Town Annual Report of the Officers of the Town of Milford, Massachusetts 1930, Part 1

Author: Milford (Mass.)
Publication date: 1930
Publisher: The Town
Number of Pages: 330


USA > Massachusetts > Worcester County > Milford > Town Annual Report of the Officers of the Town of Milford, Massachusetts 1930 > Part 1


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ANNUAL REPORT


OF THE


Receipts and Expenditures OF THE


TOWN OF MILFORD,


CONTAINING REPORTS OF THE


Selectmen, Highway Surveyor, Treasurer, Tax Col- lector, Assessors, Town Accountant, Town Library Trustees, Fire Engineers, Sewer Commissioners, Board of Public Welfare, Park Commissioners. Board of Health, Chief of Police, Inspector- of Wires, Inspector of Animals, Sealer of Weights and Measures, Town Solicitor, School Committee, Superintendent of Schools and Town Clerk,.


FOR THE


Year Ending December 31, 1930.


ALSO THE


Report of a State Audit of Town Accounts for the Period from January 1, 1929, to March 26, 1930.


MILFORD, MASS .: G. M. BILLINGS, PRINTER, GAZETTE OFFICE


1931.


TOWN OFFICERS.


SELECTMEN.


Philip Cenedella, Chairman, Timothy W. Hannigan, P. Eugene Casey. TOWN CLERK. (Clerk of Selectmen). Dennis J. Sullivan.


TOWN TREASURER. Benjamin J. Clancey. TAX COLLECTOR.


William J. Read.


HIGHWAY SURVEYOR. Edward C. Beaulac.


ASSESSORS. William F. Clancy, Chairman, Term expires 1933, Frederick W. Holland, Term expires 1932, Frederick A. Nealon, Term expires 1931. BOARD OF PUBLIC WELFARE.


Michael B. Sweeney, Term expires 1931,


Fred J. Coleman, Term expires 1932, Charles A. Humes, Term expires 1933. BOARD OF HEALTHI.


Maurice J. Quinlan, Chairman, Term expires 1931, Oscar C. Ayotte, Secretary, Term expires 1932, Arthur J. Chambers, Term expires 1933. SEWER COMMISSIONERS.


Frank P. Dillon, Chairman, Term expires 1931, Louis P. Pratt, Term expires 1932, Alfred F. Martin, Term expires 1933.


4


SCHOOL COMMITTEE.


John C. Lynch, Chairman, Term expires 1933, Alfred B. Cenedella, Term expires 1933, George F. Grayson, Term expires 1932, Herbert W. Shaw, Term expires 1932, William J. Moore, Term expires 1931, Joseph Roy Kerr, Term expires 1931. TRUSTEES OF PUBLIC LIBRARY.


Thomas J. Nugent, Chairman, Term expires 1932, Thomas J Quirk, Term expires 1932, Stephen H. Reynolds, Term expires 1931, Frederick H. Gould, Term expires 1931, William K. Coombs, Term expires 1933, Gilbert C. Eastman, Term expires 1933 .. TRUSTEES VERNON GROVE CEMETERY.


Herbert S. Eldredge, Chairman, Term expires 1932, Arthur L Maynard, Term expires 1932, Herbert B. Hill, Term expires 1931, Emerson Robinson, Term expires 1931, Herbert E. Scott, Term expires 1933, Frank Roy Hixon, Termin expires 1933. PARK COMMISSIONERS.


Edward V. Burns, Chairman, Team expires 1933,


Simon P. Hickey, Term expires 1931, William D. Baxter, Term expires 1932. PLANNING BOARD.


John C. Lynch, Term expires 1933,


Thomas F. Maher, Term expires 1932, William K. Coombs, Term expires 1931. TREE WARDEN. Michael D. Burke. CONSTABLES.


John L. Keefe, Thomas McDonald,


Arthur H. O'Keefe, Axel W. Pearson, William F. Fitzpatrick.


5


Officers Appointed by the Selectmen. TOWN SOLICITOR. Alfred B. Cenedella. TOWN ACCOUNTANT. Michael J. Hannigan. ENGINEERS OF THE FIRE DEPARTMENT. Ernest E O'Brien, Chief, Perley S. Johnson, First Assistant, Luigi Abbiuso, Second Assistant. INSPECTOR OF WIRES. Fred M. Daniels.


REGISTRARS OF VOTERS.


George W. Billings, Chairman, Joseph A. Visconti, John J. Best, Dennis J. Sullivan, Town Clerk, Ex Officio. SEALER OF WEIGHTS AND MEASURES. (Classified under Civil Service). . Daniel M. O'Brien. JANITOR OF Town HALL AND LOCKUP KEEPER. Daniel M. O'Brien. JANITOR OF MEMORIAL HALL. Arthur L. Maynard. BURIAL AGENT.


Charles A. Goucher. FIELD DRIVER. Peter Gallagher. FENCE VIEWERS. Charles H. Kimball, Umberto Tosti.


John J. Moloney, James J. Fullum, Daniel M. O'Brien, Thomas H. Heagney,


CONSTABLES. Raphael Marino, Ernest E. O'Brien, Arthur Raymond Cross, Roland F. Milan.


6


CHIEF OF POLICE. (Classified und'er Civil Service). John J. Moloney. PATROLMEN.


(Classified as Police Officers under Civil Service).


James J. Birmingham,


Ernest L. Bagley,


William J. Corbett,


John C. Wilson,


Iginio A. Pantano,


James J. Fullum,


Arthur Raymond Cross,


Alphonse J. Calzone,


(Resigned).


SPECIAL POLICE OFFICERS.


William W. O'Brien,


John Larson,


Oscar A. Williams,


Lyndhurst A MacGregor,


Giuseppe Cellini,


Michael Fitzpatrick,


Alfred P. Henderson,


Frank E. Hill,


Antonio Santosuosso,


Frank J Davoren,


Luigi Iacovelli,


William F. McAvoy,


Joseph Renda,


George I Spindel,


Joseph L. Gibbs,


Gaetano Bonini,


John F. Damon,


Mark T Thibedeau,


Gaetano Introini,


Michael Di Orio,


Agostino Chianese,


Daniel F. Tynan,


William Taylor,


Frank I. Ward,


Myron Morey,


William S Davis,


Cornelius J. Foley,


Walter F Snowling, John J. Donigan,


Edward Davoren,


Hugh F. Mears,


William J. Carley,


Willam N. Prentiss,


Otis J. Julian,


John J. Harrington, Herman G. Sawler, Pasquale Iadarola, Nicholas Ruscitti, J. Burke Cahill,


James Doyle,


Frank DeCesare,


Salvatore Micelotti,


Clement Morgan,


John F. Crowley,


Charles Carley,


Louis Volpe,


Antonio Battuelli,


Frank Lamborghini,


Arthur F O'Keefe,


-


John F. Cuddihy,


7


Roger Fertitta, John McGrath, Rudolph Introini,


James J. Cahill, Charles H. Kimball, Peter Moran, Dominick Bozzini, Simon P. Hickey (Town Park), William D. Baxter (Town Park), Elmer Howarth (Town Park), Leslie Vaughn (Town Park), Joseph B. Hurl (Opera House, State Theatre),. Arthur Mabey ( State Theatre), Patrick H. Rabbitt (State Theatre),


Arthur L. Maynard (Memorial Hall), George L. Harlow (Claflin Property), John Jones, (B. & A, R. R ), ' Lucius R. Dodge, (G. &. U. R. R.), Wallace A. Lindsay (Archer Rubber Co.),


George P. Ingalls (Congregational Church Property), William A. Birmingham (K. of C. Hall), Harold Trudell (Red Men's Hall), Benjamin Davis (M H. & F. Bus Co.), Edric Temple (Odd Fellows Hall), Antonio DeLuzio (East St. District), Arthur C. Munyon (Golf Links), Herbert C. Hopkins (Vernon Grove Cemetery), James Murphy (Post-Office), Daniel Carey (Milford Iron Foundry), John Anderson (Pickett's Straw Factory), William Hixon (Vernon Grove Cemetery), Louis Rizoli (Driving Park Hall), Albert Rizzi (Driving Park Hall), Charles Frascotti ( Plains School), John F. Smith (State Armory).


PUBLIC WEIGHERS AND WEIGHERS OF COAL.


Joseph P. Shaughnessy, Grace Doherty, Harold M. Curtiss,


Lewis F. Aldrich,


Benjamin Vitalini,


Helen Shaughnessy,


Daniel M. O'Brien,


Philip P. Clarke,


8


TV. Ramus Vitalini, Frank T. Ballou,


Michael Nugent,


Elmer I. Goddard,


Harold Shaughnessy, Batista J. Vitalini,


Charles A. Brisson, E. M. Royce,


William St. George,


Fred J Doherty, Helen Morgan, James B. Lester,


Walter W Goddard.


PUBLIC WEIGHERS.


Harry A. Macuen, John Morey,


George A. Moore,


Daniel B. Watson,


Myron Morey, A da B. Daniels,


Clarence D. Burnett,


John P. Arata.


MEASURERS OF WOOD AND BARK.


Benjamin Vitalini,


Albert Taylor,


Harry A. Macuen,


James J. Cabill,


George Spindel,


John P. Remick,


George A. Moore,


Philip P. Clarke,


John Morey, Elmer I. Goddard,


Frank Murphy,


Joseph P. Shaughnessy,


Frank M. J Hynes,


Charles H. Brisson,


Lewis F. Aldrich,


Myron Morey,


Nathaniel Spindel,


William N. Prentiss,


Leo F. Ross,


Ada B. Daniels,


Louis Kempton,


Edward J . O'Connor,


Batista J. Vitalini,


Arthur C. Johnson,


W. Ramus Vitalini, Harold Shaughnessy,


Ernest H. Johnson.


Appointed by Director, Division of Animal Industry. INSPECTOR OF ANIMALS. Dr. Benjamin F. Hartman.


Appointed by State Forester. FOREST FIRE WARDEN. Ernest E. O' Brien. GYPSY MOTH SUPERINTENDENT. Michael D. Burke.


9


Appointed by Board of Public Welfare. TOWN PHYSICIAN. John V. Gallagher, M. D. ALMONER. John T. O'Brien. SUPERINTENDENT OF TOWN FARM. Frank E. Hill.


Appointed by Board of Health INSPECTOR OF MEATS AND PROVISIONS. Edward J. O'sullivan. ASSISTANT INSPECTOR OF MEATS AND PROVISIONS. Benjamin F. Hartman. INSPECTOR OF PLUMBING (Classified under Civil Service). John E. Higgiston. ASSISTANT INSPECTOR OF PLUMBING. (Classified under Civil Service ) Maurice J. Quinlan.


Appointed by Sewer Commissioners. SUPERINTENDENT OF SEWERS. Charles F. Cahill.


Appointed by School Committee. SUPERINTENDENT OF SCHOOLS AND SECRETARY OF SCHOOL COMMITTEE. Almorin O Caswell. SCHOOL PHYSICIANS. John M. French, M. D. John V. Gallagher, M. D. ATTENDANCE OFFICER. Raphael Marino.


10


Appointed by Engineers of Fire Department. SUPERINTENDENT OF FIRE ALARM. Ernest E. O'Brien. CLERK OF ENGINEERS. John N. Julian.


Appointed by Selectmen. FINANCE COMMITTEE.


Walter L. Adams, Chairman, Term expires 1931,


Alton H. Metcalf, Term expires 1931, John H. Cunniff, Term expires 1931, Frederick T. Cahill, Term expires 1931, William H. Casey, Term expires 1931.


Marcus W. Rose, Term expires 1932, Myron Morey, Term expires 1932, Norry Miett, Term expires 1932, Michael S. Mc Mahon, Term expires 1932, L. Blaine Libbey, Secretary, Term expires 1932. John F. Damon, Term expires 1933, Philip S. Kimball, Term expires 1933,


Patrick C. J. Dacey, Term expires 1933,


Rudolph Mainini, Term expires 1933, Joseph Morcone, Term expires 1933.


TRUSTEES OF NORTH PURCHASE CEMETERY.


Myron Morey, Nelson Morey,


Jennie Morey, May Bickford,


Mabel F. Kinney, James A. Tyler.


TOWN APPROPRIATIONS.


Raised and appropriated at the annual town meeting, March 3, 7, 11, and 15, 1930.


GENERAL GOVERNMENT.


Moderator.


$ 125 00


Selectmen (Salaries and expenses) 3,300 00


Finance Commission .


75 00


Town Accountant (Salary and expenses) .


2,400 00


Treasurer (Salary and expenses) . .


2,000 00


Treasurer's Bond . 220 00


Tax Collector (Salary and expenses)


4,300 00


Tax Collector's Bond 440 00


Assessors (Salaries and expenses)


4,200 00


Publishing Poll Lists


600 00


Other Finance Officers and Accounts


50 CO


Town Solicitor (Salary and expenses)


1,200 00


Town Clerk (Salary and expenses)


-


1,800 00


Planning Board


15 60


Election, Registration, and Town Meeting


3,000 00


Town Hall ·


2,800 00


Town Hall (Unpaid bills)


35 04


Memorial Hall (General)


$1,200 00


Memorial Hall (Repairs)


850 00


Memorial Hall (Insurance)


500 00


2,550 00


PROTECTION OF PERSONS AND PROPERTY.


Police Department


$20,000 00


Court Fees (Gen. Laws Chap. 252, Sec. 51) 100 00


Fire Department :


Pay of Members $18,450 00


Incidentals 3,500 00


Unpaid bills 37 55


Unpaid bills (1928)


60 00


.


·


.


12


Repairs .


$500 00


New hose


·


.


500 00


Brush fires


300 00


$23,347 55


Hydrant service


9,650 00


Rifle practice, Co. I, M. N. G.


400 00


Inspector of Wires


400 00


Sealer of Weights and Measures


750 00


Tree Warden :


Gypsy Moth suppression $ 500 00


Care of trees


.


·


1,000 00


New trees


150 00


1,650 00


Dog Officer


250 00


HEALTH AND SANITATION.


Health Department


$ 8,500 00


Inspector of Animals


350 00


Inspector of Plumbing


600 00


Dental Clinic .


2,400 00


Worcester County T. B. Hospital


1,786 88


Sewer Maintenance


8,500 00


Sewer Construction


12,000 00


HIGHWAY DEPARTMENT.


General for Highways


$60,000 00


Oiling Streets


.


3,000 00


Sidewalks .


.


5,000 00


Street Lights


13,000 00


CHARITIES AND SOLDIERS' BENEFITS.


Public Welfare:


General and Mothers' Aid


. $ 56,500 00


Repairs to Infirmary


1,500 00


State Aid


700 00


Military Aid .


500 00


Soldiers' Relief


8,500 00


Soldiers' Relief (Unpaid bills)


124 55


Care of Soldiers' and Sailors' graves


.


. 100 00


.


·


.


.


.


.


.


.


.


$ 68,000 00


13


SCHOOL AND LIBRARY.


School Department . $207,555 00


Town Library


3,694 19


Town Library (Dog Tax, 1929, appropriated)


1,305 81


RECREATION AND UNCLASSIFIED.


Town Parks:


General


$2,500 00


New walks


1,200 00


Playgrounds


1,200 00


$4,900 00


Town Reports


1,186 30


Workmen's Compensation Insurance Premium .


2,000 00


Damage to persons and property


·


1,000 ( @


Land damages (E. Main Street)


3,500 00


Land damages (So. Main St. and Upton Road)


5,800 00


Memorial Day:


Grand Army of the Republic $200 00


American Legion .


200 00


Spanish War Veterans . .


50 00


450 00


Armistice Day:


Veterans of Foreign Wars .


200 00


Celebration of 150th Anniversary


10,000 00


Reserve Fund


5,000 00


Worcester County Extension Service


100 00


CEMETERIES.


Vernon Grove Cemetery:


General .


$2,000 00


New Fence


1,000 00


$3,000 00


North Purchase Cemetery


75 00


INTEREST AND MATURING DEBT.


Interest


$22,000 00


Maturing Debt


33,000 00


UNCLASSIFIED.


Constructing Cement Sidewalks on Main Street $12,000 00


14


Round Pond Improvements $ 6,000 00


Cedar Swamp Pond, Surveying of 750 00


Rebuilding West Street . 12,000 00


Installing Approved Traffic Lights, corner Ex- change, West and Congress Streets 300 00


Alterations in and addition to the Purchase Grammar School 12,000 00


Total Appropriations


. $621,535 32


Total amount raised and appropriated . $620,229 51


A true copy of the records. Attest :


DENNIS J. SULLIVAN, Town Clerk.


TOWN APPROPRIATIONS.


Raised and appropriated at' a special town meeting Au- gust 20, 1930 :-


Soldiers' Relief


$ 5,000 00


Traffic signals, at junction of Exchange, Con-


gress and West Streets 700 00


Board of Public Welfare . . 12,500 00 .


General Sewer construction


5,000 00


Total $23,200 00


Article 3. Voted: To rescind a vote passed at an ad- journed town meeting, March 11, 1930, under Article 26, whereby it was voted: To raise and appropriate the sum of Twelve Thousand Dollars ($12,000 00) for the purpose of re- building West Street, from the Milford State Highway line at a point near the Clancey property towards Congress Street, said money to be used in conjunction with money allotted by State and County for this purpose.


Total Appropriations (1930) . $632,735 32


Total amount raised and appropriated (1980) . $631,429 51


A true copy of the records.


Attest :


DENNIS J. SULLIVAN, Town Clerk.


REPORT OF AN AUDIT of the Accounts of the Town of Milford For the Period from January 1, 1929 to March 26, 1930.


Made in Accordance with the Provisions of Chapter 44, General Laws.


JULY 30, 1930.


July 30, 1930.


To the Board of Selectmen,


Mr. Philip Cenedella, Chairman, Milford, Massachusetts.


Gentlemen :


I submit herewith my report of an audit of the books and accounts of the town of Milford for the period from January 1, 1929, to March 26, 1930, made in accordance with the provisions of Chapter 44 of the General Laws. This report is in the form of a report made to me by Mr. Edward H. Fenton, Chief Accountant of this Division.


Very truly yours, THEODORE N. WARDELL, Director of Accountants. Mr. Theodore N. Waddell, Director of Accounts,


Department of Corporations and Taxation, State House, Boston.


Sir :


As directed by you, I have made an audit of the books and accounts of the town of Milford for the period from January 1, 1929, to March 26, 1930, and submit the fol- lowing report thereon :-


The financial transactions of the town, as recorded on the books of the several departments collecting money for the town or committing bills for collection, were examined and checked for the period of the audit.


The books and accounts of the town accountant were examined and checked with the treasurer's books and


16


with the records in the several departments. The receipts as recorded were checked with the treasurer's cash book and the payments were checked with the warrants.


The ledger was analyzed in detail, the appropriations were checked with the town clerk's records of appropria- tions voted, the transfers were checked with those author- ized by the town and the finance committee, the necessary correcting and adjusting entries were made, and a bal- ance sheet, which is appended to this report, was pre- pared showing the financial condition of the town on December 31, 1929.


The books and accounts of the town treasurer were examined and checked in detail. The recorded receipts were checked with the records in the several departments collecting money for the town and with the other sources from which money had been paid into the town treasury. The recorded payments were checked with the warrants authorizing the treasurer to disburse town funds.


The cash book footings were proved, the recorded re- ceipts were analyzed, the cash on hand was verified by an actual count, and the bank balance was reconciled with statements furnished by the banks of deposit. A recon- ciliation of the treasurer's cash as of March 26, 1930, is appended to this report.


The savings bank books representing the investment of the cemetery perpetual care funds in the custody of the town treasurer were examined and listed, the income and disbursements being verified.


The debt and interest payments were checked with the amounts falling due and with the cancelled notes and coupons on file.


The books and accounts of the tax collector were exam- ined and checked in detail. The cash on hand was verified by an actual count, and the bank account was reconciled with a statement furnished by the bank. The commit- ments for the levies of 1927, 1928, and 1929, together with the motor vehicle excise taxes, were proved; the abatements were checked with the assessors' record of


17


abatements granted; and the payments to the treasurer were verified by a comparison with the treasurer's cash book. The commitment of sewer assessments were checked and proved and the payments to the treasurer were verified.


The outstanding accounts were further verified by mailing notices to a number of persons whose names appeared on the books as owing money to the town, the replies received thereto indicating that the accounts, as listed, are correct.


To determine the correct amount outstanding on the tax accounts, it was necessary to do considerable detailed checking, which took a great deal of time, thereby increas- ing the cost of the audit.


In order to properly protect the interests of the town and to faithfully perform the duties of his office, immedi- ate action should be taken by the collector of taxes to close out the tax levies of 1925, 1926, 1927, and 1928, as well as the unapportioned and the apportioned sewer assess- ments, all of which are long overdue. Section 17, Chapter 60, General Laws, requires that the collector shall collect any tax, betterment or special assessment upon real estate within one year from October first in the year of the assessment, and, in case of any other tax, within two years from said October first, together with all incidental charges and fees.


It was noted that the sewer assessments have not been added to the tax bills as required by Section 13, Chapter 80, General Laws. All unapportioned assessments com- mitted prior to April second of the current year and not paid at the time the tax bills are sent out should be added to taxes, and all apportioned assessments and committed interest should be added to taxes as they become due each year.


At the date of the audit there was included in the col- lector's bank account interest on deposits for several


18


years amounting to $484.33. This should be paid over to the town treasurer.


Summary tables showing the condition of the taxes and assessment accounts as of March 26, 1930, are appended to this report.


The town clerk's record of dog and sporting licenses issued were examined and checked with the stubs on file, and the payments to the state and county treasurers, respectively, were checked to the receipts on file.


The licenses issued by the selectmen were checked with the copies on file in the selectmen's office, and the pay- ments to the treasurer were checked with the treasurer's cash book.


The records of the several departments, including town hall rentals, health, highway, public welfare, infirmary, school, cemetery and library, were examined and, where possible, the collections were checked with the payments to the treasurer. The records in the departments and the method of committing bills for collection were found, for the most part, to be inadequate. To remedy this condition bills receivable schedules have been provided, and the out- standing accounts of the various departments as of March 26, 1930, were listed. In the future these schedules will be used by all departments committing bills for collection, and by posting the cash payments to the schedules the outstanding accounts can be readily determined. All old outstanding accounts in the departments should be col- lected or, if found to be uncollectible, should be abated.


The records of the sealer of weights and measures were examined and checked, the payments to the treasurer were compared with the treasurer's cash book, and the cash on hand was verified by an actual count. The sealer should make monthly payments to the treasurer instead of periodical payments as at present.


The surety bonds of the several town officials for the faithful performance of their duties were examined and found to be in proper form.


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For the courtesies extended during the progress of the audit, I wish, on behalf of my assistants and for myself, to express appreciation.


Respectfully submitted, EDWARD H. FENTON, Chief Accountant.


RECONCILIATION OF TREASURER'S CASH Balance January 1, 1929, $49,925.51 Receipts 1,167,491.73


$1,217,417.24


Payments


$1,142,101.63


Balance December 31, 1929 75,315.61


$1,217,417.24


Balance January 1, 1930 $75,315.61


Receipts January. 1 to March 26,


1930 152,250.67


$227,566.28


Payments January 1 to March 26,


1930 $158,491.24


Balance March 26, 1930 69,075.04


Balance March 26, 1930


$227,566.28 $69,075.04


Home National Bank $10,322.14


Milford National Bank and Trust Co. 58,741.22


Cash in office March 26, 1930 (ver- ified) 11.68


$69,075.04


Home National Bank


Balance March 26, 1930, per state- ment $10,322.14


Balance March 26, 1930, per check book $10,322.14


Milford National Bank and Trust Company Balance March 26, 1930, per state- ment $76,138.73


20


Balance March 26, 1930, per check book $58,741.22


Outstanding checks March 26,


1930, per list


17,397.51


$76,138.73


TAXES-1925


Recommitment June 27, 1927, per warrant $39,165.99


Payments to treasurer : June 27 to Decem- ber 31, 1927


$29,762.36


1928


6,343.72


1929


132.91


$36,238.99


Abatements :


June 27 to Decem-


ber 31, 1927


$116.44


1928


2,471.34


1929


73.84


2,661.62


Transferred to tax titles, 1929


100.82


Outstanding December 31, 1929,


and March 26, 1930, per list ..


164.56


$39,165.99


TAXES-1926


Recommitment June 27, 1927, per warrant $139,358.86


Interest taxes, 1926, reported as taxes, 1926 100.17


Overpayments to collector ad-


justed 2.40


-$139,461.43


Payments to treasurer : June 27 to Decem- ber 31, 1927 $67,137.27 1928 61,256.76


21


1929


6,489.84


-- $134,883.87


Abatements :


June 27 to Decem-


ber 31, 1927


$228.25


1928


2,652.39


1929


878.77


3,759.41


Transferred to tax titles


110.05


Outstanding December 31, 1929 708.10


$139,461.43


Outstanding January 1, 1930 $708.10


Payments to treasurer, January 1 to March 26, 1930 $2.00


Unlocated difference 4.93


Outstanding March 26, 1930, per list 697.28


Cash on hand March 26, 1930 3.89


$708.10


TAXES-1927


Commitment per warrant


$510,958.68


Additional commitment 348.91


Commitment lists in excess of warrant 75.55


Collections not committed


10.00


Interest, taxes 1927, reported as taxes 1927


1.86


Taxes 1928 reported as taxes 1927


14.25


Abatements after payment, re- funded 35.64


$511,444.89


Payments to treasurer :


1927


$336,895.00


1928


88,130.32


1929


66,607.90


$491,633.22


22


Abatements :


1927


$1,549.53


1928


1,219.98


1929


1,143.72


3,913.23


Transferred to tax title


113.40


Taxes 1927 reported as taxes 1929


28.70


Outstanding December 31, 1929 15,756.34


$511,444.89


Outstanding January 1, 1930 $15,756.34


Abatements after payment to be refunded 16.20


Duplicate payments to be refunded


10.00


Overpayments to collector to be refunded 180.55


Overpayment to treasurer 42.00


$16,005.09


Payments to treasurer, January 1 to March 26, 1930 $3,952.46


Abatements, January 1 to March 26, 1930 19.44


Outstanding March 26, 1930, per list


11,889.90


Cash on hand March 26, 1930


(verified) 143.29


$16,005.09


TAXES-1928


Commitment $467,340.13


Additional commitment 326.12


Collections not committed 28.00


Taxes 1929 reported as taxes 1928 30.71


-$137,724.96


Payments to treasurer :


1928 $309,864.11


1929


72,958.41


$382,822.52


23


Abatements :


1928


$1,242.50


1929


1,107.04


2,349.54


Taxes 1928 reported as interest, taxes 1928 .23


Taxes 1928 reported as taxes 1927 14.25


Outstanding December 31, 1929 82,538.42


$467,724.96


Outstanding January 1, 1930 ..


1


$82,538.42


Overpayments to collector to be refunded 16.44


$82,554.86


Payments to treasurer, January 1 to March 26, 1930 $7,455.14


Taxes 1928 reported as interest, taxes 1928 18.24 .10 0 Unlocated difference


Outstanding March 26, 1930, per list


74,488.87


Cash on hand March 26, 1930


(verified) 592.51


$82,554.86


TAXES-1929


Commitment $503,164.49


Additional commitment 97.55


Reassessments


108.90


Collection not committed 2.00


Taxes 1927 reported as taxes 1929 28.70


$503,401.64


Payments to treasurer $328,584.18


Abatements 1,301.60


Taxes 1929 reported as taxes 1928 30.71


Outstanding December 31, 1929 173,485.15


$503,401.64


24


(Outstanding January 1, 1930 $173,485.15


Payments after abatement to be refunded 39.60


Overpayments to collector to be refunded 118.30


$173,643.05


Payments to treasurer, January 1 to March 26, 1930 $21,463.91


Outstanding March 26, 1930, per list 151,237.27


Cash on hand March 26, 1930, (verified) 941.87


$173,643.05


MOTOR VEHICLE EXCISE TAXES


Commitments, 1929


$29,352.76


Abatements after payment, re- funded 67.19


Interest reported as motor vehicle


excise tax 1929 .01


$29,419.96


Payments to treasurer $23,838.38


Abatements 2,285.45


Outstanding December 31, 1929 3,296.13




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