AGENDA FOR
PUBLIC MEETING OF MAYOR AND COUNCIL
(Agenda Meeting -
____________________________________________________________________________________
1. Meeting Call to order by Mayor Gallagher in accordance with the Open
Public Meetings Act.
2. Roll
call by
3. Pledge of Allegiance
4. Invocation by Councilman Cusick
5. Acceptance
of Governing Body Minutes
6. Presentation
of Grants: $175,000
from the State of
presented by Assemblyman Diegnan and Assemblyman Barnes
$250,000 for the Purchase of Block 250, Lot 5 from the
County Open Space Trust Fund presented by Freeholder John Pulomena.
7. Public Comments on Agenda Items only.
8. ORDINANCES
Public Hearing and Final Adoption
#1725 An ordinance designating certain intersections as STOP INTERSECTIONS and providing
a stop sign at said locations within the Borough of South Plainfield.
9. RESOLUTIONS
#064 Accept the
resignation of part-time recreation attendants Dennis Keane and Kevin Hohner
effective immediately.
#065 Issue an On-Premise
50/50 raffle license to Our Lady of Czestochowa for the Feast of St.
for June 6 through June 10, 2006 at various times in
accordance with all Borough and Legalized Games of Chance Control Commission regulations.
All State fees have been paid and all Borough fees have been waived.
#066 Issue an Off-Premise
50/50 raffle license to South Plainfield Vision 2001 Education
Foundation for
#067 Authorize the Mayor
and Municipal Clerk to execute the Lease Agreement with the South
purposes.
#068 Issue an Off-Premise
Super 50/50 raffle license to Our Lady of Czestochowa for the Feast of
St. Anthony for
Legalized Games of Chance Control Commission regulations. All State fees have been
paid and all Borough fees have been waived.
#069
an
#070 Authorize the
entering into Executive Session for items approved by the Open Public
Meetings Act, P.L. 1975,
#071 Approve the waiver of
all fees, except electrical, for the Feast of
at Our Lady of Czestochowa which will be held from June 6 through
#072 Authorize the
appointment of Travis J. Noll as a Volunteer Firefighter.
10. CORRESPONDENCE
11. PAYMENT
OF BILLS
Current Fund Reserve - $
Current Fund -
$247,120.28
Sewer Utility
Operating Fund - $9,872.55
Pool Utility
Operating Fund $
General Capital
- $3,178.00
Sewer Utility
Capital Fund - $
Grant Fund -
$2,021.00
Treasurers Trust
- $4,279.74
Recreation Trust
- $5,435.50
Dog Trust -
$3,910.36
Pool Capital -
$
Sewer Utility
Reserve - $
Pool Utility Reserve - $
TOTAL OF ALL FUNDS - $275,817.43
12. REPORTS
13. PUBLIC COMMENTS
14. ADJOURNMENT