
The Choir declared the resolution duly adcuted.
The folloning is a copy of the estimated revenues and
expenditures for the year 1933 as finally adopted by the To7n Board.
(TPXT CF BUD17T ATTACHM H7R7W!TH)
In voting for this resolution Justice Yessersnith stated
that he desired tD go on record in favor of a sliding scale cut in
nFlFrOs instead of the irregular scale actually in effect.
Justice Burbank announced that he wished to make the
game st-tement,
Tlocr, r2ctfon by Justice Burbank, seconded by Justice
Messersmith, it Tay unenimousi-y
RFSOIVFD, that a Public Hearing by end before this Town
Board be held on WednesWay , Anuary filth, at 8:39 P.H.
in the anditorinoi of the Weaver Street Fire House , at
which time the Tc7n Board and the heads of the several
departments of the To7n government mill be ' resent an
to -hich • M be invite? all the taxpayers 7ho orill be
given any Information they desire in regn7d to the Budget.
Uoon motion Aulv made and seconned , th- Boa rO unanimously
resolved to edlovon at 5 :30 F.H�
TOWN 0 F II AMA ? ONE C K
ADOPM, AX BUDGET
FOR 1933
000
i
CONTENTS
Schedules Page
General Town
Revenues 1,2
Department of Printing and Publishing 3
Department of Elections 4
Contributions and Donations 5
Department of Village Police Magistrates 6
Debt Service 7,8
Town Offices 9
Town Hall 10
Department of Supervisor 11
Department of Town Clerk 12
Department of Justices of the Peace 13
Department of Receiver of Taxes 14
Department of Assessors 15
Department of Public Welfare 16
Department of Town Board of Auditors 17
Department of Law 18
Department of Highways 19
Miscellaneous Expenditures 20
Outside of Villages
Department of Printing and Publishing 21
Contributions and Donations 22
Department of Health 23
Department of Building Commission 24
Department of Board of Appeals 25
Department of Highways 26
Department of Highways - Debt Service 27 ,28
Police Department 29
Department of Street Lighting 30
District No. 1
Fire District No. 1 31
Fire District No. 1 - Debt Service 32
Park District No. 1 33
Park District No. l - Debt Service 34
Garbage District No. 1 35
Water District No . l - Debt Service 36137
District No. 2
Garbage District No. 2 38
Fire District No . 2 39
Sewer District No. 1
Department of Sewer District No . 1 40,41
Department of Sewer District No. 1 - Debt
Service 42,43,44
Miscellaneous
Summary of Proposed Tax Levy 45
Assessed valuation and miscellaneous 46
information
REVEIMES OTHER THAN TIES
Estimated for Estimated for Amount
1932 1933 Allowed
ENTIRE TOWN
Earnings of Town Clerk 200.00 - - - - - -
Interest and penalties
on taxes 40,000.00 35 , 000 .00 35,000 .00
Interest on bank deposits 2,500.00 1 ,500 .00 1,500.00
Tustices4 fines 2,000.00 1, 000 .00 1,000 .00
Sustices' fees in civil
actions 1,000.00 2 ,500.00 2,500.00
Income tax Sec. 382 Tax Law 40,000 .00 25 ,000.00 25 ,000 .00
Miscellaneous Revenues
1. Refund under Wickes
Law (FIome Relief) - - - 12 ,000.00 12,000 .00
2. All other - - - 1,000.00 1,000.00
Total 85 ,700 .00 78 ,000.00 78 , 000.00
TOIT3 OUTSIDE OF VILLAGES
Bank tax - Sec . 219 nn Tax Law 1,500.00 - - - - - -
Dog Licenses 700.00 800.00 800.00
Fees , Building Commission 2 ,000.00 600. 00 800 .00
Franchise taxes 600.00 600.00 600 . 00
1ercantile and manufacturing
taxes - Sec . 219 h -
Sub. 6 Tax Law 1,500.00 200 .00 200 .00
I,ortL,age tax Sec. 261 Tax Law 10 ,000.00 5 ,000 .00 5 ,00`-_ ,'u
Earnings of Town Clerk 800.00 _ 000._00 900 , 00
Total 17,100.00 8 ,300 .00 6,300.00
- 1 -
REVEI_N�'S OTFIER T 212,T T_ HS - Cont.
Estimated for Estimated for Amount
1932 1933 Allowed
ESTI➢_A.TED FUNDS
Available for general
town purposes - - - 18,075.45 18,075.45
Available for town,
outside of villages 362000.00 16 ,957.74 16,957.74
Available for
District No. 1 purposes - - - 879.04 879 .04
Available for 40 , 000.00 40,000 .00
Sewer District No. 1 purposes
2 _
D%PaRTEIT OF PRINTING ATD PLiLSS E G
1932 Estimated expendi- amount
appr. tures for 1933. appropriated
General Town - 1
PUBLIC NOTICES,
ORDINANCES AND REPORTS
Town Board - audited
'Down accounts , etc. 0250.00 250.00 ;50.00
Supervisor $175.00 125 .00 1:5. 00
Town Clerk 0100.00
Receiver of Taxes 1?500.00 500 . 00 500. 00
Assessors X25.00 50.00 50.00
Total $1,050.00 0925 .00 925. 00
3 -
.. ......... ...
DEPARTEENT OF ELECTIONS
1932 Estimated expendi- Amount
Appro. tures for 1933 Appropriated
General Town - 2
SERVICES - PERSONAL,
Salary of Custodian of
voting machines*
Salary of Inspectors for:
(a) Spring Primaries 528.00
(b) Fall Primaries 528.00 480.00
334. 00
( c) Registration 1,440.00 1,600.00 ly<', c.oc
(d) General Election 896.00 620.00 416.6
CURRENT CHARGES
Other exroenses including
stationery, supplies ,
transportation, moving
machines and distributing
supplies 850.00 700 .00 704. 00
Publishing Notices 75.00 200 .00 200.00
Rent of Polling Places
and equipment 675.00 350 .00 050.00
New Equipment _ 100 .00 100. 00
Total 14,992.00 14, 050.00 0 3x510.00
* The duties of this office
trill, be performed by the
Town Clerk without additional
salary.
_ 4 _
CONTRIBUTIONS AND DOIIATIOITS
1932 Estimated exoendi- Amount
Appro. tures for 1933 Appropriated
General Town - 3
American Legion, 2 Posts )
`, 200 .00 X150.00 150°00
Veterans of Foreign Wars)
Rental of Post Quarters
(3 Posts ) - - - 600.00 100° 0Q
Total $200.00 $750,00
5 -
DEP9RMENT OF VILLAGE POLICE R%AGISTRATES
1932 Estimated expendi- Amount
Appro . tures for 1933 Appropriated
General Town - 4
POLICE TIAGISTRATES
IIi VILLAGES
Stenographic charges 3150.00 $ 125.00
Fees in criminal cases 31000.00 2,500.00 , 500. 003
Total 3 ,150.00 '2 ,625.00 : 9625.00
- 6 -
DEBT SERVICE - GENERAL TOWN
1932 1933
Appropriation Appropriation
General Town -5
--- HIGH71AY IMTROVFMGNT BONDS
1. Weaver Street Part 1
County Highway Improve-
ment bond #7 , dated
June 1st , y922 due
June lst. X1,000.00 $1,000.00
2 . Weaver Street Improve-
ment bonds Nos. 3 and 4,
dated Sept. 1, 1927 , due
Sept . 1, 1933. 2,000.00 2,000 .00
3. Street Improvement Bonds
Nos . 2 and 3, dated February
lst, 1931, due February 1st ,
1933. 1,928.94 2,000 . 00
4. Boston Post Road Improve-
ment Bonds No. 1 to 15 Incl.
dated April 15 , 1932, due
April 15 , 1933. 15 ,000.00
5. Boston Post Road Improve-
ment Bonds No. 1 to 13 ,
dated June lst , 1932, due
June 1st, 1933. 12,983.00
INTEREST
6. Interest on $8,000 .00 50
Weaver Street Part 1 County
Highway Bonds payable June
lst and December 1st . 450.00 375.00
7. Interest on $32,600.00 42
Weaver Street Improvement
bonds dated September lst,
1927, due March lst and
September lst. 1,557.00 1,467.00
8. Interest on $8900.00 4F
Weaver Street Improvement
bonds dated February 1st,
1928, due February 1st and
August 1st. 400.50 400.50
9 . Interest on $20,000.00 44;
Street Improvement bonds ,
dated February 1st, 1931,
due February let , 1933 and
August lst, 1933. 1,356.98 807.50
Total (Cont . ) 8,693.42 X36,033.00
7 -
DEBT SERVICE - GENERAL TO"M - Cont.
1932 1933
Appropriation Appropriation
General town - 5
( carried forward) 38,693.42 $36,033.00
10. Interest on
3315 ,000.00 60
Boston Post Road Im-
provement bonds dated
April 15, 1932, interest
due April 15, 1933 and
October 15 , 1933, - 18 ,450.00
and also for interest
paid October 15 , 1932 91450.00
11. Interest on $232,983.00
6% Bonds , Boston Post
Road Improvement, dated
June lst, 1932 , Interest
due December 1st, 1932 - 6 ,989.49
Interest due June lst,
1933 and Dec. 1st, 1933. 132589.49
Total $ 8, 693.42 ij84,511.38
i
TOVM OFFICES
1932 Estimated Expendi- Amount
Appro > tures for 1933 Appropriated
General Town - 6
Janitor $600.00 $ 540 .00 $ 540.00
Office Assistant 1,320 .00 1,200.00 1,200 .00
SERVICES - CONTRACTUAL
Rent of Board Rooms 1,800.00 2 ,400 .00 9400.00
Furnishing electricity L(^10
250.00 250 .00 0 0
Telephone service 800.00 850 .00 1- 150.030
CURRENT CHARGES
Stationery, supplies
and Miscellaneous 100.00 225.00 25°00
PROPERTIES
Office Equipment 250.60 200.00 00. 00
c)6
9
Total $5,120.00 $5 , 665.00 r`� fj. .
`°`' •.00,
- 9 -
TOWN HALL
1932 Estimated Expendi- Amount
Appro. tures for 1933 Appropriated
General 'Down - 7
TO IT HALL
Tanitor service $900.00 0660.00 $660.00
Fuel 400.00 200.00 200mOO
Repairs and miscel-
laneous expenses 200.00 600.00 600.00
Telephone 60.00 60.00 0 0. 00
Light and water 135.00 135 .00 135. 00
Total $1,695®00 $1, 655.00 1ga .00
10 -
DEPARTMENT OF SUPERVISOR
1932 Estimated expendi- Amount
Appro. tures for 1933 Appropriated
General Town - 8
SERVICES - PERSONAL
Salary of Supervisor $9,600.00 $8,400.00 $8 ,400.00
Salary of Secretary to
the Supervisor 3,600 .00 3,400.00 3,400.00
Salary of office
assistant 2,280.00 2,100.00 2,100.00
COTZIODITIES
Stationary, postage,
ledger, cash books
and supplies 500.00 300.00 2310. 00
CURRENT CHARGES
Surety, depository and
highway bonds $2,500.00 17000.00 10000. 00
Traveling expenses 500.00 350.00 'SC. 00
PROPERTIES
Office Equipment 200.00 100 .00 --
Total 19 ,180.00 15,650.00 15,400.00
- 11 -
DEPARTS,= OF TOWN CLERK
1932 Estimated Expendi- Amount
Appro. tunes for 1933 Appropriated
- General To T wn - 9
SERVICES - PERSONAL
Salary of Town Clerk * $4,800.00 $4,000.00 $4,000 .00
Salary of General
Office Assistant 1. 700.00 1,560.00 1,560.00
COLDIODITIES
Postage, stationery
and blanks 250.00 150.00
CUR=TT CITARGES
Surety bond 10.00 5.00 5®00
Total , 6 , 760 .00 '5 , 715.00
* The Town Clerk shall also
perform the duties of Custodian
of Voting Machines and those of
Registrar of Vital Statistics
without additional salary.
- 12 -
i
i
DEPARTTENT OF T[7STICES OF 112 PEACE
1932 Estimated eapen- Amount
Appro. ditures for 1933 Appropriated
General Town - 10
SERVICES - PERSONAL
Salary of four Justices $14,400.00 $ 9,600.00 $ 9 ,600.00
CO.T.SIODITIES
Stationery and office
Supplies including blanks
and consolidated laves 600.00 200 .00 49100
RE ITT
Tustices' Court Rooms 1,800.00 1,380.00 7: 0. 00
_ CURREITT CHARGES
Surety bonds 20.00 10.00 10, 00
Telephone 240.00 240.00 41f0oO0
Stenographic charges
in criminal cases 200 .00 200 .00 200,00
Total 017 ,260.00 X11,630 .00 10,970®00
13 -
DEPARTMENT OF RECISIVER OF TAXES
1932 Estimated expen- Amount
Appro. ditures for 1933 Appropriated
General Town - 11
SERVICES - PERSONAL
Salary of Receiver
of 'Faxes * $6,750.00 $6,400 .00 $6,400.00
COMAODITIES
Stationery, stamps and
supplies including tax
bills 11175,00 1,165.00 1,1;:.;,.5. 0C,
SERVICES - CONTRACTUAL
Surety bond and theft
and hold up policy 350.00 900 .00 9O .GO
Total $8 275.00 $8 ,465.00
00
* The amount allowed to the
Receiver of Taxes for salary
includes the compensation
which he pays to his Deputy.
- 14 -
I
DEPARTENT OF ASSESSORS
1932 Estimated expen- Amount
Appro. ditures for 1933 Appropriated
General Town - 12
SERVICES -. PERSONAL
3 Assessors, Salaries 38,700.00 7 ,800.00 $7,800.00
Services of Engineer in
correcting maps 1,000.00 200.00 "00.00
SERVICES - CONTRACTUAL
Transfer and mortgage
slips 250.00 150.00 15 ?. 00
C 03vIIi0DI TIES
Printing and binding
assessment rolls 500.00 450,00 450.00
Stationery, postage
and supplies 155.00 75.00
CURRENT CHARGES
Traveling expenses
including vehicle hire
for field work 300.00 300.00 300.00
Total $10,905.00 ,975 .00 00
15 -
l
i
DEPARTMENT OF PUBLIC WELFARE
1932 Estimated expen- Amount
Appro. ditures for 1933 Appropriated
General Town - 12
SERVICES - PERSONAL
Salary of Public Welfare
Officer $2 ,100 .00 $1,800.00 $1,800.00
Salary of assistant
Welfare Officer 1,200.00 1,140.00 1,140.00
Temporary Emergency
Employees 2,500 .00 2,500 .00
CURRENT CHARGES
Office expenses including
stationery and supplies 200.00 500 .00 aOG,OO
Expenses in connection
with Emergency Relief 1,250 .00 15.-50.00
_Requirements for Work
Relief program 3,500.00 5, ,500®OO
SERVICES - COiTTRACTUAL
Telephone 200oOO 350.00 5 0. 00
Rent 600.00 1,200 .00 1,: OC. 00
Appropriation to Larchmont
Unemployment Relief Organi-
zation 300 .00 600.00
Appropriation to h1amaroneck
Unemployment Relief Organi-
zation 300 .00 :500100
POOR :RELIEF $ 20 ,000.00 20,000 .00 L;0,000. 00
Total P 24,300.00 32 ,640-00 3 ;s r340, 00
- 16 -
DEPARTPYENT OF TOIN BOARD OF AUDITORS
1932 Estimated expendi- .Amount
Appro, tures for 1933 Appropriated
General Town - 14
T07—ET BOARD OF AUDITORS
Salary of ;auditors $1,500.00 X1,350.00 $1,350.00
Stationery and supplies 150 .00
Total X1, 650.00 11350 .00 1 • JtA00
17 -
DEPAR ICH NT OF LL7
1932 Estimated expendi- Amount
Appro. tures for 1933 Appropriated
General Town 15 -
SERVICES - PERSOTLLL
Salary of Town Counsel
( for routine matters,
attending meetings and
advising departments of 500.00
Town governments ) $4,200.00 $3,500 .00 3,
Compensation of Special
Counsel and Special
Attorneys 3 ,500.00 1,500 .00
CURRENT CHARGES
Stenographic and
miscellaneous charges 300.00 350.00 6bO0OO
Total $ 8 ,000.00 5,350.00 w,c. r, OC
18 -
HIGHWAY DEPARTMENT
1932 1933
Appropriation Appropriation
General Town - 16
IACHITERY FUND
Purchase and repair of
machinery, tools and .
implements $1,500.00 ,,3,500 .00
si,T AI-D PIIISCELLANEOUS
FUITD
For Salary and expenses
of Town Superintendent 4,500 ,00 4,000.00
For removal of obstruc-
tions caused by snow 2,000,00 2 ,000.00
For other miscellaneous -
purposes including
compensation insurance 3,500.00 2 ,500.00
Total $11,500.00 "$12,000.00
Less funds available - - 12 ,000.00
Amount to be levied X11;500__00 ----
- 19 -
MISCELLANEOUS EXPENDITURES
1932 Estimated expendi- Amount
Appro. tures for 1933 Appropriated
General Town 17
-AUDITING SERVICES
`_mown Audit . all depart-
ments $1,500.00 19500.¢0
TOWN BOARD
Reports , surveys , investi-
gations and traveling
expenses $ 500.00 300 .00 J00. 00
SCHOOL DIRECTORS
Compensation and allowance
for traveling expenses 10.00 10 .00 10.00
CONSTABLES
Premiums on bonds 25.00
BANK SERVICES
Charge of fiscal agents
for payments of principal
and interest on Town
Bonds 1,000.00 750.00 750100
Total $1,535.00 X2,560 .00 29560.00
- 20 -
DEPARMBNT OF PRINTING AND PUBLISHING
1932 Estimated expendi- Amount
Appro. tures for 1933 Appropriated
Outside of Villages - 1
PUBLIC NOTICES, ORDINANCES
_!ND REPORTS
Notices of hearing on
petitions for public
improvements $150.00 $100.00 100. 00
Total $150.00 $100.00 CO* 00
- 21 -
CONTRIBUTIONS AND DONATIONS
1932 Estimated expendi- Amount
Appro , tures for 1933 Appropriated
Outside of Villages - 2
T..archmont Public Library x ,600.00
Sec. 136-d Town Law $3,500.00 $3,500.00
Mamaroneck Child Welfare 18. ,vs0. 00
Association * 1,600 .00 1,450.00
Larchmont Public Health 7j0.00
Association * 780.00 780.00
Total $ 5,880 .00 $ 5,730 .00 5: 7:,0. 00
* Article 3, Section 20-b,
Subdivision 8 Public Health
Law.
22 -
DEPARTMENT OF HEALTH
1932 Estimated expendi- Amount
Appro . tures for 1933 Appropriated
Outside of Villages - 3
SERVICES - CONTRACTUAL
For compensation of
Pound i,asttr ."1,250.00 - -
For food and care of 500.00 4350.00 55
0.
strays
,,Zaintenance and opera-
tion of car 250.00 - -
Total $2,000.00 3350.00
23 -
BUILDING COMMISSION
1932 Estimated expendi- Amount
Appro . tures for 1933 Appropriated
Outside of Villages - 4
SERVICES - PERSONAL
Salary of Building ComM
missioners (2 at $360.00
each and one at $460.00 ) 1,860 .00 1.200 .00 X1,200.00
Salary of Building In- 21600.00 2 ,000 .00 2,000 .00
spector
SERVICES - CONTRACTUAL
Premium on insurance 50.00 40.00 410000
CURRENT CHARGES
Postage, stationery and
office supplies, includ-
ing permits, stenographic
charges , etc . , 400.00 200.00 =00,000
COTeltbiODITIES
Printing and binding
building code 300.00v�� w_
Tonal $5,210 .00 �3,440.00 394 0. 00
24 -
DEPARMENT OF BOARD OF APPEALS
1932 Estimated expendi- Amount
Appro. tures for 1953 Appropriated
- Outside of Villages _ 5
SERVICES - PERSONAL
Salary of Clerk 500.00 360.00 360.00
CURMCIM CIiARGES
Stenographic charges 250.00 - -
Publishing Notices , etc 100.00 50.00 150000
CO^ILIODITIES
Stationery, postage,
printing and supplies 225.00 40 .00 A0000
Total A1,075.00 450.00 450. 00
25 -
HIGIMAY MPARMENT
1932 1933
t�ppro° Appro.
Outside of Villages - 6
HIGH"TAY FUND - ITEM 1
For repairing and
improving highways 37,500.00 27,500.00
26 -
DEBT SERVICE
1932 1933
Appropriation Appropriation
Outside of Villages - 7 __,__� _
F_IGE7AY IlTROVBMPNT BONDS
1. Hurray Avenue widening
bonds Nos. 7 and 8 , dated
February 1, 1926, due
February 1, 1933. $2,000 .00 $2,000.00
2. Highway Improvement bonds
Nos . 19 - 27 inclusive,
(T,Zurray Avenue Improve-
ment ) dated June 1, 1930,
due Tune 1, 1933 91000.00 9 ,000.00
3. Chatsworth Avenue Improve-
ment bond No. 10 , dated
Sept. It 1913, due Sept .
lst , 1932. 1, 000.00 - - -
4. Highway Improvement bonds
Nos. 4-6 inclusive, dated
Sept. 1, 1927, due Sept. lst
1933. 3,000.00 31000 .00
5. Highway Improvement bonds
Nos. 41-50 inclusive , dated
Oct, 1, 1928 due October lst ,
1933. 10,000.00 10 ,000.00
INTEREST
6 . Interest on $42,000 4-//o
Murray Avenue widening bonds
for 6 months due February lst ,
1933 and on $40,000.00 for
6 months due August 1, 1933. 1,935.00 1,845.00
7. Interest on $162,000.00-4.30%
Highway Improvement, (Murray
Avenue ) bonds for 6 months
due Tune 1, 1933 and on
$153 ,000.00 for 6 months due
December It 1933. 7,159.50 6, 772.50
8. Interest on $1, 000 .00 5%
Chatsworth Avenue Improvement
Bond No. 10 due March and
September It 1932. 50.00 - -
9 . Interest on '9'42,000.00 42'-`%0
Highway bonds dated Sept . 1st
1927, due March and Sept . 1st,
1933. 2,025.00 1,890.00
- 27 -
..... ..___......._.... ......
DEBT SERVICE - Cont.
1932 1933
Appropriation Appropriation
Outside of Villages - 7 (coat. )
10 . Interest on $160,000.00 4-11-%
Highway Improvement bonds
dated October 1; 1928 due
April lst and October lst,
1933° 79650.00 $ 7..200.00
11. Interest on $225,000.00 40
Highway Improvement bonds
dated May 1; 19299 due May
1st and November 1, 1933. 10,125.00 10,125 .00
Total $ 53,944.50 , 51,832.50
28 -
. ......... ... .
POLICE DEPART1ENT
1932 Estimated expendi- Amount
Appro. tures for 1933 Appropriated
Outside of Villages
SERVICES - PERSONAL
Salary of Captain of
Police 3,800®00 $3,515.00 $ 3,5115.00
Salary of 4 sergeants 11,200.00 10 ,360 .00 10,360.00
Salaries of patrolmen 38, 720.00 33,855.00 33,855.00
Salary of janitor 1,200.00 900 .00 900.00
SERVICES CONTRACTUAL
TeleDhcue service and
rental of alarm system 2,400.00 2,400.00 `='00. 00
Traffic signals 1,650.00 1, 650.00 196c0.00
CURRENT CHARGES
Coal and fuel oil 350.00 300 .00 30O. O0
Gasoline and oil 1,600.00 1,000 .00 1,00o°00
Car and motorcycle repairs 1,200.00 900.00 900100
Insurance premiums includ-
ing liability and compensa-
tion 1,850.00 1,500.00 19v00.00
Building maintenance, water
and electric lights . 250.00 125.00 1-'5. 00
Medical attendance, temporary 19,300. 00
employees , etc . , 1,400.00 1,600.00
COM AODITIES
Stationery and supplies 300 .00 150.00 111"0°00
Station house equipment 100.00 50.00 50, 00
Clothing 1,000.OG 800.00 800.00
Firearm equipment 300.00
Cars , motorcycles and 500000
bicycles 900.00 500.00
Investigation and routine
expense 500.00 - - --
Total $68,720.00 592605.00 59,60_5000
- 29 -
DEPARTbENT OF STREET LIGHTING
1932 Estimated expendi- Amount
Appro. tures for 1933 Appropriated
Outside of Villages - 9
ERVICES - CONTRACTUAL
Rental of street lights X20,000.00 X20,000.00 r10,000,00
Total $20 ,000.00 20 ,000.00 ` 100 0.00
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FIRE DEPARTIVIENT
1932 Estimated expendi- Amount
Appro. tures for 1933 Appropriated
District 1 - 1 ___
SERVICES - PERSONAL
Salaries of four firemen $8,230.00 $70870.00 X7,870.00
Janitor service 600.00 480.00 480.00
_SERVICES - CONTRACTUAL
Light and power 1,150.00 600.00 vO0.00
Telephone 120.00 200.00 1100.00
Water 140.00 100.00 100. 00
Insurance 2,000.00 2 , 750.00 w,^wfl. 00
C0,1110DITIES
Equipment 13000.00 11750.00 197 ra o. 00
Furnishings 50.00 50.00 50. 00
CURRENT CHARGES
Repairs to equipment 500.00 500.00 500600
Repairs to building 250.00 250 .00
21-15,0. 00
Oil burner and fuel 850.00 1,000.00
10000.00
Gasoline, oil, lubricants 600.00 800.00 800.00
FIRE HYDRAA?TS
Rental of fire hydrants 13,000.00 13,000.00 139000. 00
499"iSC. QG
Tetal $28,490.00 $29,350.00 (Cont. )
i
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.......... ......... .. ...... ..
FIRE DEPARTMENT - Cont.
1932 Estimated expendi- Amount
Appro, tures for 1933 Appropriated
District 1 - 1 (cont. )
( carried forward) $28,490.00 329 ,350.00
LMT SERVICE
Weaver Street Fire
'District No. 1 (Fire
Apparatus ) bonds, Nos.
10-12 inclusive, dated
February 1, 1929, due
February 1, 1933. 3,000.00 . 3 ,000. 00
Weaver Street Fire
District No . 1 bonds
Nos. 64-70 Inclusive
dated Nov. 1, 1922, due
November 1, 1932. 6,500.00 - - -
INTEREST
Interest on $6,000.00 at
4 L jo Fire District ( fire
apparatus) bonds for 6
months due February 1st
and on $3, 000.00 for 6
months due August 1, 1933. 337.50 202.50
Interest on $6500.00 Fire
District Tao. 1 bonds due
May 1st and November 1st
1932. 325.00 - - -
Total $38,652.50 $32,552 .50
Less amount to be received
from Fire District No. 2 1,864.00 1,800.00
Amount to be levied $36,788.50 , 30,752.50
32 -
i
WATER DEPARTIT2.MNT
(Westchester Joint ;later
Works No. 1 District )
i
1932 1933
Appropriation Appropriation
District 1 - 4
DEBT SERVICE - AMORTIZATION
OF BONDS
1. Water Works System Bonds
Nos . 13-15 inclusive, dated
June 1, 1927, due June 1st,
1933. $3,000.00 $3,000 .00
2. Water Distribution System
bonds Nos. 17-20 inclusive,
dated June 1, 1927, due June
1st , 1933. 4,000.00 4,000.00
3. Water Works System Bonds Nos.
149-151 inclusive, dated
June lst , 1927 due June 1,
1933. 3,000 .00 3,000.00
4. Water Distribution System Bonds
Nos . 161 - 162 inclusive, dated
February 1, 1930 due February 1,
1933. 2,000.00 27000.00
5 . Water Works System Bonds Nos.
238 - 243 inclusive, dated
November 15, 1931, due November
15, 1933. - - 6,000.00
6. Water Distribution System Bonds
Nos. 257 - 258 inclusive, dated
November 15, 1931, due November
15, 1933. - - - 2,000.00
INTEREST
7. Interest on $127,000.00 at
44 Water Works System Bonds
for 6 months due June lst and
6 months on $124,000 .00 due
December 1, 1933. 5,461,25 5,333 .75
S . Interest on $140, 000.00 at 4
Water Distribution System Bonds
for 6 months due June lst and
on $136, 000.00 for 6 months
due December lst , 1933. 6 ,035.00 5,865.00
Total ( coot. ) $ 23,496.25 $31,198.75
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WATER DEPARTMENT - Cont .
(Westchester Joint Water ,forks
No. 1 District )
i
1932 1933
Appropriation Appropriation );
District 1 - 4 coat.
(carried forward) ; 23,496.25 $31,198.75
9 . Interest on $89,000.00 at
4-ff'%, Water Works System Bonds
for 6 .months due June 1st
and on $86 ,000.00 for 6
months due December 1, 1933. 4,072.50 3,937.50
10. Interest on $96,000.00 at
42j Water Distribution
System Bonds for 6 months
due June 1st and on $94,000.00
for 6 months due December lst,
1933. 41365.00 41275.00
11. Interest on 1218,000.00 at
5.10% Water Works System
Bonds due May 15th and
November 15th, 1933. 11,118.00 11,118.00
12. Interest on 140,000 .00 at
5.10% Plater Distribution
System Bonds due May 15th and
November 15th, 1933. 2,040 .00 2.040.00
Total 3?45,091.75 352,569 .25
Less estimated shares of net
revenues from operation of
Westchester Joint Water Works
No. 1. 341,922.50 46 ,000 .00
Balance 3,169.25 6,569 .25
Less available funds from
prior year operations of
Westchester Joint Water Works
No. 1. - - - 6,569 .25
Amount to be levied p3,169.25 - 0 -
- 3.7 -