Legal Notice for Budget 2020

Absentee Ballots may be picked up in the office between the hours of 10-2 everyday except Sun and Tues.

LEGAL NOTICE
MATTITUCK PARK DISTRICT
NOTICE OF BUDGET VOTE AND MEETING

NOTICE is hereby given, as prescribed by Chapter 924 of the laws of the State of New York, 1941, as amended, of a meeting of the legal voters of the Mattituck Park District to be held on the 8th day of August, 2019. Voting will take place from 5:00 p.m. to 8:00 p.m. at the Mattituck Park District Office, Veterans Memorial Park, 11280 Peconic Bay Boulevard, Mattituck, New York, for the purpose of voting on the proposed budget for the fiscal year 2020. Meeting at 6:30 p.m. Applications for the absentee ballots may be obtained at the same location on Monday, Wednesday, Thursday, Friday and Saturday between 10:00 a.m. and 2:00 p.m. The absentee ballot application must be received by the District Clerk at least seven (7) days prior to the vote and meeting if the ballot is to be mailed to the voter; or the day before such vote and meeting if the ballot is to be delivered personally to the voter or his agent. The ballot itself must either be delivered to the Mattituck Park District no later than the close of polls on the day of the vote, or postmarked by a governmental postal service no later than the day before the vote and received no later than the 7th day after the vote.Every resident who shall have resided in the Mattituck Park District for a period of thirty (30) days next preceding the election, and whose name and address in within the boundaries of the Mattituck Park District as set forth on the Suffolk County Board of Elections voter registration listing, shall be qualified to vote. The Commissioners of the Mattituck Park District have submitted the following estimate of expenditures for said fiscal year 2020 and propose the same as said budget:

ESTIMATE OF EXPENDITURES OF PARK DISTRICT COMMISSIONERS – 2020

Appropriations

Payroll $220,000

Employee Benefits 31,500

Site Improvements 300,000

Equipment 75,000

Supplies & Materials 35,000

Utilities 39,200

Insurance 35,000

Facility Repairs 26,000

Equipment Repairs 9,000

Auditing Services 9,000

Legal Counsel 12,000

Contingency 12,000

Total Appropriations $803,700


Anticipated Revenues

Interest & Earnings $ 3,500

Permits 19,000

Miscellaneous/Facility Rentals 40,000

Total Revenues $ 62,500

Less: Appropriated Fund Balance 458,200

Amount to be raised by taxes $283,000


BY ORDER OF THE BOARD OF COMMISSIONERS

Doris McGreevy, Gerard Goehringer, Co-Chairpersons

George Lomaga, Commissioner

Jennifer Mannino, Secretary