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HomeMy WebLinkAbout08/09/2001MATTITUCK PARK COMMISSION Mattituck, Long Island, New York August 9. 2001 We, the undersigned appointed election inspectors hereby certify the following results of the votes cast at the meeting of the resident taxpayers of the Mattituck Park District on Thursday, August 9, 2001, from 7:00 P.M. to 9:00 P.M., at the Mattituck Park District Office, Main Road, Mattituck, New York, for adoption of the proposed budget for the year 2002. Number of Voters Registered Number of Ballots Cast Number YES Ballots Cast Number NO Ballots Cast Number Blank Ballots Cast Number VOID Ballots 0 0 Signed: · Haas, Sec~tary STATE OF NEW YORK) ) COUNTY OF SUFFOLK) ss: Mu~DELINE S. FIAAS, residing at 595 Brower Road, Mattituck, New York, being duly sworn, deposes and says: I am the Secretary to the Board of Commissioners of the Mattituck Park District. That on the 20th day of July, 2001 I posted five (5) copies of the Notice of Budget Meeting of the resident taxpayers of the Mattituck Park District, copy of which is annexed hereto, in five (5) public places in Mattituck, County of Suffolk, New York, as follows: 1. Bulletin Board, United States Post Office, Love Lane, Mattituck, New York; 2. Bulletin Board, Mattituck Fire House, Pike Street, Mattituck, New York; 3. Bulletin Board, Mattituck High School, Main Road, Mattituck, New York; 4. Bulletin Board, North Fork Bank, 245 Love Lane, Mattituck, New York; Bulletin Board, Mattituck Free Library, Main Road, Mattituck, New York. Sworn to before me this ~/ay of August, 2001 Nota~ Public MATTITUCK PARK DISTRICT NOTICE OF BUDGET MEETING NOTICE is hereby given ora meeting of the resident taxpayers of the Mattituck Park District to be held on the 9t~ day of August, 2001, at 7:00 P.M. Daylight Saving Time, at the Mattimck Park District Office, Main Road, Mattituck, New York 11952, for the purpose of voting on the proposed budget for the fiscal year beginning January 1, 2002. Voting will take place at the Park District Office, Main Road, Mattituck, New York, and polls will be kept open fi.om 7:00 P.M. to 9:00 P.M. on August 9th, 2001. The Commissioners of the Mattiruck Park District have submitted the following estimate of expenditures for said fiscal year and propose the same as said budget: ESTIMATE OF EXPENDITURES OF PARK DISTRICT COMMISSIONERS 2002 Appropriations: Payroll $137,235.00 Fringe Benefas 12,900.00 Site Improvements 10,000.00 Equipment 1,000.00 Supplies & Materials 20,150.00 Utilities 23,450.00 Insurance 25,000.00 Facility Repairs 20,000.00 Equipment Repairs 10,000.00 Legal Counsel 1,500.00 Commissioners' Fees 300.00 Debt Service 40,000.00 Miscellaneous 430.00 Total Appropriations Anticipated Revenues Interest & Earnings $ 6,500.00 Permits 7,500.00 Miscellaneous 7,000,00 Less: Appropriated Fund Balance Amount to be Raised by Taxes $301,965.00 21,000.00 10,000.00 $270,965.00 CHRIS TALBOT, Chairman Walter Sabat, Gerard Goehringer Park Commissioners Madeline S. Haas, Seeretary MATTITUCK PARK DISTRICT NOTICE OF BUDGET MEETING NOTICE is hereby given of a meeting of the resident taxpay- ers of the Mattituck Park Dis- txict to be held on the 9th day of August, 2001, at 7:00 P.M. Daylight Saving Time, at the Mathtuck Park Distxict Office, Main Road, Mattimck, New York 11952, for the propose of voting on the proposed budget for the fiscal year beginning January 1, 2002.. Voting will take place at the Park District Office, Main Road, Mattituck, New York, and polls will be kept open from 7:00 P.M. to 9:00 P.M. on Au- gust 9t~, 2001. The Commissioners of the MaRimck Park District have submitted the following esti- mate of expenditures for said fiscal year and propose the same as said budget: ESTIMATE OF EXPENDI- TURES OF PARK DISTRICT COMMISSIONERS 2002 Appropriations: Payroll $137,235.00 Fringe Benefits 12,900.00 Site Improvements 10,000.00 Equipment 1,000.00 Supplies & Materials 20,150.00 Utilities 23,450.00 I~surance 25,000.00 Facility Repairs 20,000.00 Equipment Repairs 10,000.00 Legal Counsel 1,500.00 Commissioners' Fees 300.00 Debt Service 40,000.00 Miscellaneous 430.00 Total Appropriations $301,965.00 Anticipated Revenues Interest & Eamings$6,500.00 Permits 7,500.00 Miscellaneous 7,000.00 21,000.00 Less: Appropriated Fund Balance 10,000.00 Amount to be Raised by Taxes $270,965.00 CHRIS TALBOT, Chairman Walter Sabat, Gerard Goehringer Park Commissioners Madelme S. Haas, Secretary 3X-7/19, 26, 8/2/2001(984) COUNTY OF SUFFOLK STATE OF NEW YORK ss: Deborah Lutkowski, being duty sworn, says that she is the Legal Adverlising Coordinator, of the Trawler Watchman, a public newspaper printed at Southold, in Suffolk County; and that the notice of which the an- nexed is a printed copy, bas been published in said Traveler Watchman once each week for ............................. ~ ................................ weeks successively, commencing on the.. ].~.~ ............. day of ..........?~.~-~( ...................................... 2001 Sworn to before me this ........ .~....~..~. ............ day of .................................................................... 2001 Notary Public EMILY H.~41LL NOTARY PUBLIC. State of New York No. 01HA5059984 Qualified in Suffolk County Commission Expires May 06, 2002 NOTICE OF BUDGET MEET1NG NOTICE is hereby given of a meeting of the resident taxpayers of the Mattituck Paxk District to be held on the 9th day of August, 2001, at 7:00 p.m. Daylight Savings Time, at the Mattguck Park District Office, Main Road, Mattimck, New York 11952, for thc purpose of vodng on thc proposed budget for thc fiscal year beginning January 1, 2002. Voting will take place at the Park District Office, Main Road, Mattituck, New York, and polls will be kept open from 7:00 p.m. to 9:00 p.m. on August 9th, 2001. The Commissioners of the Mattituck Park District have submitted the following estimate of expenditures for said fiscal year and propose the same as said budget: ESTIMATE OF EXPENDITURES OF PARK DISTRICT COMMISSIONERS 2002 Appropriations: Payroll $137,235.00 Fringe Benefits 12,900.00 Site Improvements 10,000.00 Equipment 1,000.00 Supplies & Materials 20,150.00 Utilities 23,450.00 Insurance 25,000.00 Facility Repairs 20,000.00 Equipment Repairs I 0,000.00 Legal Counsel 1,500.00 Commissioners' Fees 300.00 Debt Service 40,000.00 Miscellaneous 430.00 Total Appropriations $ 301,965.00 Anticipated Revenues: Interest & Earnings $ 6,500.00 Permits 7,500.00 Miscellaneous 7.000.00 STATE OF NEW YORK) )SS: county, being duly swom, says that he/she is Principal clerk of THE SUFFOLK TIMES, a weekly newspaper, pub- lished at Mattituck, in the Town of Southold, County of Suffolk and State of New York, and that the Notice of which the annexed is a pdnted copy, has been regularly pub- lished in said Newspaper once each week for ~ weeks successiv_ely, commencing the [ ~ day on of 2o ot Sworn to before me this 2-- I, the undersigned do hereby certify that I am a legal, resident taxpayer of the Mattituck Park District in the Town of Southold, and that I am eligible to vote on the Proposed Budget of the Mattituck Park District for the year commencing January 1,2002 NAME ADDRESS I, the undersigned do hereby certify that I am a legal, resident taxpayer of the Mattituck Park District in the Town of Southold, and that I am eligible to vote on the Proposed Budget of the Mattituck Park District ~br the year commencing January 1, 2002 NAME ADDRESS MATTITUCK PARK DISTRICT August 9, 2001 iNSTRUCTIONS 1. Mark only with a pen having blue or black ink, or with a pencil having black lead. 2. To vote YES on the Referendum, make a cross (X) mark or check (3 mark in the square opposite. 3. To vote NO on the Referendum, make a cross (X) mark or check (,~/mark in the square opposite. 4. Any other mark, or any writing, or any erasure made on the ballot is unlawful. 5. If you tear deface or wrongly mark the ballot return it and obtain another. OFFICIAL BALLOT MATTITUCK PARK DISTRICT AUGUST 9, 2001 PROPOSITION Shall the estimate of expenditures of the Mattituck Park District be adopted as the Budget for the Fiscal Year beginning January 1, 2002, and shall the Park District Commissioners be authorized and empowered to raise the said sum of $270,965.00 for said budget and to levy a tax therefor upon the taxable property in said District~ ESTIMATE OF EXPENDITURES OF PARK DISTRICT COMMISSIONERS 2002 Appropriations: Payroll $137,235.00 Fringe Benefits 12,900.00 Site Improvements I0,000.00 Equipment 1,000.00 Supplies & M~ttefials 20.150.00 Utilities 23.450.00 Insurance 25,000.00 Facility Repairs 20,000.00 Equipment Repairs 10,000.00 Legal Counsel 1,500.00 Commissioners' Fees 300.00 Debt Service 40 00000 Miscellaneous 430.00 Total Appropriations: $301,965.00 Anticipated Revenues: Interest & Earnings $ 6,500.00 Permits 7,500.00 Miscellaneous _ 7,000.00 21,000.00 Less: Appropriated Fund Balance 10,000.00 Amount to be Raised by Taxes $270,965.00 CHRIS TALBOT. Chairman Walter Sabat, Gerard Goehringer Park Commissioners Madeline 3: Haas, Secretary MATTITUCK PARK DISTRICT August 9, 2001 INSTRUCTIONS 1. Mark only with a pen having blue or black ink, or with a pencil having black lead. 2. To vote YES on the Referendum, make a cross (X) mark or check (v) mark in the square opposite. 3. To vote NO on the Referendum, make a cross (X) mark or check (O/mark in the square opposite. 4. Any other mark, or any writing, or any erasure made on the ballot is unlawful. 5. If you tear, deface or wrongly mark the ballot, return it and obtain another. OFFICIAL BALLOT MATTITUCK PARK DISTRICT AUGUST 9, 2001 PROPOS~ION Shall the estimate of expenditures of the Mattituck Park District be adopted as the Budget for the Fiscal Year beginning January 1, 2002, and shall the Park District Commissioners be authorized and empowered to raise the said sum of $270,965.00 for said budget and to levy a tax therefor upon the taxable property in said District. ESTIMATE OF EXPENDITURES OF PARK DISTRICT COMMISSIONERS 2002 Appropriations: Payroll $137,235.00 Fringe Benefits 12,900.00 Site Improvements 10,000.00 Equipment 1,000.00 Supplies & Materials 20. t 50.00 Utilities 23.450.00 Insurance 25,000.00 Facility Repairs 20,000.00 Equipment Repairs 10,000.00 Legal Counsel 1,500.00 Commissioners' Fees 300.00 Debt Service 40,000.00 Miscellaneous 430.00 Total Appropriations: $301,965.00 Anticipated Revenues: Interest & Earnings $ 6,500.00 Permits 7,500.00 Miscellaneous 7,000.00 21,000.00 Less: Appropriated Fund Balance 10,000.00 Amount to be Raised by Taxes $270,965.00 CHRIS TALBOT. Chairman Waiter Sabat, Gerard Goehringer Park Commissioners Madeline S. Haas, Secretary MATTITUCK PARK DISTRICT August 9, 2001 INSTRUCTIONS 1. Mark only with a pen having blue or black ink, or with a pencil having black lead. 2. To vote YES on the Referendum, make a cross (X) mark or check (v) mark in the square opposite. 3. To vote NO on the Referendum, make a cross (X) mark or check (v~mark in the square opposite. 4. Any other mark, or any writing, or any erasure made on the ballot is unlawful. 5. If you tear, deface or wrongly mark the ballot, return it and obtain another. OFFICIAL BALLOT MATTITUCK PARK DISTRICT AUGUST 9, 2001 PROPOSITION Shall the estimate of expenditures of the Mattituck Park District be adopted as the Budget for the Fiscal Year beginning January 1, 2002, and shall the Park District Commissioners be authorized and empowered to raise the said sum of $270,965.00 for said budget and to levy a tax therefor upon the taxable property in said District. ESTIMATE OF EXPENDITURES OF PARK DISTRICT COMMISSIONERS 2002 Appropriations: Payroll $137,235.00 Fringe Benefits 12,900.00 Site Improvements 10,000.00 Equipment 1,000.00 Supplies & Materials 20.150.00 Utilities 23.450.00 Insurance 25,000.00 Facility Repairs 20,000.00 Equipmem Repairs 10,000.00 Legal Counsel 1,500.00 Commissioners' Fees 300.00 Debt Service 40,000.00 Miscellaneous 430.00 Total Appropriations: $301,965.00 Anticipated Revenues: Interest & Earnings $ 6,500.00 Permits 7,500.00 Miscellaneous .... 7~000.00 21,000.00 Less: Appropriated Fund Balance 10,000.00 Amount to be Raised by Taxes $270,96500 CHRIS TALBOT. Chairman Walter Sabat, Gerard Goehringer Park Commissioners Madeline ,~: Hoa% Secretary MATTITUCK PARK DISTRICT August 9, 2001 INSTRUCTIONS 1. Mark only with a pen having blue or black ink, or with a pencil having black lead. 2. To vote YES on the Referendum, make a cross (X) mark or check (~) mark in the square opposite. 3. To vote NO on the Referendum, make a cross (X) mark or check (~)/mark in the square opposite. 4. Any other mark, or any writing, or any erasure made on the ballot is unlawful. 5. If you tear, deface or wrongly mark the ballot, return it and obtain another. OFFICIAL BALLOT MATTITUCK PARK DISTRICT AUGUST 9, 2001 PROPOSITION Shall the estimate of expenditures of the Mattituck Park District be adopted as the Budget for the Fiscal Year beginning January 1, 2002, and shall the Park District Commissioners be authorized and empowered to raise the said sum of $270,965~00 for said budget and to levy a tax therefor upon the taxable property in said District. ESTIMATE OF EXPENDITURES OF PARK DISTRICT COMMISSIONERS 2002 Appropriations: Payroll $137,235.00 Fringe Benefits 12,900.1)0 Site Improvements 10,000.00 Equipmem 1,000.00 Supplies & Materials 20.150.00 Utilities 23.450.00 Insurance 25,000.00 Facility Repairs 20,000.00 Equipment Repairs 10,000.00 Lesal Counsel 1,500.00 Commissioners' Fens 300.00 Debt Service 40,000.00 Miscellaneous 430.00 Total Appropriations: $301,965.00 Anticipated Revenues: Interest & Earnings $ 6,500.00 Permits 7,50000 Miscellaneous 7,000.00 21,000.00 Less: Appropriated Fund Balance 10,000.00 Amount to be Raised by Taxes $270,96500 CHRIS TALBOT Chairman Walter Sabat, Gerard Goehringer Park Commissioners Madeline S. Haa~, Secretary MATTITUCK PARK DISTRICT August 9, 2001 INSTRUCTIONS 1. Mark only with a pen having blue or black ink, or with a pencil having black lead. 2. To vote YES on the Referendum, make a cross (X) mark or check (~) mark in the square opposite. 3. To vote NO on the Referendum, make a cross (X) mark or check (O/mark in the square opposite. 4. Any other mark, or any writing, or any erasure made on the ballot is unlawful. 5. If you tear, deface or wrongly mark the ballot, return it and obtain another. OFFICIAL BALLOT MATTITUCK PARK DISTRICT AUGUST 9, 2001 PROPOS~ION Shall the estimate of expenditures of the Mattituck Park District be adopted as the Budget for the Fiscal Year beginning January 1, 2002, and shall the Park District Commissioners be authorized and empowered to raise the said sum of $270,965.00 for said budget and to levy a tax therefor upon the taxable property in said District. ESTIMATE OF EXPENDITURES OF PARK DISTRICT COMMISSIONERS 2002 Appropriations: Payroll $137,235.00 Fringe Benefits 12,900.00 Site Improvements 10,000.00 Equipment 1,000.00 SuppLies & Materials 20.150.00 Utilities 23.450.00 Insurance 25,000.00 Facility Repairs 20,000.00 Equipment Repaks 10,000.00 Legal Counsel 1,500.00 Commissioners' Fees 300.00 Debt Service 40,00000 Miscellaneous 430.00 Total Appropriations: $301,965.00 Anticipated Revenues: Interest & Earnings $ 6,500.00 Permits 7,500.00 Miscellaneous 7,000 00 21,000.00 Less: Appropriated Fund Balance 10,000.00 Amount to be Raised by Taxes $270,965.00 CHRIS TALBOT. Chairman Walter Sabat, Gerard Goehringer Park Commissioners Madeline S. Hact~, Secretary IYLA. TTITUCK PARK DISTRICT August 9, 2001 INSTRUCTIONS 1. Mark only with a pen having blue or black ink, or with a pencil having black lead. 2, To vote YES on the Referendum. make a cross (X) mark or check (~)' mark in the square opposite. 3. To vote NO on the Referendum, make a cross (X) mark or check (~mark in the square opposite. 4. Any other mark, or any writing, or any erasure made on the ballot is unlawful. 5. If you tear, deface or wrongly mark the ballot, return it and obtain another. OFFICIAL BALLOT MATTITUCK PARK DISTRICT AUGUST 9, 2001 PROPOSITION Shall the estimate of expenditures of the Mattituck Park District be adopted as the Budget for the Fiscal Year beginning January 1, 2002, and shall the Park District Commissioners he authorized and empowered to raise the said sum of $270,965.00 for said budge{ and to levy a tax therefor upon the taxable property in said District. ESTIMATE OF EXPENDITURES OF PARK DISTRICT COMMISSIONERS 2002 Appropriations: Payroll $137,235.00 Fringe Benefits 12,900.00 Site Improvements 10,000.00 Equipment 1,000.00 Supplies & Materials 20.150.00 Utilities 23,450,00 Insurance 25,000.00 Facility Repairs 20,000.00 Equipment Repairs 10,000.00 Legal Counsel 1,500.00 Commissioners' Fees 300.00 Debt Service 40,000.00 Miscellaneous 430.00 Total Appropriations: $301,965.00 Anticipated Revenues: Interest & Earnings $ 6,500.00 Permits 7,50000 Miscellaneous 7,000.00 21,000.00 Less: Appropriated Fund Balance 10,000.00 Amount to be Raised by Taxes $270,965.00 CHRIS TALBOT. Chairman Walter Sabat, Gerard Goehringer Park Commissioners Madeline S. Ha,zs, Secretary MATTITUCK PARK DISTRICT August 9, 2001 iNSTRUCTIONS 1. Mark only with a pen having blue or black ink, or with a pencil having black lead. 2. To vote YES on the Referendum, make a cross (X) mark or check (~) mark in the square opposite. 3. To vote NO on the Referendum, make a cross (X) mark or check (Of'mark in the square opposite. 4. Any other mark, or any writing, or any erasure made on the ballot is unlawful. 5. If you tear, deface or wrongly mark the ballot, return it and obtain another. OFFICIAL BALLOT MATTITUCK PARK DISTRICT AUGUST 9, 2001 PROPOSITION Shall the estimate of expenditures of the Mattituck Park District be adopted as the Budget for the Fiscal Year beginning January 1, 2002, and shall the Park District Commissioners be authorized and empowered to raise the said sum of $270,965.00 for said budget and to levy a tax therefor upon the taxable property in ESTIMATE OF EXPENDITURES OF PARK DISTRICT COMMISSIONERS 2002 Appropriations: Payroll $137,235.00 Fringe Benefits 12,900.00 Site Improvements 10,000.00 Equipment 1,000.00 Supplies & Materials 20.150.00 Utilities 23.450.00 Insurance 25,000.00 Facility Repairs 20,000.00 Equipment Repairs 10,000.00 Legal Counsel 1,500.00 Commissioners' Fees 300.00 Debt Service 40,000.00 Miscellaneous 430.00 Total Appropriations: $301,965.00 Anticipated Revenues: Interest & Earnings $ 6,500.00 Permits 7,500.00 Miscellaneous 7,000.00 21,000.00 Less: Appropriated Fund Balance 10,000.00 Amount to be Raised by Taxes $270,965.00 ('HRIS TALBOT. Chairman Walter Sabat, Gerard Goehringer Park Commissioners Madelme S. Hart% Secretary MATT1TUCK PARK DISTRICT August 9, 2001 INSTRUCTIONS 1. Mark only with a pen having blue or black ink, or with a pencil having black lead. 2. To vote YES on the Referendum, make a cross (X) mark or check ('4 mark in the square opposite. 3. To vote NO on the Referendum, make a cross (X) mark or check (O/mark in the square opposite. 4. Any other mark, or any writing, or any erasure made on the ballot is unlawful. 5. If you tear, deface or wrongly mark the ballot, return it end obtain another. OFFICIAL BALLOT MATTITUCK PARK DISTRICT AUGUST 9, 2001 PROPOSHION Shall thc estimate of expenditures of the Mattituck Park District be adopted as the Budget for the Fiscal Year beginning Sanuary 1, 2002, and shall the Park District Commissioners be authorized and empowered to raise the said sum of $270,965.00 for said budget and to levy a tax therefor upon the taxable properly in said District. ESTIMATE OF EXPENDITURES OF PARK DISTRICT COMMISSIONERS 2002 Appropriations: Payroll $137,235.00 Fringe Benefits 12,900.00 Site Improvements 10,000.00 Equipmem 1,000.00 Supplies & Materials 20.150.00 Utilities 23.450.00 Insurance 25,000.00 Facility Repairs 20,000.00 Equipment Repairs 10,000.00 Legal Counsel 1,500.00 Commissioners' Fees 300.00 Debt Service 40.000.00 Miscellaneous 430.00 Total Appropriations: $301,965.00 Anticipated Revenues: Interest & Earnings $ 6,50000 Permits 7,500.00 Miscellaneous 7.000.00 21,000.00 Less: Approprieted Fund Baiance 10,000.00 Amount to be Raised by Taxes $270,965.00 CHRIS TALBOT, Chairnmn Walter &*bat, Gerard Goehringer Park Commissioners Made#ne S. Haa~, Secretary MATTITUCK PARK DISTRICT August 9, 2001 INSTRUCTIONS 1, Mark only with a p~n having blue or black ink, or with a p~neil having black lead, 2. To vote YES on the Referendum, make a cross (X) mark or check (v) mark in the square opposite. 3. To vote NO on the Referendum, make a cross (X) mark or check (Q/mark in the square opposite. 4. Any other mark, or any writing, or any erasure made on the ballot is unlawful. 5. If you tear, deface or wrongly mark the ballot, remm it and olymin another. OFFICIAL BALLOT MATTITUCK PARK DISTRICT AUGUST 9, 2001 PROPOS~ION Shall the estimate of expenditures of the Mattituek Park District be adored as the Budget for the Fiscal Year beginning January 1, 2002, and shall the Park District Commissioners be authorized and empowered to raise the said sum of $270,965.00 for said budget and to levy a tax therefor upon the taxable property in said District. ESTIMATE OF EXPENDITURES OF PARK DISTRICT COMMISSIONERS 2002 Appropriations: Payroll $137,235.00 Fringe Benefits 12,900.00 Site Improvements 10,000.00 Equipment 1,000.00 Supplies & Materials 20.150.00 Utilities 23.450.00 Insurance 25,000.00 Facility Repairs 20,000.00 Equipment Repairs 10,000.00 Legal Counsel 1,500.00 Commissioners' Fees 300.00 Debt Service 40,000.00 Miscellaneous 430.00 Total Appropriations: $301,965.00 Anticipated Revenues: Interest & Earnings $ 6,500.00 Permits 7,500.00 Miscellaneous ____7,000 00 21,000.00 Less: Appropriated Fund Balance 10,000.00 Amount to he Raised by Taxes $270,965.00 CHRIS TALBO Z Chairman Walter Sabat, Gerard Goehringer Park Commissioners Madelme S. Hac~, Secretary MATTITUCK PARK DISTRICT August 9, 2001 INSTRUCTIONS 1. Mark only with a pen having blue or black ink, or with a pencil having black lead. 2. To vote YES on the Referendum, make a cross (X) mark or check (-e) mark in the square opposite. 3. To vote NO on the Referendum, make a cross (X) mark or check (O/mark in the square opposite. 4. Any other mark, or any writing, or any erasure made on the ballot is unlawthl. 5. If you tear, deface or wrongly mark the ballot, return it and obtain another. OFFICIAL BALLOT MATTITUCK PARK DISTRICT AUGUST 9, 2001 PROPOSITION Shall the estimate of expenditures oftbe Mattituck Park District be adopted as the Budget for the Fiscal Year beginning January 1, 2002, and shall the Park District Commissioners be authorized and empowered to raise the said sum of $270,965.00 for said budget and to levy a tax therefor upon the taxable property in said District. ESTIMATE OF EXPENDITURES OF PARK DISTRICT COMMISSIONERS 2002 Approlaiations: Payroll $137,235.00 Fringe Benefits 12,900.00 Site Improvements 10,000.00 Equipment 1,000.00 Supplies & Materials 20.150.00 Utilities 23.450.00 Insurance 25,000.00 Facility Repairs 20,000.00 Equipment Repairs 10,000.00 Legal Counsel 1,500.00 Commissioners' Fees 300.00 Debt Service 40,000.00 Miscellaneous 430,00 Total Appropriations: $301,965.00 Anticipated Revenues: Interest & Earnings $ 6,500.00 Permits 7,500.00 Miscellaneous 7,000.00 21,000.00 Less: Appropriated Fund Balance 10~000.00 Amount to be Raised by Taxes $270,96500 CHRIS TALBOT. Chairman Walter Sabat, Gerard Goehringer Park Commissioners Madeline S. Hactv, Secretary MATTITUCK PARK DISTRICT August 9, 2001 INSTRUCTIONS 1. Mark only with a pen having blue or black ink, or with a pencil having black lead. 2. To vote YES on the Referendum, make a cross (X) mark or check (~)mark in the square opposite. 3. To vote NO on the Referendum, make a cross (X) mark or check (Cf'mark in the square opposite. 4. Any other mark, or any writing, or any erasure made on the ballot is unlawful. 5. If you tear, deface or wrongly mark the ballot, return it and obtain another. OFFICIAL BALLOT MATTITUCK PAKK DISTRICT AUGUST 9, 2001 PROPOSITION Shall the estimate of expenditures of the Matfituck Park District be adopted as the Budget for the Fiscal Year beginning January 1, 2002, and shall the Park District Commissioners be authorized and empowered to raise the said sum of $270,965.00 for said budget and to levy a tax therefor upon the taxable property in said Districl. ESTIMATE OF EXPENDITURES OF PARK DISTRICT COMMISSIONERS 2002 Appropriations: Payroll $137,235.00 Fringe Benefits 12,900.00 Site Improvements 10,000.00 Equipment 1,000.00 Supplies & Materials 20.150.00 Utilities 23.450.00 Insurance 25,000.00 Facility Repairs 20,000.00 Equipment Repairs 10,000.00 Legal Counsel 1,500.00 Commissioners' Fe~s 300.00 Debt Service 40,000.00 Miscellaneous 430.00 Total Appropriations: $301,965.00 Anticipated Revenues: Interest & Earnings $ 6,500.00 Permits 7,50000 Miscellaneous _ 7,000.00 21,000.00 Less: Appropriated Fund Balance 10,000.00 Amount to be Raised by Taxes $270,965.00 CHRIS TALBOT, Chatrman Walter Sabat, Gerard Goehringer Park Commissioners Madeline S. Hack% Secretary MATT1TUCK PARK DISTRICT August 9, 2001 INSTRUCTIONS 1. Mark only with a pen having blue or black ink, or with a pencil having black lead. 2. To vote YES on the Referendum, make a cross (X) mark or check {~) mark in the square opposite. 3. To vote NO on the Referendum, make a cross (X) mark or check (v)/mark in the square opposite. 4. Any other mark, or any writing, or any erasure made on the ballot is unlawful. 5. If you tear, deface or wrongly mark the ballot, remm it and obtain another. OFFICIAL BALLOT MATTITUCK PARK DISTRICT AUGUST 9, 2001 PROPOSITION Shall the estimate of expenditures of the Mattituck Park District be adopted as the Budget for the Fiscal Year beginning January 1, 2002, and shall the Park District Commissioners be attthorized and empowered to raise the said sum of $270,965.00 for said budget and to levy a tax therefor upon the taxable property in said District. ESTIMATE OF EXPENDITURES OF PARK DISTRICT COMMISSIO~RS 2002 Appropriations: Payroll $137,235.00 Fringe Benefit s 12,900.00 Site Improvements 10,000.00 Equipment 1,000.00 Supplies & Materials 20.150.00 Utilities 23450.00 Insurance 25,000.00 Facility Repairs 20,000.00 Equipment Repairs 10,000.00 Legal Counsel 1,500.00 Commissioners' Fees 300.00 Debt Service 40.000.00 Miscellaneous 430.00 Total Appropriations: $301,965.00 Anticipated Revenues: Interest & Earnings $ 6,500.00 Permits 7,500.00 Miscellaneous 7,000 00 21,000.00 Less: Appropriated Fund Balance 10,000.00 Amount to be Raised by Taxes $270,96500 CHRIS TALBOT, Chairman Walter Sabat, Gerard Goehringer Park Commissioners Made#ne S. Harry, Secretary MATTITUCK PARK DISTRICT August 9, 2001 INSTRUCTIONS 1. Mark only with a pen having blue or black ink, or with a pencil having black lead. 2. To vote YES on the Referendum, make a cross (X) mark or check (~) mark in the square opposite. 3. To vote NO on the Referendum, make a cross tX) mark or check (v~mark in the square opposite. 4. Any other mark, or any writing, or any erasure made on the ballot is unlawful. 5. If you tear, deface or wrongly mark the ballot, return it and obtain another. OFFICIAL BALLOT MATTITUCK PARK DISTRICT AUGUST 9, 2001 PROPOS~ION Shall the estimate of expenditures of the Matrituck Park District be adopted as the Budget for the Fiscal Year beginning January 1, 2002, and shall the Park District Commissioners be authorized and empowered to raise the said sum of $270,965.00 for said budget and to levy a tax therefor upon the taxable property in said District. ESTIMATE OF EXPENDITURES OF PARK DISTRICT COMMISSIONERS 2002 Appropriations: Payroll $137,235.00 Fringe Benefits 12,900.00 Site Improvements 10,000.00 Equipment 1,000.00 Supplies & Materials 20.150.00 Utilities 23.450.00 Insurance 25,000.00 Facility Repairs 20,000.00 Equipment Repairs 10,000.00 Legal Counsel 1,500.00 Commissioners' Fe~s 300.00 Debt Service 40,000.00 Miscellaneous 430.00 Total Appropriations: $301,965.00 Anticipated Revenues: Interest & Earnings $ 6,500.00 Permits 7,500.00 Miscellaneous 7,000.00 21,000.00 Less: Appropriated Fund Balance 10,000.00 Amount to be Raised by Taxes $270,965 00 CHRIS TALBOT. Chairman Walter Sabat, Gerard Goehringer Park Commissioners Madelme S. Haas, Secretary MATTITUCK PARK DISTRICT August 9, 2001 INSTRUCTIONS 1. Mark only with a pen having blue or black ink, or with a pencil having black lead. 2. To vote YES on the Referendum, make a cross (X) mark or check (3 mark in the square opposite. 3. To vote NO on the Referendum, make a cross (X) mark or check (O/mark in the square opposite. 4. Any other mark, or any writing, or any erasure made on the ballot is unlawful. 5. If you tear, deface or verongly mark the ballot, return it and obtain another. OFFICIAL BALLOT MATTITUCK PARK DISTRICT AUGUST 9, 2001 PROPOSITION Shall the estimate of expenditures of the Mattituck Park District be adopted as the Budget for the Fiscal Year beginning January 1, 2002, and shall the Park District Commissioners be authorized and empowered to raise the said sum of $270,965.00 for said budget and to levy a tax therefor upon the taxable property in said District. ESTIMATE OF EXPENDITURES OF PARK DISTRICT COMMISSIONERS 2002 Appropriations: Payroll $137,235.00 Fringe Benefits 12,900.00 Site Improvements 10,000.00 Equipment 1,000.00 Supplies & Materials 20.150.00 Utilities 23.450.00 Insurance 25,000.00 Facility Repairs 20,000.00 Equipment Repairs 10,000.00 Legal Connsul 1,500.00 Commissioners' Fees 300.00 Debt Service 40~000.00 Miscellaneous 430.00 Total Appropriations: $301,965.00 Anticipated Revenues: Interest & Earnings $ 6,500.00 Permits 7,500.00 Miscellaneous 7,000.00 21,000.00 Less: Appropriated Fund Balance 10,000.00 Amount to be Raised by Taxes $270,96500 CHRIS TALBOT, Chairman Walter Sabat, Gerard Goehringer Park Commissioners Madeline S. Hack% Secretary MATT1TUCK PARK DISTRICT August 9, 2001 INSTRUCTIONS 1. Mark only with a pen having blue or black ink, or with a pencil having black lead. 3. 4. 5. To vote YES on the Referendum, make a cross (X) mark or check (~ mark in the square opposite. To vote NO on the Referendum, make a cross (X) mark or check (O/mark in the square opposite. Any other mark, or any writing, or any erasure made on the ballot is unlawful. lfyou tear, deface or wrongly mark the ballot, raum it and obtain another. OFFICIAL BALLOT MATTITUCK PARK DISTRICT AUGUST 9, 2001 PROPOSITION Shall the estimate of expenditures oftbe Mattituck Park District be adopted as the Budget.for the Fiscal Year beginning January 1, 2002, and shall the Park District Commissioners be authorized and empowered to raise the said sum of $270,965.00 for said budget and to levy a tax therefor upon the taxable property in said District. ESTIMATE OF EXPENDITURES OF PARK DISTRICT COMIVIISSIONERS 2002 Appropriations: Payroll $137,235.00 Fringe Benefits 12,900.00 Site Improvements 10,000.00 Equipment 1,000.00 Supplies & Materials 20.150 Utilities 23.450.00 Insurance 25,000.00 Facility Repairs 20,000.00 Equipment Repairs 10,000.00 Legal Counsel 1,500.00 Commissioners' Fees 300.00 Debt Service 40,000.00 Miscellaneous 430.00 Total Appropriations: $301,965.00 Anticipated Revenues: Interest & Earnings $ 6,500.00 Permits 7,500.00 Miscellaneous _~7_~900.00 21,000.00 Less: Appropriated Fund Balance 10,000.00 Amount to be Raised by Taxes $270,965.00 C//R/S TALBOT, Chairman Walter Sabat, Gerard Goehringer Park Commissioners Madeline S. Haa~, Secretary