Board of Selectmen - 444 (02/02/2021)
agenda center attachment
| Board/Commission | Board of Selectmen |
|---|---|
| Meeting Date | February 02, 2021 |
| Pages | 5 |
| File Size | 0.8 MB |
| OCR Status | Searchable (OCR processed) |
| Source URL | Original |
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Full Text (OCR Extracted)
FY22
BUDGET REQUEST
DISABLED
AMERICAN VETERANS
TOWN OF WATERFORD
15 Rope Ferry Road
Waterford, CT 06385
860-442-0553
SOCIAL SERVICES GRANT FUNDING REQUEST
ORGANIZATION NAME:
Disabled American Veterans Chapter 21
REQUEST DATE (FISCAL YEAR):
2021
REQUESTED AMOUNT:
$§ 250.00
BENEFIT STATEMENT {Describe how these funds will be used)
Your donation is used to put American Flags, Grave Markers, and Purchasing Wreaths that are
placed in the Town of Waterford at three locations, Jordon Village, Waterford Town Halli,
and at the Cemetery located on the Boston Post Rd. It is also used to help Disabled American
Veterans and their Families that are in Need.
Per Town of Waterford Budget Guidelines: please attach a certified audit report of all funds
appropriated during the last completed fiscal year to your funding request.
DECLARATION
|, the requester, understand that | am requesting public funds from the Town of Waterford.
| declare that this request does not pose any potential conflict with the Town of Waterford
and | will provide any documentation requested by the Town of Waterford to authorize
funding this request or review the appropriateness of the request.
4
.
Dat
Maks coe DAV Maori Cecchi at
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Cthimpter <I
;
Annual Financial Report
;
* ULFLUNG OUR PROMISES
.
.
;
TQ THE MEN AND WOMEN WHO SERVED
:
.
Chapter Morward Coech insi Cister “2!
pepartmentof_C
& Number
2
Kame
of State
_
Located a_Ne bsde atone ct.
Accounting Period from futy 1, 2ctF
tojune 39, 2O2ZO-
Cash (Liquid seats)
This Vear’s Gross:tncome/Recalpts (net values are net permitted):
7 ‘Dues’ Per Capita from National Headquarters
. 2 Forget -Me-Not Drive. Racelots
Ss: Aiér/Lodnige Grose Recelgts -.
Suet ee
aa
interest & Dividend income from thecking, ‘Sovings 68 .
se
7
- | Furdraisit
@ Program (0
ety)
8. Increase in ‘Market Value of Investments on Line. 26 during Accounting Period
:
.
:
:
3. Other income (Attach requlced scedate)
.
YS, 60
i
.
10 Tt nce Sums 3) (9 not ce ageing Ble mci)
$
2bEYS$E
This Year's Expenses/Disbursements (nat values are not
fe ): -
‘
4
:
“4
"Ti, Salaries, Payroll Taxes & Employee Benefits for Administrative Personnel only
4
:
y
I
-Conventts/Conferences/Serninars (attach repdied
hadole
Hsting specific events
ond
=
=
12, Postage
6 Office Supplies (admshnistrative
and non-servce nefated postage o- office supplies
ZOBTF
in
14, Service/Charitable
(Coniplete ond attach required
Service
/Charitable
Expenses
Schedule form)
.
4-Gb, 70
5. Forget He-Nat Expenses (drt of ere ony
lest?
20. Decrease invMairket Value of Investments on Line 26 during Accouinting Period
i
21. Other Expenses (Attach requined schedule)
22: Total Expenses (Sum of Lines 11 thru 21)
oe
§__
ATT
27
i
Statément of Liguid Assets:
Liquid assets are those assets which are readily convertible to cash, and do not include rea} ar physical property such as yeal estate
or furniture and fixtures. If applicable, complete and attach Other Assets Schedule form (901332 - Rev. 10/13) to this report.
:
23. Checking Accounts (Attach copy of bank statement) 5 23 F6.6/ + Cash on Hand §
2§
1286066
:
‘
2, Savings-Accounts (Attoch copy of honk statement)
-
.
:
.
Qo.
Boa rn
4
25, Certificates
of Deposit (Attach copy of
bank
‘or letter from fh
institution
verifying value)
BAIT. 20
j
Lo 26. Market Value of Investments as of End of Accounting Period (Artech
copy of lnvesiment
ait fie ua i
‘¢t EMSS, gy ae
al
Name of Bank(s) and Branch Location(s) Asperty Bark. ber Gord. ct
7 Wanitas of Authorized Signersqn Bank Actountis). Kents Greev
urs
mr
ca
SIGNED by audit committee (Three: mernbcis),
an
“SIGNED & SUBMITTED by Authorized Department/ chapter
“
po
(Must not include, a
der Sr. Vice
Cominande
\
Officer: (Preferably
the C
or
*
err
mS
: ky, aan
Prbeg Slapapure
.
7,
~ _ Authorized
Officer Signature
_
.
:
TRensvhen [ached
:
Audit Comm
aire S! -
*
:
tape
‘Authorized
Officer Title .
mee
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he
24/7 [2020-
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~ This form is tequired to be filed’ ‘annually by the National Panstinitionand Bylaws Article 8, Section 8.4. Articie 9, Seaton 9.3 ahd Anle a. eae
Section 10.2. If gross recelpts of chapter, exuding dues percapita, ark fess than $10,000, submit report: to state department, nly
:
_
Retain for Yonlt Records *
NOONAN CECCINI CHAPTER 21 ANNUAL REPORT 2019-2020
(
ITEMIZED INCOME JUSTIFICATION
:
| DATE
|.
DESCRIPTON
|
AMOUNT.
TOTAL
7/5/2019 | DUES (Per capita from National HQ)
$
1,115.00
7/5/2019
_|DUES (Per capita from National HQ)
$
416.50
Total Dues (line item 1}
$
1,531.50
1,531.50
Forget-Me-Not Drive (line item 2 )
$
911.50
911.506
Interest from CD (line item 6)
$
26.46
26.46
DONATIONS (OTHER INCOME (line item 9)
Noble and Joyce Palliser
$
50.00
isaeel and Raymond Greenhaigh
$
25.00
Carol and Kenneth McKenna
$
50.00
Jenneifer Hanson
$
70.00
Total Donations
$
195.00
195.00
TOTAL INCOME
2,664.46
NOONAN CECCINI CHAPTER 22 ANNUAL REPORT 2019-2020
ITEMIZED EXPENSE JUSTIFICATION
pate
[checks |
____
DESCRIPTION
|
amount
|.
totaL
con
Postage and Office Bg
(line 13)
( .
12/13/2019
778
(Kenneth Greenwood Reimburseable - 990N filing cost
$
19.00
.
5/29/2020
787
US Postal Service_PO Box Renewal
$
106.00
3/3/2020
785
Printer paper and printer cartridges
$
78.99
Total Postage and Office Expenses
$
203.99 | $
203.99
SERVICE/CHARITY EXPENSES (line 14}
SERVICE OFFICER EXPENSES
8/20/2018
772
Mileage Reimbursement (meeting at State DAV Headquarters)
$
45.00
1/14/2020
781
Mileage Reimbursement (service officer training)
$
45.00
[
4f21/2020|
786 __ [DAV NATIONAL SERVICE OFFICE DONATION ( DAV COVID 19 RELIEF FUND)
i$
500.00 |
Other Charitable Expenses
7/5/2019
770
Montville Florist, Memorial Day wreaths
$
186,00
[6/3/2020
|
__788 __ [Montville Florist Memorial Day wreaths
$
210.00
TOTAL SERVICE/CHARITY EXPENSES (Line 14)
$
986.00 | $
986.00
Forget Me Not Fund Drive Expenses (line 15}
1/17/2020
7380
Donation to State of CT DAV (10% of Forget-Me- Not Fund Drive)
$
75.00
11/14/2019
776
Hato Industries (Forget me not flowers/posters/callection jar
§
108,17
Total Forget- Me - Not Expenses
$
183.17]
$
183.17
OTHER EXPENSES - Meals/Member Dinners (line item 19)
8/1/2019
771
Crown Pizza- monthly. Meeting
§
27.11
9/5/2019
773
Crown Pizza- monthly, meeting
§
27.14
10/3/2019
714
Crown Pizza- monthly. Meeting
§
27.11
11/7/2019
775
__{Crown Pizza- monthly. Meeting
$
27.36
12/5/2019
777
Crown Pizza- monthly. meeting
§
27.36
1/2/2020
779
Crown Pizza- monthly. meeting
$
27.36
2/7/2020
782
Crown Pizza- monthly. meeting
$
27.36
3/5/2020
784
Crown Pizza- monthly, Meeting
$
27.36
TOTAL MEALS/MEMBERS DINNERS
$
218.13 | $
218.13
TOTAL All EXPENSES
§
2,591.23
—_