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ANNUAL REPORT OF THE
TOWN OFFICERS OF THE
TOWN OF MILFORD
MASSACHUSETTS INCORPORATED 1780
POPULATION: 1945 STATE CENSUS, 15,801 AREA: 7,960 ACRES 26,901 SQ. FT.
ITIN
SETTS
GO
1780
For the Financial Year Ending DECEMBER 31, 1950
One Hundred and Seventy Years of Progress
3
TOWN OFFICERS, 1950
SELECTMEN
John J. Casey, Chairman
Marco A. Balzarini
William F. McAvoy, Jr.
Term expires 1951 Term expires 1951 Term expires 1951
TOWN CLERK (Clerk of Selectmen) Catherine L. Coyne
TOWN TREASURER
John J. Besozzi
TAX COLLECTOR
Cyril F. Kellett
HIGHWAY SURVEYOR
Edward C. Carroll
ASSESSORS
Donald F. Phillips, Chairman
Paul F. Bruno
Renaldo A. Consoletti
Term expires 1951 Term expires 1953 Term expires 1952
BOARD OF PUBLIC WELFARE
Wesley W. Stevens, Chairman Francis L. Kirby Henry J. Pillarella
Term expires 1952 Term expires 1953 Term expires 1951
4
BOARD OF HEALTH
Nicholas J. Capece, Chairman Frank Calzone
Harris P. Tredeau
Term expires 1951
Term expires 1952 Term expires 1953
SEWER COMMISSIONERS
Guido Sabatinelli, Chairman
Term expires 1953
Richard J. Abretti
Term expires 1951
George F. C. Cooper
Term expires 1952
TRUSTEES OF PUBLIC LIBRARY
Paul F. Raftery Chairman
Term expires 1951
Robert E. McGinnis
Term expires 1952
Emilio A. Pighetti
Term expires 1951
William G. Rae
Term expires 1953
Thomas H. Seaver
Term expires 1953
George L. Sullivan
Term expires 1952
TRUSTEES OF VERNON GROVE CEMETERY
Jesse E. Peaslee, Chairman
Term expires 1953
Arthur L. Delfanti
Term expires 1952
Pomeroy Edwards
Term expires 1951
Hugo V. Larson
Term expires 1951
Arthur L. Maynard
Term expires 1953
Dwight L. Watson
Term expires 1952
PARK COMMISSIONERS
Christopher C. Morcone, Chairman
Term expires 1952
Fred J. Cugini Term expires 1953
Francis J. Wallace
Term expires 1951
DOG OFFICER
Austin J. Davoren (retired) Term expires 1951 Leonard McGee appointed to fill vacancy
5
CHIEF OF POLICE John J. Moloney (retired) William F. Fitzpatrick appointed to fill vacancy (Classified under Civil Service)
Appointed by Director, Division of Animal Industry Otto W. Beiersdorf
Appointed by the State Forester FOREST TOWN WARDEN John F. Adams
GYPSY MOTH SUPERINTENDENT Matthew P. Andreano
PLANNING BOARD
Michael D. Ianzito, Chairman
Term expires 1952
George A. Bagley
Term expires 1951
Robert A. Grillo
Term expires 1953
Robert O. Shea
Term expires 1954
Sidney Solomon
Term expires 1955
TREE WARDEN
Matthew P. Andreano Term expires 1951
MODERATOR
John F. Curran Term expires 1951
Officers Appointed by the Selectmen TOWN COUNSEL Atty. Daniel F. Carney
6
TOWN ACCOUNTANT Michael J. Hannigan (Classified under Civil Service)
CHIEF OF FIRE DEPARTMENT
John F. Adams (Classified under Civil Service)
INSPECTOR OF WIRES
Angus H. Mckenzie - deceased David Rubenstein appointed to fill vacancy
SEALER OF WEIGHTS AND MEASURES
Daniel J. O'Brien (Classified under Civil Service)
CUSTODIAN OF TOWN HALL AND LOCKUP KEEPER
John J. O'Connor (Classified under Civil Service)
JANITOR OF MEMORIAL HALL
Vincent J. Dagnese
BURIAL AGENT C. Joseph Knox
VETERANS' ADMINISTRATOR
C. Joseph Knox
7
SCHOOL COMMITTEE
Anna M. O'Brien, Chairman
Term expires 1953
Marco A. Balzarini
Term expires 1951
William V. Bellantonio
Term expires 1952
Nicholas J. Capece
Term expires 1952
William W. O'Brien (resigned)
Term expires 1951
John P. Pyne
Term expires 1953
REGISTRARS OF VOTERS
John J. Best, Chairman
Term expires 1951
Fred W. Clarridge
Term expires 1950
Michael D. Vasti
Term expires 1952
Catherine L. Coyne (Ex-Officio)
Appointed by the Selectmen
FINANCE COMMITTEE
Dr. Frank J. Moschilli, Chairman
Term expires 1951 Term expires 1953
Arthur D. Hill
Francis J. Larkin
Term expires 1953
Anthony Niro
Term expires 1953
Joseph Santosuosso
Term expires 1953 Term expires 1953
Joseph F. Sargent
Term expires 1952
Henry G. Consigli
Term expires 1952
Vacancy Bennie Rosenfeld John C. Usher
Term expires 1952
Term expires 1952 Term expires 1951
M. Henry DeCoste
Joseph L. DeLuca
Term expires 1951
John T. O'Brien
Term expires 1951
Lawrence R. Sherman
Term expires 1951
John G. Glennon
Term expires 1952
8
MUNICIPAL ATHLETIC FIELD COMMITTEE
Elmer C. Nelson
Term expires 1953
Donald Fisher
Term expires 1953 Term expires 1953
Jack Goodman
William W. O'Brien (resigned)
Term expires 1953
Guido Sabatinelli appointed to fill vacancy
Batista J. Vitalini
Term expires 1953
Richard J. Abretti
Term expires 1952
Joseph V. Carey
Term expires 1952
Thomas F. Davoren
Term expires 1952
Frank M. Shea
Term expires 1952
Walter E. Corbett
Term expires 1951
Charles J. Fitzgerald
Term expires 1951
John F. Hennessey (deceased)
Term expires 1951
James P. Bird appointed to fill vacancy
Attilio Guerriere
Term expires 1951
Louis Rizoli
Term expires 1951
J. Frank Cahill
Term expires 1952
9
Financial Report of Town Clerk's Department and Departments Under Supervision of the Selectmen, 1950
SELECTMEN'S
Salaries
Appropriation
$2,200.00
Expenditures
John J. Casey
$550.00
Marco A. Balzarini
550.00
William F. McAvoy, Jr.
448.05
Vincent Votolato
101.95
Catherine L. Coyne
550.00
$2,200.00
SELECTMEN'S
Expenses
Appropriation
$1,000.00
Transferred
57.77
$1,057.77
Expenditures
Charles C. Carroll, M.D.
$10.00
Catherine L. Coyne, Reimbursement
2.06
Clarke Printing Co.
11.25
Eastman & Corbett, Inc.
323.50
William A. Elander
28.00
John E. Higgiston, P.M.
64.00
Hobbs & Warren, Inc.
25.37
10
Johnson Office Supply Co. 3.75
Charles W. Knowlton, Treasurer
60.00
Francis H. Lally, M.D. 10.00
The Lawyers Co-operative Publ. Co.
103.40
Liberty Typewriter Co.
8.00
Milford Daily News
50.10
Milford Water Co.
57.77
New England Tel. & Tel. Co.
171.42
Niro & Niro Co.
80.00
John C. Ripley
25.00
Royal Typewriter Co.
12.84
Worcester County Selectmen's Assoc.
9.75
Balance
1.56
$1,057.77
ELECTIONS, REGISTRATIONS AND TOWN MEETINGS
Salaries
Appropriation
$8,502.00
Expenditures
John J. Best
$435.60
Fred W. Clarridge
435.60
Catherine L. Coyne
640.20
Michael D. Vasti
384.60
Michael J. Hannigan
51.00
Elena Femina
12.40
Mildred O'Brien
10.00
Janitors
87.00
Election Payrolls
3,943.93
Erecting Booths Payrolls
444.70
Street Listing Payrolls
1,242.38
Balance
814.59
$8,502.00
11
ELECTIONS, REGISTRATIONS AND TOWN MEETINGS
Expenses
Appropriation
$2,935.00
Expenditures
Charlescraft Press
$436.75
H. Wendell Beal
22.80
Bradbury Locke Co.
3.02
Cahill's News Agency
32.62
Clarke Printing Co.
766.30
Commonwealth of Massachusetts
15.00
Catherine L. Coyne, Reimbursement
6.40
Sgt. A. Raymond Cross
9.00
Davoren's Express
17.00
John DiVittorio, Jr.
15.00
Drummond Press
5.23
John E. Higgiston, P.M.
84.00
Hobbs & Warren, Inc.
4.38
Johnson Office Supply Co.
58.79
Liberty Typewriter Co.
8.00
Marchegiano Club, Inc.
60.00
H. B. McArdle
18.65
Milford Daily News
208.00
Mimeograph Distributors, Inc.
2.85
John J. Moloney
18.00
New England Paper Co.
3.30
New England Tel. & Tel. Co.
84.00
Niro & Niro Co.
128.00
Edmund A. Nolting
2.90
Olson Woodworking
60.00
Paquette Stationery Co.
2.72
George T. Pascoe Co.
59.78
Restaurants
72.30
Ribbon & Carbon Prod. Co., Inc.
5.75
Royal Typewriter Co.
114.00
James T. Slattery
15.00
12
Spaulding-Moss Co. Leon Zocchi Balance
169.00
1.25
425.21
$2,935.00
TOWN CLERK
Appropriation
$1,824.50
Expenditures
Catherine L. Coyne
$1,824.50
TOWN CLERK'S
Expenses
Appropriation
$650.00
Expenditures
H. Wendell Beal
$76.18
Walter A. Blasenak, Treasurer
5.00
Cahill's News Agency
10.54
B. J. Clancey
7.50
Clarke Printing Co.
63.55
Philip P. Costello
10.00
Catherine L. Coyne, Reimbursement
19.82
Drummond Press
59.24
Eastman & Corbett, Inc.
34.72
Gardella's Pharmacy
2.02
John E. Higgiston, P.M.
67.00
Hobbs & Warren, Inc.
13.09
Johnson Office Supply Co.
8.22
H. B. McArdle
4.10
Milford Daily News
21.21
Niro & Niro Co.
140.00
Paquette Stationery Co.
39.07
Pete's Job Press
6.00
The Print Shop
5.00
Royal Typewriter Co., Inc.
32.34
13
Worc. County City & Town Clerk's Association
2.00
Balance
23.40
$650.00
CLERK HIRE-TOWN CLERK'S
Appropriation
$2,627.00
Transferred
236.50
$2,863.50
Expenditures
Katherine E. Cullinan
$2,102.00
Elena Femina
440.60
Clara Paradiso
170.00
Virginia Muradian
93.40
Iona Kirby
40.00
Mildred O'Brien
10.00
Balance
7.50
$2,863.50
MODERATOR
Appropriation
$110.00
Expenditures
John F. Curran
$110.00
BLANKET INSURANCE
Appropriation
$8,200.00
Expenditures
P. Eugene Casey Co.
$624.15
Cancelled Check
7.35
Old Colony Insurance Co.
7,177.54
Boston Insurance Co.
261.71
B. J. Clancey
9.00
Balance
120.25
$8,200.00
14
BAND CONCERTS-BAND HIRE
Appropriation
$450.00
Expenditures
V. F. W. Band Association BAND CONCERTS-EXPENSES
$450.00
Appropriation
$150.00
Expenditures
Anthony Allegrezza
$10.00
Nancy Broderick
10.00
Chilson Radio & Television Service
20.00
Louis Beltramini
30.46
George Bagley
4.50
Balance
75.04
$150.00
BOILER INSURANCE
Appropriation
$1,135.32
Expenditures
B. J. Clancey
$1,135.32
CARE OF TOWN HALL CLOCK
Appropriation
$100.00
Expenditures
James Till
$100.00
CLARK HEIRS-FLOWAGE RIGHTS
Appropriation
$69.00
Expenditures
Bertha A. Clark $69.00
15
DISABLED AMERICAN VETERANS
Appropriation
$600.00
Expenditures
P. Eugene Casey Co. $600.00
HYDRANT SERVICE
Appropriation $10,900.00 50.00
Transferred
$10,950.00
Expenditures
Milford Water Co.
Balance
$10,908.00
42.00
$10,950.00
MARINE CORPS HEADQUARTERS
Appropriation
$600.00
Expenditures
William H. Casey $600.00
SPECIAL WORK COMBA VS. TOWN OF MILFORD
Appropriation
$300.00
Expenditures
Michael P. Visconti, Esq. $300.00
STOCKING PONDS
Appropriation $200.00
Expenditures
Carolina Black Bass Hatchery
$100.00 .
100.00
Berkshire Trout Farm
$200.00
16
STONE PROPERTY
Appropriation
$9,850.00
Expenditures
Anna Young
$9,850.00
DEMOLISHING TOWN BUILDINGS
Appropriation
$1,980.00
Expenditures
James E. Kellett
$190.00
Framingham Building Wrecking Co. 1,790.00
$1,980.00
TOWN HALL REPAIRS
Appropriation
$2,190.00
Expenditures
A. M. Pantano
$1,700.00
John F. Power & Sons 490.00
$2,190.00
TOWN HALL STAIRWAY
Appropriation
$600.00
Expenditures
Guido Sabatinelli & Sons
$595.00
Balance
5.00
$600.00
TOWN REPORTS
Appropriation
$2,367.35
Expenditures
The Clarke Printing Co. $2,367.35
17
WORCESTER COUNTY EXTENSION SERVICE
Appropriation
$50.00
Expenditures
Worcester County Extension Service $50.00
WORKMEN'S COMPENSATION AND PUBLIC LIABILITY
Appropriation
$2,986.27
Expenditures
Joseph Morcone Sons
$2,986.27
ARMISTICE DAY-V. F. W.
Appropriation
$450.00
Expenditures
Hachey's
$233.00
Cahill's News Agency
98.00
Milford High School
75.00
Veterans of Foreign Wars
44.00
$450.00
CIVILIAN DEFENSE
Appropriation
$50.00
Expenditures
New England Tel. & Tel. Co.
$17.70
Balance 32.30
$50.00
18
STREET LIGHTS
Appropriation
$24,600.00
Expenditures
Worcester Suburban Electric Co. $24,431.37
Balance 168.63
$24,600.00
WIRE INSPECTOR
Appropriation $534.60
Expenditures
Angus H. Mckenzie
$318.59
David Rubenstein 216.01
$534.60
INSPECTOR OF ANIMALS
Salaries
Appropriation
$429.00
Expenditures
J. C. Fabricotti, D.V.M. $77.67
O. W. Beiersdorf, D.V.M. 351.33
$429.00
INSPECTOR OF ANIMALS
Expenses
Appropriation $100.00
Expenditures
J. C. Fabricotti, D.V.M. $25.00
O. W. Beiersdorf, D.V.M. 38.35
Balance
36.65
$100.00
19
DOG OFFICER
Salaries
Appropriation
$108.90
Expenditures
Austin Davoren
$75.64
Leonard McGee
33.26
$108.90
DOG OFFICER
Expenses
Appropriation
$200.00
Transferred
10.50
Transferred
97.00
Transferred
15.50
$323.00
Expenditures
Austin Davoren
$264.50
Leonard McGee
56.50
Balance
2.00
$323.00
BOARD OF APPEAL UNDER ZONING BY-LAWS
Appropriation
$50.00
Expenditures
Louis A. Marino
$13.52
Cahill's News Agency
4.89
Balance
31.59
$50.00
20
Town Accountant's Report
To the Honorable Board of Selectmen :
Herewith I submit my annual report of the finan- cial transactions of the Town of Milford for the year ending December 31, 1950.
Included is a detailed report of the Receipts from all sources of income, a detailed report of the Expendi- tures of each Department and Account, a Recapitulation and Estimate table showing the Appropriation, Receipts and Transfers, Expenditures and Balance December 31, 1950, and the estimated cost to run various departments as submitted by them for the coming year.
I wish to thank all the Departments for their co- operation during the past year.
Respectfully submitted,
MICHAEL J. HANNIGAN, Town Accountant
TOWN OF MILFORD . . BALANCE SHEET DECEMBER 31, 1950
General Accounts
ASSETS
LIABILITIES
Cash in Office and Banks Accounts Receivable:
$185,624.17
Sale of Cemetery Lots and Graves Payroll Deductions: U. S. Savings Bonds Parking Meter Collection Account
$ 526.00
Taxes:
Levy of 1947
$ 150.22
Levy of 1948
1,056.55
Levy of 1949
22,704.28
Levy of 1950
86,433.14
Motor Vehicle Excise:
Police-Two Way Radio
1,712.50
Levy of 1948
150.44
Fire-Installing Air Whistle
2,000.00
Levy of 1949
775.12
Worcester County T.B. Hospital
5,979.28
Levy of 1950
1,911.38
Sewer-Repairs at Disposal Plant 490.11
Special Assessments:
Sewer Constr .- Florence and Madden Ave.
4,003.76
Apportioned Sewer 1949
6.48
Construction of Adams Rd. 213.14
Construction of Cabot Rd. 271.04
Drainage-Archer Ave.
2,665.57
Departmental:
Health
186.00
Public Welfare
1,219.49
Bridge-Howard St. 1,250.00
348.62 29,558.35 21
Appropriation Balances:
Remodeling Court Room $1,555.50
Police-Uniform Allowance 17.00
119,181.13
Unapportioned Sewer 1949
1,215.43
Apportioned Sewer 1950
35.26
1,257.17
Chapter 90- Beach and Water Sts. 882.37
BALANCE SHEET - - Continued
Infirmary
1,243.12
Bridge-Mellen St.
992.68
A. D. C.
5,246.56
Road Machinery Fund
48.62
O. A. A.
1,486.05
U. S. Grants-
Veterans Benefits
1,680.15
A.D.C. for Assist.
7,730.09
Cemetery
422.00
A.D.C. for Adm.
499.36
Tax Judgments:
1926
157.10
Special School Lunch Program
2,729.21
1931
1,363.67
Athletic Fund
160.34
1932
812.66
Installing Lights-Fino Field
655.96
1933
698.51
Preparing Plans and Specifications Public Works
450.90
Overlay Deficits:
Advisory Comm. Rehabilitation Veterans
680.44
Levy of 1948
264.80
Levy of 1949
431.35
789.99
Field Building Committee
2,500.00
Civilian Defense
32.30
State
3,728.91
County
2,364.48
6,093.39
Income Trust Funds-
North Purchase Cemetery 22.37
52,713.20
County Tax
1,504.84
Overlay 1947 Overlay 1950
6,655.63
Overlay Reserve
1,645.70
Taxi Badge Reserve
278.00
22
Levy of 1945
93.84
Repairs to Spillway- Charles River
200.00
Aid for Highways:
Income Trust Funds- V.G. Cemetery 154.39
Overdrafts:
State Parks and Reservations 496.18
2,495.91
149.07
Chapter 90 Maintenance 1,999.73
11,483.37
12,606.51
O.A.A. for Assist. O.A.A. for Adm. 2,209.76
3,031.94
Road Machinery Fund
1,040.39
Reserve for Uncashed Checks
460.89
Fire Loss-Sewer Department 210.00
Fire Loss-Stone Building
1,900.00
From County-Dog Tax
1,686.15
Premium on Bonds
19.88
Revenues Reserved Until Collected:
Aid to Highway Revenue $ 6,093.39
Departmental Revenue 11,483.37
Sewer Revenue 1,257.17
M. V. Excise Tax Revenue
8,836.94
Uncollected Court Judgments
3,031.94
Excess and Deficiency
30,702.81 200,557.54
$329,957.07
$329,957.07
23
Trust and Investment Accounts
Trust Funds-Cash and Securities Municipal Retirement System- Cash and Securities
$ 57,616.57
Cemetery and Perpetual Care Funds
$45,873.81
Post War Rehabilitation Fund
11,742.76
160,196.45
Annuity Savings Fund
93,558.42
Annuity Reserve Fund
12,330.99
Pension Fund
48,146.93
Expense Fund
175.19
Investment Income
3,029.33
Military Service Credit
2,955.59
$217,813.02
$217,813.02
Deferred Revenue Accounts
Sewer Assessments: Apportioned but not due
Apportioned Sewer Assessments, $344.40 1951-1958 inc. $344.40
Debt Accounts
Net Funded or Fixed Debt
$96,100.00 Sewer Construction Loan 1922
$ 4,000.00
Sewer Construction Loan 1935
10,000.00
Sewer Construction Loan 1950
13,100.00
Sewer Construction Loan 1948
16,000.00
High School Addition Loan
39,000.00
Athletic Field Light Installation Loan
14,000.00
24
$96,100.00
$96,100.00
Tax Accounts
Tax Titles Tax Title Possessions
$10,742.21
Tax Title Revenue $16,603.49
5,861.28
$16,603.49
$16,603.49
25
RECEIPTS
1950
Taxes
Current Year :
Poll
$ 8,182.00
Personal
75,260.23
Real Estate
548,878.80
Motor Vehicle Excise 69,223.45
$701,544.48
Previous Years :
Poll
308.00
Personal
5,612.52
Real Estate
89,830.84
Motor Vehicle Excise 12,382.09
108,133.45
From the State:
Income Tax
$99,328.39
Corporation Tax
58,709.77
Meal Tax
4,260.06
162,298.22
Total Title Redemptions
771.46
$972,747.61
Licenses
Liquor
$22,910.00
Pedlars
168.00
Sundry
755.00
Pool, billards and bowling
48.00
All Other
872.18
Total Licenses
24,753.18
Fines
Third District Court 613.41
26
Grants and Gifts
From U.S. Government:
For Old Age Assistance $106,817.10
For Aid to Dependent Children 14,280.15
From the State:
Vocational Education
3,081.66
From the County :
Dog Licenses 1,686.15
Total for Grants and Gifts
125,865.06
Special Assessments
Apportioned Sewer Assessments $ 183.84
Unapportioned Sewer Assessments
2,359.87
Total for Special Assessments
2,543.71
Departmental Revenue
Treasurer :
Sundry charges $ 32.25
Tax Collector :
Fees on taxes
71.65
Assessors :
Valuation Books
38.00
Memorial Hall :
Damage to lawn
65.70
Town Hall :
Rentals
225.94
Total for General Government 433.54
Protection of Persons and Property
Police Department :
Sundry Receipts
$
139.60
Meter Collections
16,631.50
27
Fire Department :
Sale of Junk
38.00
Damage Chief's Car
10.00
Sealer of Weights and Measures : Sealers fees 428.40
Total for Protection of Persons and Property
17,247.50
Health and Sanitation
Tuberculosis
$5,113.53
Plumbing permits
526.50
Dental Clinic fees
82.15
Sundry Health receipts
237.90
Sewer Rentals
215.00
Total for Health and Sanitation
6,175.08
Highways
General for Expenses :
General
$928.08
Joint Maintenance ---
State
999.82
County
999.82
Snow Removal
203.00
Individuals
35.00
For Outlays :
Joint Construction-
State
12,302.46
County
6,151.21
Total for Highways
21,619.39
28
Charities
Temporary Aid :
From the State $9,252.60
From Cities and Towns 479.65
Total for Temporary Aid
$ 9,732.25
Infirmary :
Board and Care
10,292.98
Aid to Dependent Children:
From the State 15,258.54.
Old Age Assistance :
From the State $85,279.30
From Cities and Towns 4,006.18
From Individuals 34.65
Total for Old Age Assistance
89,320.13
Total for Charities 124,603.90
Veterans Benefits
From the State 11,207.36
Schools
Tuition of State Wards $4,051.49
Other Tuition 354.13
Athletic Fund Program Receipts 3,908.72
School Lunch Program Receipts
9,536.30
Total for Schools 17,850.64
Library
Fines
280.12
29
Recreation
Rental of Fino Field
$3,537.73
Band Concert Receipts
1.53
Total for Recreations
3,539.26
Unclassified
Fire Loss-Stone Property
$1,900.00
Sale of Real Estate
212.52
Leases
6.00
Rental of Building
300.00
Rental of Land
30.00
Total for Unclassified
2,448.52
Cemeteries
Sale of Lots
$398.00
Sale of Graves
72.00
Care of Lots
450.00
Internments
363.00
Interest on Funds
975.00
2,258.00
Trust Funds
Perpetual Care Bequests 1,650.00
Interest
On Deposits $ 24.91
On Deferred Taxes
2,917.49
On Tax Titles Redeemed 162.57
On Special Assessments
61.90
On Post War Rehabilitation Fund
250.00
Total for Interest 3,416.87
30
Municipal Indebtedness
Anticipation of Revenue Notes
$364,000.00
Fino Field Lighting Bonds
14,000.00
Sewer Bonds
13,100.00
Premiums
21.19
Total for Municipal Indebtedness
391,121.19
Agency
Payroll Deductions :
Blue Cross
$ 5,230.29
Federal Taxes
41,282.05
U. S. Bonds
3,873.37
Dog Licenses
2,014.60
Total for Agency
52,400.31
Refunds
Petty Cash
$ 25.00
Taxes
53.00
General Departments
14,406.72
Total for Refunds
14,484.72
Transfers
Selectmen from Reserve Fund $ 57.77
Two Way Radio from Reserve Fund
1,712.50
Assessors from Reserve Fund 300.00
Certification of Notes from Reserve Fund 50.00
Clerk Hire, Town Clerk from Reserve Fund 237.50
Town Hall from Reserve Fund
193.13
Police Dept. from Reserve Fund
700.00
Maint. Traffic Signals from Reserve Fund 100.00
Dog Officer from Reserve Fund
123.00
31
Riffle Range from Reserve Fund 250.00
Hydrant Service from Reserve Fund 50.00
Inspector of Animals from Reserve Fund 529.00
Veterans Benefits from Reserve Fund 2,000.00
School Dept. from Reserve Fund
103.03
Playgrounds from Reserve Fund 400.00
Fino Field Committee from Reserve Fund 600.00
Civilian Defense from Reserve Fund
50.00
Appraisal and Razing Stone Prop- erty from Reserve Fund 1,980.00
Library from Dog Tax 1,735.89
Parking Meter Operation Salary
from Parking Meter Collection Account 3,050.00
Parking Meter Operation Maintenance
from Parking Meter Collection Account 2,000.00
Snow Removal in Metered Area from
Parking Meter Collection Account 5,000.00
Paving Roads from Sale of
Cemetery Lots and Graves 900.00
Surfacing Highland St. from Surfacing Gravel Roads 2,000.00
Maintenance of Roads and Walks in
Metered Area from Parking
Meter Collection Account 2,000.00
Total Transfers 26,121.82
Total Receipts
$1,823,381.19
Cash in Treasury January 1, 1950
165,442.77
Grand Total
$1,988,823.96
32
EXPENDITURES General Government
Moderator $110.00
Finance Committee :
Clerical Services $ 10.00
Preparing and Printing
Reports
157.55
Total for Finance Committee
167.55
Selectmen :
Salaries :
Selectmen
$1,650.00
Clerk 550.00
Expenses : Searching Title 28.00 Stationery and Postage 119,27
Printing, Advertising 50.00
Telephone
171.42
Association dues 69.75
Furniture, Furnishings 105.00
Street layouts
323.50
Equipment maintenance 8.00
Law Book set 103.40
Medical examinations 20.00
Water
57.77
Total for Selectmen 3,256.21
Accountant :
Salaries :
Accountant
$3,850.00
Clerk
2,102.00
Expenses :
Stationery, Postage 32.63
Telephone 84.90
33
Association dues
23.00
Binding books 21.00
Equipment repair and maintenance
64.40
Travel expense 1.50
Total for Accountant
6,179.43 1
Treasurer :
Salaries :
Treasurer
$2,400.00
Clerk
2,100.00
Expenses :
Stationery, postage 289.95
Printing, advertising
133.86
Telephone 89.56
Surety Bond
256.00
Equipment
32.97
Equipment maintenance and repairs 50.00
Association dues 4.00
Travel expenses 34.34
Forgery Bond
37.50
Burglary insurance 18.75
Safe Deposit Box
5.00
Total for Treasurer
5,451.93
Tax Collector:
Salaries :
Tax Collector
$4,250.00
Clerk
2,102.00
Expenses :
Stationery, postage $574.54
Printing, advertising 19.75
Telephone 90.70
Surety Bond
369.75
34
Burglary Insurance
247.50
Recording Fees
1.00
Deputy Bonds
13.00
Equipment
31.24
Binding
7.00
Travel expenses
15.00
Total for Tax Collector
7,721.48
Assessors :
Salaries :
Assessors
$5,580.42
Clerk
2,102.00
Expenses :
Stationery, postage
392.77
Printing, advertising
49.25
Telephone
89.95
Abstracts
354.00
Map
26.50
Adding machine
261.00
Equipment maintenance 16.75
Binding
152.00
Tax Expert Fees
300.00
Association dues
6.00
Expenses to
conferences
111.50
Total for Assessors
9,442.14
Town Clerk :
Salaries and Wages :
Town Clerk-
Salary $ 550.00
Town Clerk -- Fees 1,275.50
Clerk Hire 2,856.00
Expenses :
Stationery, postage 358.69
Printing, postage 80.69
35
Surety Bond
7.50
Lighting fixtures
140.00
Maintenance of equipment
19.50
Recording deeds
1.20
Association dues
17.00
All other
2.02
Total for Town Clerk 5,308.10
Elections, Registrations and Town Meetings :
Salaries Registrars
$1,942.00
Elections Officers
3,829.09
Canvassers
771.18
All Other
740.44
Expenses :
Stationery, postage
567.44
Printing, advertising 1,285.78
Lunches 72.30
Trucking 17.00
Erecting Booths
404.70
Equipment
204.00
Repairs to Equipment
19.27
Rent
90.00
Plans and drawings
15.00
Wiring
128.00
Telephones
84.00
Posting Warrants
27.00
Total for Elections,
Registrations and
Town Meetings
10,197.20
Other Finance Offices and Accounts :
Certifying Town Notes 70.00
36
Law Department:
Town Solicitor $1,430.00
Legal Fees-Comba Case 300.00
Total for Law Department 1,730.00
Memorial Hall :
Salary of Janitor $1,827.00
Expenses :
Fuel
973.45
Water
66.17
Janitor Supplies
343.10
Repairs
105.45
Rubbish Removal
10.00
Total for Memorial Hall
3,325.17
Town Hall:
Salary of Janitor
$2,920.00
Expenses :
Fuel
1,814.43
Light
731.32
Janitor Supplies
300.72
Repairs
465.82
Plate Glass Insurance
18.28
Water
316.79
Outside Stairway
595.00
Alterations to Court
Room 1,944.50
Painting and Heating
Repairs 2,190.00
Care of Town Clock 100.00
All Other 270.77
Total for Town Hall 11,667.63
Total for General Government 64,626.84
37
Protection of Persons and Property
Police Department :
Salaries :
Chief
$4,152.95
Patrolmen 42,446.30
Expenses :
Motor Equipment 510.97
Gas and Oil 899.57
Equipment for Men
1,440.88
Additional equipment 721.33
Repairs
64.90
Printing, stationery, postage
183.27
Telephones 373.72
Maintenance of traffic signals 728.04
All Other
458.40
Parking Meters :
Salary
3,049.84
Expenses
1,141.59
Total for Police Department
56,171.76
Court Fees
40.92
Fire Department:
Salaries :
Chief $4,000.00
Deputy Chief 396.00
Permanent Firemen 54,972.33
Call Firemen 5,623.56
Equipment :
Apparatus
689.65
Hose
991.16
Equipment for Men
23.72
38
Maintenance and Repairs :
Garage Rent
60.00
Repairs
671.06
Gas and Oil
488.24
Fire Alarm System 1,469.08
All Other 78.98
Hydrant Service :
Contract
10,908.00
Fuel, Light and Water:
Fuel
938.45
Light
409.27
Water
73.21
Maintenance of Buildings and Grounds :
Repiars $291.93
Furniture, furnishings 108.50
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