HomeMy WebLinkAbout07/03/1972 - N f) {) 1 f~G-L RECORD OF PROCEEDINGS Minutes of REGULAR Form No. 1097 COLUMBUS BLANK BOOK CO., COL., O. ...-.. Meeting JULY 3 72 Held _______nn___ _n ___n___nn_ ______u____ nnn______n___nn_ un______________ __________n___nn nnn___nn ______ ______19 _nun_ The regular meeting of the Dublin Village Council was held at 8 :00 PM at the municipal building with Mayor Joseph Dixon presiding. *'~"" Roll call was held as follows: Coffman,present,Geese,present,Karrer,present, Maoklin,present ,Schontzler, present, and Ulrey ,present. -""s",,. The minutes of the preceeding meeting were read and approved. The following bills were introduced for Coffman Geese Karrer Macklin Schontzler Ulrey Perry Twp Std Oil Columbia Gas Burgess & Niple Electric 00 Westland Chrysler Headlee Refuse II Rose insurance IT Rose salary D Hughes " R Fays " state Income tax Police pension PER S Ohio Be 11 Internal Revenue Dixon Sheldon Marble Cliff Hanna pa int \\'hite Acres:~ implement Firestone Tire D Myers REger K Hill payment: llQOO 140.00 97.50 90.00 82.50 105.00 80.00 61.75 :: r:::n v.DG 177.72 1,15', 'gl 26.67 610.50 26.40 481.48 489.08 445.30 8.31 2l9.59 142.78 15.00 526.94 206.25 192.00 l7.20 l69.36 1135.15 74.84 140.00 112.00 128.00 Council salary II " It It " communications cruiser gas gas engr (f/~c:. Til'e- alterna.tor rpr trash contract police phone qtr payment Mayor salary Clerk It stone paint for garage new mower truck tire street labor " II Garage labor N:r. Macklin moved, secon,led by Mr. Geese that the bills be paid. Vote thereon was unanimous. Mr. Karrer introduced Ordina.nce 27-72 dealing with appointmerlt of a Village Fire protection Offiver. The Ordinance was read for the first time. Mr. Ulrey moved, seconded b;y Mr. Geese to dispense with the three time reading rule. Vote on the motion and the Ordinance was unanimous. There was discussion on purchase of land and hiring of a full time maintenanGe man but no official action was taken at tb~s meeting. A special meeting was scheduled for July 6 at 8 :00 ?m for adoption of' the proposed 1973 Budget.. Treasurers Report; Balance May 31, 1972 $ 38,477.09