Board of Finance - Minutes - 08/11/2021
agenda center minutes
| Board/Commission | Board of Finance |
|---|---|
| Meeting Date | August 11, 2021 |
| Pages | 6 |
| File Size | 0.1 MB |
| OCR Status | Searchable (OCR processed) |
| Source URL | Original |
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Board of Finance Wednesday, August 11, 2021 Regular Meeting Minutes Waterford Municipal Complex, 7:00 pm, Rev #1 Present: Chairman Ronald Fedor, John Sheehan, Glenn Patterson, Mark Geer, Kevin Petchark; Tali Maidelis, Robert Tuneski (7:04 pm) = ~ Elected: Robert J. Brule, First Selectman & ra RTM: Thomas Dembek x Staff: Michael Howley, Fire Administrator, Gary Schneider, Public Workepiractor,s Sandy Kenniston, Office Coordinator Public Works, Kimberly Allen, Fiviancees o Director; Maryellen McConnell, Secretary 1. Establishment of a quorum and call to order: A quorum was established and a call to order was established at 7:00 pm, August 11, 2021. 2. Public comment: No public comment. 3. Approval and acceptance of minutes: Motion by John Sheehan and seconded by Kevin Petchark to approve the revised minutes of July 21, 2021. Vote: 5-0-1 Abstain: 1 (Tali Maidelis) Motion: Passed 4. To consider and act on a request from the Board of Selectmen on behalf of Christine Walters, Interim Director of Human Resources, for an FY22 Out of Series Transfer as follows: Account | Description Approved j Current Account Account Revised Budget Available | Increase Decrease Available Amount Budget Budget Amount Amount 10145- | Administration | 125,548 125,548 (700) 124,848 51110 10145- | Telephone 700 700 52080 Total 700 (700) Motion by John Sheehan and seconded by Tali Maidelis to approve the Out of Series Transfer. Vote: 6-0-0 Motion: Passed Board of Finance Regular Meeting Minutes — August 11, 2021 Page 2, Rev #1 5. To consider and act on a recommendation to fund an additional appropriation request from Fire Administrator, Michael Howley, for a new Quaker Hill Fire Rescue Boat Motor as a new CNR Project to be funded in the amount of $40,000 through the CNR Undesignated Fund Balance and forward onto the RTM. Motion by John Sheehan and seconded by Mark Geer to move for discussion purposes. Discussion ensued on the cost of the rescue boat motor that it can be obtained for $32,000 instead of $40,000. As well as the number of qualified crew members and how many calls this boat goes out for in a year. An Amended Motion by John Sheehan and seconded by Mark Geer to decrease the CNR Undesignated Fund Balance by $32,000 and forward onto the RTM. Vote: 6-1-0 No: Glenn Patterson Motion: Passed *yote revised to reflect correction. To consider and act on a request from the Board of Selectmen on behalf of Gary Schneider, Public Works Director, CNR Line #20511-57856 for the Jordan Village Sidewalks to move $100,000 from Designated to Appropriated for this project and forward onto the RTM. Motion by John Sheehan seconded by Glenn Patterson to move $100,000 in CNR Line #20511-57856 from Designated to Appropriated and forward onto the RTM. Vote: 7-0-0 Motion: Passed To consider and act on a request from the Board of Selectmen on behalf of Gary Schneider, Public Works Director, to merge the two lines for the Jordan Sidewalk Project into one line. Line #33022-55887 - $304,000 and Line #20511- 57856 - $100,000 be merged to CNR Line #20511-57856 for a total of $404,000 and forward onto the RTM. Motion by John Sheehan and seconded by Glenn Patterson to merge lines 33022-55887 and line 20511-57856 by transferring $301,000 from 33022-55887 to 20511-57856 and close line 33022-55887 and forward onto the RTM. Vote: 7-0-0 Motion: Passed Board of Finance Regular Meeting Minutes — August 11, 2021 Page 3, Rev #1 8. To consider and act on a recommendation to fund an additional appropriation request from the Director of Public Works, Gary Schneider, for a new Town Hall Front Door Project as a new CNR Project to be funded in the amount of $35,000 through the CNR Undesignated Fund Balance and forward onto the RTM. Motion by John Sheehan and seconded by Kevin Petchark to approve the appropriation in the amount of $35,000 as a new CNR Project and forward onto the RTM Vote: 7-0-0 Motion: Passed 9. To consider and act on a request from the Board of Selectmen on behalf of Gary Schneider, Public Works Director, CNR Line #20511-57839 for the Emergency Egress Enclosure to move $46,000 from Designated to Appropriated and forward onto the RTM. Motion by John Sheehan and seconded by Tali Maidelis to approve the appropriation in the amount of $46,000 and forward onto the RTM. Vote: 7-0-0 Motion: Passed 10. To consider and act on a recommendation to fund an additional appropriation for Cyber Security in the amount of $87,960.54 as an Out of Series Transfer from the Contingency Fund (10121-59000) into lines 10112-52201, (Insurance, Liability/Auto/Property) - $77,273; 10147-54130 (Information Technology, Equipment), $5,463; and 10147-52043 (Information Technology, Service Contracts), - $5,226. Motion by John Sheehan and seconded by Kevin Petchark moves to transfer from Contingency lines 10112-52201 - $77,273; 10147-54130 - $5,463; 10147- 52043 - $5226 for a total of $87,962.. Vote: 7-0-0 Motion: Passed Board of Finance Regular Meeting Minutes — August 11, 2021 Page 4, Rev #1 11. To consider and act on a request from the Board of Selectmen on behalf of various departments, for an FY21 Out of Series Transfer request pending Board of Selectmen approval. Account | Description Approved Current Account | Account | Revised Budget Available | Increase | Decrease | Available Amount Budget Budget Amount Amount 10109- | Postage 2,900 (175) 175 0) 52020 10109- | FICA 16,527 418 (175) 243 51920 10111- | Service Contracts 51,357 (2,264) 2,264 0 52040 10111- | Facilities 76,500 23,573 (2,264) 21,309 51140 Coordinator 10119- | Professional Fees 22,000 (1,949) 1,949 ¢) 52030 10119- | Clerical & Technical | 42,339 3,135 (1,949) 1,186 51210 10130- | Equipment 345,771 (19,056) | 19,056 0 51510 Maintenance 10130- | Highway 984,189 (22,419) | 22,419 0 51520 Maintenance 10130- | Solid Waste 900,000 23,841 (19,056) | 4,785 52470 Disposal 10130- | Highway Materials 235,000 29,352 (22,419) | 6,933 53300 10137- | Maintenance of 147,523 (5,203) 5,203 ¢) 52420 Property 10137- | Programs 42,387 (1,041) 1,041 0 52380 10137- | Parks Maintenance | 375,951 43,321 (6,244) 38,077 51610 Total 52,107 (52,107) Motion by John Sheehan and seconded by Mark Geer to approve the FY21 Out of Series Transfer in the amount of $52,107. Vote: 7-0-0 Motion: Passed Board of Finance Regular Meeting Minutes — August 11, 2021 Page 5, Rev #1 12. To consider and act on a request from the Board of Selectmen on behalf of various departments, for an FY21 Out of Series Transfer request pending the Board of Selectmen approval. Account | Description Approved Current Account | Account | Revised Budget Available | Increase | Decrease | Available Amount Budget Budget Amount Amount 10104- | Administration 196,788 (945) 945 0 51110 10104- | Professional Fees 6) (1,300) 1,300 0 52030 10103- | Clerical & Technical | 4,100 2,624 (2,245) 379 51210 10108- | Professional Fees 260,000 (23,550) | 23,550 0 52030 10107- | Professional Fees 68,820 13,885 (13,885) 0 52030 10107- | Service Contracts 21,490 6,359 (6,359) 0 52040 10107- | Dues, Conferences 4,240 1,846 (1,846) 0 52050 10107- | Administration 292,050 2,335 (1,460) 875 51110 10145- | Professional Fees 54,019 (23,946) | 23946 0 52030 10129- | FICA 420,922 29,118 (23,946) 5,172 51920 Total 49,741 | (49,741) Motion by John Sheehan and seconded by Glenn Patterson to approve the FY21 Out of Series Transfer in the amount of $49,471. Vote: 7-0-0 Motion: Passed Board of Finance Regular Meeting Minutes — August 11, 2021 Page 6, Rev #1 13. 14. 15. 16. 17. Old Business: None New Business — a. Overview of the Town of Waterford’s plan for the American Rescue Plan Act funds: We will be focusing on Water/Sewer, Infrastructure, Fire Services, Tourism (Eugene O’Neill and Nevins Cottage), Economic Development, and Youth and Family Services (Human Services Coordinator}. We are looking to help some of the small business in our area with grants. The Human Services Coordinator will be a two-year position that will be funded though the American Rescue Plan funds. Utilities and Infrastructure will receive the bulk of the money for the Capital and for Town Wide Broadband. b. The Board of Finance will be touring the Municipal Complex at the end of the Board of Finance meeting this evening. Thank you to Gary Schneider and Sandy Kenniston for showing the Board of Finance the new complex. Liaison Reports: Municipal Complex — Glenn Patterson: We are down to installing new grass in September and fixing the IT issues. Our final payment to O&G will go out in late September. Correspondence: Adjournment: Motion by John Sheehan and seconded by Robert Tuneski to adjourn the Meeting of the Board of Finance at 9:00 p.m. Vote: 7-0-0 Motion: Passed Respectfully submitted, Ll Aeuet Mark Geer, Jr., Clerk Maryellen McConnell, Secretary