The Village of Franklin held its regular board meeting on June 12, 2023, at the Village Hall office (141 Water Street) at 7:01PM. Present: Mayor Tom Briggs, Trustee Wilson, Trustee VanDeusen, Clerk/Treasurer Niebanck, Deputy Clerk Martin, Superintendent Kingsbury and guests recorded on the sign-in register. The meeting was streamed and recorded on the video platform Zoom.
Minutes: Minutes of the May 8, 2023 board meeting: VanDeusen moved and Wilson seconded that minutes of May 8, 2023 be approved. So passed.
Treasurer’s Report
Date: May 31, 2023
General Fund | $1,298.22 |
– Savings | $193,320.44 |
– Reserve/Maint Equip | $84,875.56 |
– Sidewalks | $16,910.21 |
– Trees | $2,368.98 |
Water Fund | $4,421.52 |
– Savings | $20,532.90 |
– Capital Fund/Well Develop | $10,970.10 |
Water Project | $6.92 |
Water Tower Grant | $72.01 |
Trust & Agency | $0.00 |
Grant Fund | $14,165.48 |
ARPA Funds (remaining) | $11,912.57 |
Recreation Commission | $9,577.73 |
– Savings | $37,760.63 |
– CD | $7,861.15 |
– CD | $15,951.61 |
VanDeusen moved and Wilson seconded budget transfers in GF of $1303.12 and in WF of $4151.68 (see detail attached). So passed. VanDeusen moved and Wilson seconded approval of Treasurer’s Report of May 31, 2023. So passed.
Citizens’ Comments: none.
Correspondence: 1) NYS Office of Temp. Disability Assistance re: provide comments on LIHWAP. 2) NYS Dept. of State re: local government assistance and community development programs. 3) C. E. Kiff re: heating service cleaning/inspection. 4) Amrex Chemical re: increase to $5.25/gallon.
Clerk’s Report: 1) Mailed noise ordinance to resident on Maple Street. 2) Called and spoke to Robert Green Trucking re: order for new plow truck; he ordered it on May 10 and it should arrive in December; contract signed. 3) Signed the Dr. Sealgood contract for $15,095. 4) Some pictures were added to the website under “Gallery” tab; do we want more, maybe under “About” tab; should local laws be listed? Yes.
Superintendent’s Report: 1) drained the pool; 21st Century fixed valve installed 2) new meter 468 Main 3) another leak in front of Mirabito; may want to consider grant for fixing service lines. 4) need “no parking to corner” sign at end of institute street. 5) Skidsteer hauled to Otego Tire and Auto to get lug nuts off. 6) water on at the park; curb card for fountain. 7) Tweedie Const. working at the pump house.
Old Business
CDBG Update: Tweedie working at pump house and reservoir; getting lines ready to go; chlorination tests on the lines; successful pressure tests taken; working in well house. Disbursement #11 ready to be sent in. Tweedie’s bid was below budget; first potential change order: additional flow meter and other things to improve quality. If there are additional items that could use to spend grant money – legal/admin fees, alerts to Jason’s phone, etc. Forms for change order – would add $33,490 bringing total to $590,133; copies given to Board for signature; Wilson moved to accept change order VD second; passed. Board members signed CO.
Short Term Rentals: all permits taken; letters to owners; approved contingent upon code inspection.
Sewer Study: Mayor Briggs spoke with Mayor of Village of Odessa and contractor; cost savings would be not having to send through sewage plant; leach field of 5 acres or so; Mayor Briggs will meet with Mayor of Odessa next week.
Noise Ordinance: Mayor spoke with resident about noise on Maple Street; noise ordinance was mailed to offender; Sheriff can be called by resident or Mayor.
New Truck: order is in and should be coming before December; can auction old truck.
Bissell Spring: date to visit the area; Monday, June 26 at 2:00PM. Someone may want to put solar panels in that area.
Village Dump: call Delhi Tel re: running a line and camera; will post rules on Facebook; Clerk will research illegal dumping laws and email to Board.
New Business
DEC Water Survey: Information from NYCOM conference: Drinking Water Source Protection Program – free program; teams come and map water source, identify possible contaminants, and develop plans to remove contaminants. DEC and DOH willing to come and speak to the Board; they could Zoom into a meeting. Also got information on a Fire Fighter rebate on income taxes for Village residents.
Neighborhood Mixer: Resident asked if Rotary could have another get-together for community; Village Notice board inside the post office.
Citizens’ Comments: Has the board considered music in the Park during the summer months? Good idea.
Unpaid Taxes: list of unpaid taxes given to Board; copies of unpaid taxes were sent with new tax bills.
Approval of Bills: VanDeusen moved and Wilson seconded approval to pay bills. So passed.
Village
315-22 | Office Depot | A1325.4 | $189.89 | A2211 |
316-22 | Trust & Agency | A9030.8 | $264.35 | A2212 |
317-22 | Trust & Agency | FX9089.8 | $134.00 | FX1587 |
318-22 | Trust & Agency | FX9030.8 | $401.01 | FX1588 |
23-Jan | NYSEG | A1620.4 | $53.97 | A2220 |
23-Feb | NYSEG | A1620.4 | $49.54 | A2221 |
23-Mar | NYSEG | A7110.4 | $24.50 | A2222 |
23-Apr | Postmaster | A1325.4 | $126.00 | A2224 |
23-May | Delhi Telephone Company | A1620.4 | $78.70 | A0005 |
23-Jun | NYSEG | A5182.4 | $275.91 | A2226 |
23-Jul | Frontier | FX8320.4 | $9.50 | FX1591 |
23-Aug | NYSEG | FX8320.4 | $21.37 | FX1592 |
23-Sep | Capital One | A1325.4 | $15.99 | |
23-Oct | Otego Tire & Auto | A5110.4 | $748.00 | |
23-Nov | Mirabito | A5110.4 | $79.50 | |
23-Dec | Waste Recovery Enterprises | A8160.4 | $12.32 | |
13-23 | Stephen P Lawton | FX8310.2 | $1,698.00 | |
14-23 | Life Science Labs | FX8330.4 | $43.20 | |
15-23 | AMREX Chemical | FX8330.4 | $710.00 | |
16-23 | Ti Sales | FX8340.2 | $335.33 | |
17-23 | M & T Bank | FX9720.6 | $5,245.00 | |
17-24 | Blauer Associates | H8797.4 | $3,400.00 | |
17-25 | Delaware Engineering | H8794.4 | $2,790.00 | |
17-26 | Capital One | A5110.4 | $83.94 | |
TOTAL | $16,790.02 | |||
PAID PRIOR TO MEETING | $1,628.74 | |||
Total | $15,161.28 |
Recreation Commission
23-Jan | Frontier | J7545.4 | $76.25 | J1828 |
23-Feb | 21st Century Pools | J7145.4 | $551.00 |
Mayor Briggs adjourned the meeting at 8:36PM.
Respectfully submitted,
Paula Niebanck
Clerk/Treasurer
Budget Transfers for End of Fiscal Year 2022-2023
To: | From: | |||||
Acct. Code | Description | Amount | Acct. Code | Description | Amount | |
GENERAL FUND: | ||||||
1325.4 | $151.66 | 1410.4 | -151.66 | |||
1620.4 | $439.70 | 1325.11 | -439.70 | |||
5010.111 | $182.36 | 1325.11 | -182.36 | |||
5182.4 | $275.91 | 5142.4 | -275.91 | |||
9050.8 | $253.49 | 9040.8 | -253.49 | |||
$1,303.12 | -1303.12 | |||||
WATER FUND: | ||||||
8320.4 | Power & Pump, Exp. | $1,271.36 | 9030.8 | Other Employee Benefits | -104.00 | |
8330.4 | Purification, Exp. | $644.20 | 9089.8 | Fund Balance | -4047.68 | |
8310.1 | Administration, Pers. | $2,102.24 | ||||
9030.8 | Social Security | $133.88 | ||||
$4,151.68 | -4151.68 | |||||
$5,454.80 | -5454.80 |