NOTICE OF PUBLIC HEARING
NOTICE OF ANNUAL ELECTION: STONY POINT FIRE DISTRICT
PLEASE TAKE NOTICE that the Annual Election of the Stony Point Fire District will take place on December 13, 2016 between the hours of 6:00pm and 9:00pm at the firehouse located at 25 North Liberty Drive (Route 9W), Stony Point, New York for the following purpose:
To elect one (1) Fire District Commissioner for a five (5) year term commencing on January 1, 2017 and ending December 31, 2021.
All residents of the Stony Point Fire District, who are duly registered to vote with the Rockland County Board od Elections on or before November 21, 2016 shall be entitled to vote at this election.
Any person desiring to have his or her name appear on the ballot for the above office shall have a written request with the Secretary of the Fire District not later than November 23, 2016
Name: Douglas C. Mann
Stony Point Fire District - 2017 Budget
EXPENDITURES AMOUNT PERSONAL SERVICES $ 30,000.00 PURCHASE OF EQUIPMENT $ 53,200.00 CAPITAL RESERVE FUND I TRANSFER $ 300,000.00 CAPITAL RESERVE FUND III TRANSFER $ 119,100.00 SOCIAL SECURITY $ 2,295.00 CAP IMPROVENMENT/REAL PROPERTY $ 45,000.00 HYDRANT RENTAL $ 376,000.00 LIGHTING & HEAT $ 31,500.00 TELEPHONES $ 22,000.00 INSURANCE $ 148,000.00 REPAIRS & MAINT BLDGS/EQUIP $ 90,000.00 GASOLINE, DIESEL & OIL $ 15,000.00 WATER $ 7,150.00 LEGAL NOTICES $ 870.00 DUES $ 1,370.00 LEGAL FEES $ 15,000.00 IMMUNIZATIONS $ 2,010.00 SNOW REMOVAL $ 7,550.00 INSPEC/DRILL/CONF/TRAVEL/TRAINING/PARADES $ 37,050.00 SEWER TAXES $ 2,700.00 FIRE PREVENTION $ 1,000.00 ALL OTHER EXPENSES $ 1,200.00 PHYSICAL EXAMINATIONS $ 23,000.00 LENGTH OF SERVICE AWARDS PROGRAM $ 190,000.00 UNIFORMS $ 3,200.00 COMPUTER HARD/SOFTWARE MAINT $ 7,500.00 PURCHASE OF NON-FIRE EQUIPMENT $ 5,700.00 JANITORIAL/GROUDNSKEEPING $ 20,300.00 OFFICE EXPENSE $ 2,500.00 ALARM SYSTEM $ 1,750.00 FIREFIGHTER ASSISTANCE PROGRAM $ 2,100.00 AUDIT FEES $ 10,000.00 NYS RETIREMENT CONTRIBUTION $ 7,000.00 REFRESHMENTS $ 5,000.00 EQUIPMENT TESTING $ 8,000.00 REFUSE $ 1,920.00 COMMUNICATIONS,PAGERS & CHARGERS $ 15,000.00 SECURITY &BUILDING ACCESS UPGRADES $ 12,000.00 PHYSICALFITNESS EQUIPMENT R & M $ 2,500.00 TOTAL EXPENDITURES $ 1,625,465.00 REVENUES AMOUNT INTEREST INCOME $ 1,600.00 TOTAL REVENUES $ 1,600.00 NET AMOUNT TO BE RAISED BY TAXES $ 1,623,865.00 GENERAL FUND BALANCE ESTIMATE AT DECEMBER 31,2016 AMOUNT UNASSIGNED $ 94,500.00 ASSIGNED APPARATUS/EQUIPMENT $ 306,100.00 ASSIGNED LAND/BUILDING/IMPROVEMENTS $ 369,700.00 TOTAL $ 770,300.00