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BELFORD PUBLIC NOTICE FORM FOR NEW LICENSE APPLICANTS Take notice that Belford Brewing Company Trading as N/A has applied to the Director of Alcoholic Beverage Control for a Limited Brewery license for the premises situated at 84 Leonardville Road, Belford and salesroom located at N/A. Objections, if any, should be made immediately in writing to the Director fo the Division of Alcoholic Beverage COntrol, P.O. Box 087, Trenton, New Jersey 08625-0087. Kevin Enny 81 Fourth Street Belford, New Jersey 07718 Belford Brewing Company President/CEO Kevin Enny 81 Fourth Street Belford NJ 07718 Vice President Michael Enny 25 Burlington Avenue Leonardo, NJ 07737 ($50.40) 061186
EAST BRUNSWICK BOARD OF EDUCATION COUNTY OF MIDDLESEX EAST BRUNSWICK TOWNSHIP SCHOOL DISTRICT Pursuant to N.J.S.A. 18A:22-11, NOTICE is hereby given that the East Brunswick Board of Education will hold a public hearing on the following proposed 2014-2015 school district budget at 8:00 p.m. on Thursday, April 24, 2014, at the Jon R. Kopko Administration Building, Boardroom, 760 Route 18, East Brunswick, New Jersey. School District Budget Statement for the School Year 2014-2015 MIDDLESEX - EAST BRUNSWICK TWP Advertised Enrollments ENROLLMENT CATEGORIES October 15, 2012 October 15, 2013 October 15, 2014 Actual Actual Estimated Pupils On Roll Regular Full-Time 7,449 7,492 7,572 Pupils On Roll Regular Shared-Time 12 9 1 Pupils On Roll - Special Full-Time 917 893 951 Pupils On Roll - Special Shared-Time 19 15 1 Subtotal - Pupils On Roll 8,397 8,409 8,525 Private School Placements 53 55 55 Pupils Sent to Other Dists-Spec Ed Prog 31 32 34 Pupils Received 29 31 27 Pupils in State Facilities 4 3 0 Advertised Revenues Budget Category Account 2012-13 2013-14 2014-15 Actual Revised Anticipated Operating Budget: Revenues from Local Sources: Local Tax Levy 10-1210 110,437,402 113,246,150 116,518,219 Total Tuition 10-1300 346,709 80,000 90,000 Rents And Royalties 10-1910 0 47,000 47,000 Unrestricted Miscellaneous Revenues 10-1XXX 623,028 304,525 351,525 Subtotal - Revenues From Local Sources 111,407,139 113,677,675 117,006,744 Revenues from State Sources: Categorical Transportation Aid 10-3121 577,924 596,256 596,256 Extraordinary Aid 10-3131 962,388 500,000 500,000 Categorical Special Education Aid 10-3132 5,044,500 5,085,994 5,085,994 Equalization Aid 10-3176 11,913,311 11,844,263 11,844,263 Categorical Security Aid 10-3177 142,435 151,656 151,656 Other State Aids 10-3XXX 36,329 1 166,701 Subtotal - Revenues From State Sources 18,676,887 18,178,170 18,344,870 Revenues from Federal Sources: Medicaid Reimbursement 10-4200 83,916 51,927 49,837 Education Jobs Fund 18-4522 1,745 0 0 Subtotal - Revenues From Federal Sources 85,661 51,927 49,837 Budgeted Fund Balance - Operating Budget 10-303 0 1,980,000 4,480,000 Withdrawal From Cap Res-For Local Share 10-307 0 1,153,530 0 Transfers From Other Funds 10-5200 100,000 200,000 400,000 Adjustment For Prior Year Encumbrances 0 681,193 0 Actual Revenues (Over)/Under Expenditures 610,553 0 0 Total Operating Budget 130,880,240 135,922,495 140,281,451 Grants and Entitlements: Other Revenue From Local Sources 20-1xxx 291,828 5,868,251 75,000 Total Revenues From Local Sources 20-1XXX 291,828 5,868,251 75,000 Revenues from State Sources: Other Restricted Entitlements 20-32XX 144,851 173,354 139,000 Total Revenues From State Sources 144,851 173,354 139,000 Revenues from Federal Sources: Title I 20-4411-4416 282,406 304,291 240,000 Title II 20-4451-4455 183,369 197,040 140,000 Title III 20-4491-4494 97,951 155,528 40,000 I.D.E.A. Part B (Handicapped) 20-4420-4429 2,128,839 1,885,666 1,700,000 Adult Basic Education 20-4440 148,371 243,012 200,000 Superstorm Sandy - FEMA/Other Restricted Recovery Sources 20-4526 155,548 0 0 Other 20-4XXX 14,659 10,960 0 Total Revenues From Federal Sources 3,011,143 2,796,497 2,320,000 Total Grants And Entitlements 3,447,822 8,838,102 2,534,000 Repayment of Debt: Revenues from Local Sources: Local Tax Levy 40-1210 8,383,979 8,122,565 7,698,287 Total Revenues From Local Sources 8,383,979 8,122,565 7,698,287 Revenues from State Sources: Debt Service Aid Type II 40-3160 419,959 419,959 419,959 Budgeted Fund Balance 40-303 0 7,250 289,415 Total Local Repayment Of Debt 8,803,938 8,549,774 8,407,661 Actual Revenues (Over)/Under Expenditures -201,641 0 0 Total Repayment Of Debt 8,602,297 8,549,774 8,407,661 Total Revenues/Sources 142,930,359 153,310,371 151,223,112 Total Revenues/Sources Net of Transfers 142,930,359 153,310,371 151,223,112 Advertised Appropriations Budget Category Account 2012-13 2013-14 2014-15 Actual Revised Anticipated General Current Expense: Instruction: Regular Programs - Instruction 11-1XX-100-XXX 41,740,770 41,882,297 43,678,154 Special Education - Instruction 11-2XX-100-XXX 10,293,421 11,095,813 11,121,673 Basic Skills/Remedial - Instruction 11-230-100-XXX 1,888,643 1,948,001 1,955,219 Bilingual Education - Instruction 11-240-100-XXX 594,117 529,854 543,960 School-Spon. Co/Extra Curr. Actvts. - Inst 11-401-100-XXX 306,952 297,508 299,864 School-Sponsored Athletics - Instruction 11-402-100-XXX 712,657 719,534 728,324 Support Services: Undistributed Expenditures -Instruction (Tuition) 11-000-100-XXX 4,015,981 3,655,839 3,523,546 Undist. Expend.-Attendance And Social Work 11-000-211-XXX 126,672 115,590 115,468 Undist. Expenditures - Health Services 11-000-213-XXX 1,255,925 1,282,506 1,313,754 Undist. Expend.-Speech, OT, PT And Related Svcs 11-000-216-XXX 2,304,019 2,264,575 2,329,669 Undist Expend-Oth Supp Serv Std-Extra Serv 11-000-217-XXX 1,890,780 2,315,341 2,529,208 Undist. Expenditures - Guidance 11-000-218-XXX 2,937,166 3,094,940 3,171,942 Undist. Expenditures - Child Study Teams 11-000-219-XXX 2,546,142 2,641,293 2,703,207 Undist. Expend.-Improv. Of Inst. Serv. 11-000-221-XXX 1,163,220 1,875,971 1,905,246 Undist. Expend.-Edu. Media Serv./Library 11-000-222-XXX 1,308,352 1,239,353 1,275,723 Undist. Expend.-Instr. Staff Training Serv. 11-000-223-XXX 1,210,069 1,493,270 1,515,343 Undist. Expend.-Support Serv.-Gen. Admin. 11-000-230-XXX 1,232,055 1,432,573 1,415,495 Undist. Expend.-Support Serv.-School Admin. 11-000-240-XXX 4,809,718 4,660,854 4,714,160 Undist. Expend. - Central Services 11-000-251-XXX 1,630,316 1,995,969 2,123,832 Undist. Expend. - Admin. Info Technology 11-000-252-XXX 1,587,818 1,831,193 1,767,982 Undist. Expend.-Oper. And Maint. Of Plant Serv.11-000-26X-XXX 10,704,702 12,281,782 12,678,604 Undist. Expend.-Student Transportation Serv. 11-000-270-XXX 7,179,167 7,855,411 8,030,200 Personal Services - Employee Benefits 11-XXX-XXX-2XX 21,411,570 22,488,983 24,973,397 Total Undistributed Expenditures 67,313,672 72,525,443 76,086,776 Total General Current Expense 122,850,232 128,998,450 134,413,970 Capital Expenditures: Equipment 12-XXX-XXX-730 138,280 58,017 7,000 Facilities Acquisition And Const. Serv. 12-000-400-XXX 6,721,089 4,994,108 3,532,513 Total Capital Outlay 6,859,369 5,052,125 3,539,513 Transfer Of Funds To Charter Schools 10-000-100-56X 1,215,974 1,871,920 2,327,968 General Fund Grand Total 130,925,575 135,922,495 140,281,451 Special Grants and Entitlements: Local Projects 20-XXX-XXX-XXX 291,828 5,868,251 75,000 Other State Projects: Nonpublic Textbooks 20-XXX-XXX-XXX 24,087 33,238 24,000 Nonpublic Auxiliary Services 20-XXX-XXX-XXX 22,238 44,577 32,000 Nonpublic Handicapped Services 20-XXX-XXX-XXX 54,389 49,757 48,000 Nonpublic Nursing Services 20-XXX-XXX-XXX 35,702 36,362 35,000 Nonpublic Technology Initiative 20-XXX-XXX-XXX 8,435 9,420 0 Total Other State Projects 144,851 173,354 139,000 Total State Projects 20-XXX-XXX-XXX 144,851 173,354 139,000 Federal Projects: Title I 20-XXX-XXX-XXX 282,406 304,291 240,000 Title II 20-XXX-XXX-XXX 183,369 197,040 140,000 Title III 20-XXX-XXX-XXX 97,951 155,528 40,000 I.D.E.A. Part B (Handicapped) 20-XXX-XXX-XXX 2,128,839 1,885,666 1,700,000 Adult Education 20-XXX-XXX-XXX 148,371 243,012 200,000 Other 20-XXX-XXX-XXX 170,207 10,960 0 Total Federal Projects 20-XXX-XXX-XXX 3,011,143 2,796,497 2,320,000 Total Special Revenue Funds 3,447,822 8,838,102 2,534,000 Repayment of Debt: Total Regular Debt Service 40-701-510-XXX 8,602,297 8,549,774 8,407,661 Total Debt Service Funds 8,602,297 8,549,774 8,407,661 Total Expenditures/Appropriations 142,975,694 153,310,371 151,223,112 Total Expenditures Net of Transfers 142,975,694 153,310,371 151,223,112 Advertised Recapitulation of Balances Budget Category Audited Audited Estimated Estimated Balance Balance Balance Balance 6-30-2012 6-30-2013 6-30-2014 6-30-2015 Unrestricted: --General Operating Budget 4,964,104 4,759,523 5,204,826 2,704,826 --Repayment of Debt 95,024 296,665 289,415 0 Restricted for Specific Purposes- General Operating Budget: --Capital Reserve 8,154,110 10,695,943 9,954,815 9,954,815 --Adult Education Programs 0 0 0 0 --Maintenance Reserve 0 0 0 0 --Legal Reserve 408,191 2,317,705 1,980,000 0 --Tuition Reserve 0 0 0 0 --Current Expense Emergency Reserve 0 0 0 0 Repayment of Debt: --Restricted for Repayment of Debt 0 0 0 0 Advertised Per Pupil Cost Calculations 2011-12 2012-13 2013-14 2013-14 2014-15 Actual Actual Original Revised Proposed Per Pupil Cost Calculations Costs Costs Budget Budget Budget Total Budgetary Comparative Per Pupil Cost $13,204 $13,645 $14,029 $14,210 $14,618 Total Classroom Instruction $8,016 $8,379 $8,447 $8,499 $8,791 Classroom-Salaries and Benefits $7,620 $7,887 $8,038 $8,073 $8,337 Classroom-General Supplies and Textbooks $204 $214 $223 $224 $214 Classroom-Purchased Services $191 $278 $187 $202 $240 Total Support Services $2,173 $2,234 $2,356 $2,443 $2,519 Support Services-Salaries and Benefits $1,952 $1,986 $2,081 $2,112 $2,164 Total Administrative Costs $1,382 $1,399 $1,432 $1,451 $1,451 Administration Salaries and Benefits $1,229 $1,249 $1,272 $1,263 $1,284 Total Operations and Maintenance of Plant $1,446 $1,440 $1,600 $1,620 $1,657 Operations and Maintenance-Salaries and Benefits $576 $606 $587 $598 $614 Board Contribution to Food Services $0 $0 $0 $0 $0 Total Extracurricular Costs $149 $154 $154 $152 $154 Total Equipment Costs $14 $17 $5 $7 $1 Legal Costs $24 $20 $25 $25 $25 Employee Benefits as a percentage of salaries* 28.19% 27.77% 27.35% 28.24% 30.56% *Does not include pension and social security paid by the State on-behalf of the district. ** Federal and State funds in the blended resource school-based budgets. The information presented in columns 1 through 3 as well as the related descriptions of the per pupil cost calculations are contained in the Taxpayers Guide to Education Spending (formerly Comparative Spending Guide) and can be found on the Department of Education website: http://www.state.nj.us/education under Finance, when available. This publication is available in the board office and public libraries. The same calculations were performed using the 2013-14 revised appropriations and the 2014-15 budgeted appropriations presented in this advertised budget. Total Budgetary Comparative Per Pupil Cost is defined as current expense exclusive of tuition expenditures, transportation, residential costs, and judgments against the school district. For all years it also includes the restricted entitlement aids. With the exception of Total Equipment Cost, each of the other per pupil cost calculations presented is a component of the total comparative per pupil cost, although all components are not shown. Capital Projects Funding Source Request for Request Project Dollar Eligible to Exceed to Exceed Description/Activity Number Amount for Grant Referendum Referendum SALARIES 2014-01 96,094 N N ARCHITECTURAL/ENGINEERING SERVICES 2014-02 85,050 N N CONSTRUCTION SERVICES 2014-03 145,000 N N SUPPLIES AND MATERIALS 2014-04 60,000 N N LEASE PURCHASE AGREEMENTS- PRINCIPAL 2014-05 2,798,831 N N The proposed budget will be on file and open to the examination of the public, until the date of the public hearing, at the Board of Education offices, 760 Route 18, Suite 108, East Brunswick, New Jersey, between the hours of 8:30 a.m. and 3:30 p.m., excluding holidays, as well as the East Brunswick Public Library's Reference Desk and the school district website at www.ebnet.org.The school district has proposed programs and services in addition to the Core Curriculum Content Standards adopted by the State Board of Education. ($305.50) 064286
MONMOUTH COUNTY SUPERIOR COURT OF NEW JERSEY CHANCERY DIVISION MONMOUTH COUNTY DOCKET NO. F-12137-14 NOTICE TO ABSENT DEFENDANTS STATE OF NEW JERSEY TO: KATHLEEN C. MONTIGELLI YOU ARE HEREBY SUMMONED AND REQUIRED to serve upon FEIN, SUCH, KAHN & SHEPARD, plaintiff's attorneys, whose address is 7 Century Drive, Suite 201, Parsippany, New Jersey 07054, telephone number #(973) 538-9300, an Answer to the Complaint and Amended Complaint, if any, filed in a civil action, in which PHH MORTGAGE CORPORATION is Plaintiff and KATHLEEN C. MONTIGELLI, et al., are defendants, pending in the Superior Court of New Jersey, Chancery Division, MONMOUTH County and bearing Docket No. F-12137-14 within thirty-five (35) days after 4/20/2014 exclusive of such date, or if published after 4/20/2014, thirty-five (35) days after the actual date of such publication, exclusive of such date. If you fail to do so, Judgment by Default may be rendered against you for the relief demanded in the Complaint. You shall file your answer and proof of service in duplicate with the Clerk of the Superior Court, Hughes Justice Complex, CN-971, Trenton, New Jersey 08625, in accordance with the Rules of Civil Practice and Procedure. This action has been instituted for the purpose of (1) foreclosing a mortgage dated September 12, 2007 made by KATHLEEN C. MONTIGELLI as mortgagor to MORTGAGE ELECTRONIC REGISTRATION SYSTEMS, INC. AS NOMINEE FOR MERRILL LYNCH CREDIT CORPORATION recorded on September 20, 2007, in Book OR-8678 of Mortgages for MONMOUTH County, Page 7735, et seq., which mortgage was duly assigned to the Plaintiff named above, who is the present holder of said Mortgage. and (2) to recover possession of, and concerns premises commonly known as 657 ST ANDREWS PL, MANALAPAN, NJ 07726, Block 7200, Lot 21.01 QUAL.C657. You are made a defendant because you are a mortgagor and your lien or encumbrance on the mortgaged premises is subject to plaintiff's mortgage. If you cannot afford or are unable to obtain an attorney, you may communicate with the Legal Services Office of the County of venue by calling: MONMOUTH COUNTY LAWYER REFERRAL: (732)431-5544 MONMOUTH COUNTY LEGAL SERVICES: (732)866-0020 YOU, KATHLEEN C. MONTIGELLI are made party defendant(s) to this foreclosure action because you are one of the mortgagors and may be liable for any deficiency and for any lien, claim, or interest you may have in, to or against the mortgaged premises by reason of the Mortgage made by you, KATHLEEN C. MONTIGELLI, as set forth above. Upon request, a copy of the Complaint and Amended Complaint, if any, will be supplied to you for particularity. Dated: April 17, 2014 MICHELLE SMITH Clerk of the Superior Court of New Jersey ($72.90) 069055
MONMOUTH COUNTY SUPERIOR COURT OF NEW JERSEY CHANCERY DIVISION MONMOUTH COUNTY DOCKET NO. F-3409-14 NOTICE TO ABSENT DEFENDANTS STATE OF NEW JERSEY TO: JOSEPH J. MAZZELLA MARYANN MAZZELLA YOU ARE HEREBY SUMMONED AND REQUIRED to serve upon FEIN, SUCH, KAHN & SHEPARD, plaintiff's attorneys, whose address is 7 Century Drive, Suite 201, Parsippany, New Jersey 07054, telephone number #(973) 538-9300, an Answer to the Complaint and Amended Complaint, if any, filed in a civil action, in which BANK OF AMERICA, N.A. is Plaintiff and JOSEPH J. MAZZELLA, et al., are defendants, pending in the Superior Court of New Jersey, Chancery Division, MONMOUTH County and bearing Docket No. F-3409-14 within thirty-five (35) days after 4/20/2014 exclusive of such date, or if published after 4/20/2014, thirty-five (35) days after the actual date of such publication, exclusive of such date. If you fail to do so, Judgment by Default may be rendered against you for the relief demanded in the Complaint. You shall file your answer and proof of service in duplicate with the Clerk of the Superior Court, Hughes Justice Complex, CN-971, Trenton, New Jersey 08625, in accordance with the Rules of Civil Practice and Procedure. This action has been instituted for the purpose of (1) foreclosing a mortgage dated December 8, 2009 made by JOSEPH J. MAZZELLA and MARYANN MAZZELLA as mortgagors to MORTGAGE ELECTRONIC REGISTRATION SYSTEMS, INC. AS NOMINEE FOR GFI MORTGAGE, INC. recorded on December 17, 2009, in Book 8811 of Mortgages for MONMOUTH County, Page 8449, et seq., which mortgage was duly assigned to the Plaintiff named above, who is the present holder of said Mortgage. and (2) to recover possession of, and concerns premises commonly known as 4 CRIMSON LANE, FREEHOLD, NJ 07728, Block 31.02, Lot 3. You are made a defendant because you are a mortgagor and your lien or encumbrance on the mortgaged premises is subject to plaintiff's mortgage. If you cannot afford or are unable to obtain an attorney, you may communicate with the Legal Services Office of the County of venue by calling: MONMOUTH COUNTY LAWYER REFERRAL: (732)431-5544 MONMOUTH COUNTY LEGAL SERVICES: (732)866-0020 YOU, JOSEPH J. MAZZELLA are made party defendant(s) to this foreclosure action because you are one of the mortgagors and may be liable for any deficiency and for any lien, claim, or interest you may have in, to or against the mortgaged premises by reason of the Mortgage made by you, JOSEPH J. MAZZELLA and MARYANN MAZZELLA, as set forth above. YOU, MARYANN MAZZELLA are made party defendant(s) to this foreclosure action because you are one of the mortgagors and may be liable for any deficiency and for any lien, claim, or interest you may have in, to or against the mortgaged premises by reason of the Mortgage made by you, JOSEPH J. MAZZELLA and MARYANN MAZZELLA, as set forth above. Upon request, a copy of the Complaint and Amended Complaint, if any, will be supplied to you for particularity. Dated: April 16, 2014 MICHELLE SMITH Clerk of the Superior Court of New Jersey File No. ZBOA2192 ($82.80) 068948
TOWNSHIP OF PLUMSTEAD BOARD OF EDUCATION NOTICE OF PUBLIC HEARING PLEASE TAKE NOTICE THAT The Board of Education of the Township of Plumsted in the County of Ocean, New Jersey (the "Board") will hold a public hearing at a meeting to be held on Wednesday, April 30, 2014 at 7:30 p.m. at New Egypt High School, 117 Evergreen Road, New Egypt, New Jersey, to consider the undertaking of a capital improvement project, consisting of roof replacement at the High School (the "Project") for an estimated cost of $800,000, $392,000 of such cost is anticipated to be paid by the State of New Jersey through a grant and $408,000 of such cost is expected be funded by the Board through its undertaking of a lease-purchase financing. Taxpayers and other interested persons shall have an opportunity to present questions or to make comments concerning the Project and the Board's proposed funding method for same. Sean Gately, Business Administrator/Board Secretary The Board of Education of the Township of Plumsted ($28.80) 068953