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ANNUAL REPORT of the TOWN OFFICERS of the
TOWN OF CARVER
Massachusetts
O
10
S.
ED 1790
RPOR
FOR THE YEAR ENDING DECEMBER 31 1958
Annual Town Meeting, March 2, 1959 at 12:00 Noon
--
Digitized by the Internet Archive in 2015
https://archive.org/details/annualtownreport1958carv
ANNUAL REPORT of the
TOWN OFFICERS of the
TOWN OF CARVER
Massachusetts
OF
CA
NMOIL
AVERJ
COMATEO )
ASSACHUS
FOR THE YEAR ENDING DECEMBER 31 1958 Annual Town Meeting, March 2, 1959 at 12:00 Noon
THE CHILTON ASSOCIATES
Carver, Mass.
٩
3
OFFICERS AND COMMITTEES FOR THE YEAR 1958
- -
Moderator - Bradford H. Cole.
Town Clerk, Treasurer, and Collector of Taxes - Onni H. Erickson (1959).
Auditors - Francis A. Merritt, Phyllis J. Harriman, Hazel M. Provonche.
Selectmen - Gordon W. Fountain (1961), John E. Johnson, Jr. (1960), Frank R. Mazzilli (1959).
Board of Public Welfare-Gordon W. Fountain (1961), John E. Johnson, Jr. (1960), Frank R. Mazzilli (1959).
Assessors - Ralph E. Washburn (1961), William E. Bisbee (1960), George A. Perkins (1959).
Highway Surveyor - John E. Atwood.
School Committee - Erwin K. Washburn (1961), Elizabeth C. Ryder (1960), Frank H. Cole (1959).
Park Commissioners - James V. Santarpia (1961), Russell W. Holmes (1960), S. Byron MacFarlane (1959).
Cemetery Commissioners - William E. Bisbee (1961), Ralph S. Linton (1960), Louis A. Bryant (1959).
Library Trustees - Elthea E. Atwood (1961), Laura H. Hud- son (1961), Marjorie Griffith (1960), Sally Merritt (1960), Henry M. Shaw (1959), Vienna P. Cole (1959).
4
Constable - Dana E. Thomas, Louis A. Bryant, Jr., Raymond A. Parent.
Town Director, County Aid to Agriculture - Earl E. Boardway.
Field Drivers and Pound Keepers - Dana E. Thomas, Louis A. Bryant, Jr., Raymond A. Parent.
Surveyors of Lumber and Measurers of Wood - Frank H. Cole, Ebenezer A. Shaw, Daniel E. Potter, Everett F. Cassidy, Homer F. Weston.
Tree Warden - Toivo J. Kallio.
APPOINTED OFFICERS
Inspector of Animals - David B. Nye.
Inspector of Slaughtering - David B. Nye. Inspector of Wires - Walter E. Miller.
Sealer of Weights and Measures - William E. Bisbee.
Forest Warden - Homer F. Weston.
Gypsy Moth Superintendent - Toivo J. Kallio.
Chief of Police - Dana E. Thomas.
Dog Officer - Dana E. Thomas.
Civil Defense Director - William E. Bisbee.
Board of Registrars of Voters - Ebenezer A. Shaw (1961), Alma H. Romano (1960), Rodney N. Griffith (1959), Onni H. Erickson (Town Clerk).
5
Finance Committee - Terms expire in 1961: Pauline C. Brooks, Alan I. Dunham, Silvino Fernandez, George F. Pearson, II, Bernard W. Roby. Terms expire in 1960: Lil- lian B. Chauvin, Helen F. Tupper, Harold L. Ballard, Andrew A. Gomes, Jacob W. Laurila. Terms expire in 1959: Noy G. Furtado, Philip H. Gibbs, Simon F. Majahad, Edwin O. Heleen, C. H. Barratt Davison.
1
6
CONDITION OF THE TOWN TREASURY AT THE CLOSE OF BUSINESS, DECEMBER 31, 1958
-
ASSETS
Cash $133,858.68
Accounts Receivable.
Taxes:
Levy of 1957
Real Estate
$8,817.15
Levy of 1958
Poll
26.00
Personal Property
170.93
Real Estate
26,339.40
35,353.48
Motor Vehicle and Trailer Excise:
Levy of 1957
255.63
Levy of 1958
2,046.24
2,301.87
Tax Titles
2,240.47
Departmental.
State Aid to Highways
37,996.24
County Aid to Highways
5,886.98
43,883.22
Aid to Dependent Children
486.33
General Relief
20.00
Schools
167.28
673.61
$218,311.33
7
LIABILITIES and RESERVES
Employees Payroll Deductions:
Federal Withholding Taxes
1,309.70
County Retirement System 170.58
$1,480.28 276.50
Tailings
Bequests:
Lakenham Cemetery Funds
350.00
E. Tillson Pratt School Fund Income 542.53
Smith-Hughes-George Barden Fund Income
200.00
Federal Grants:
Disability Assistance:
Administration
125.49
Assistance
1,143.39
Aid to Dependent Children:
Administration
153.14
Assistance
1,248.27
Old Age Assistance:
Administration
131.63
Assistance
7,361.00
10,162.92
School Lunch Revolving Fund
607.53
Treasurer's and Collector's Unidentified Receipts
304.89
Unexpended Appropriation Balances
19,725.69
Old Age Assistance Recoveries
3,090.00
Sale of Real Estate Fund
2,900.00
Road Machinery Fund
4,823.76
Dog License Fees due County
1.75
Reserve Fund - Overlay Surplus
5,022.93
Overlays Reserved for Abatements:
Levy of 1957 2,134.50
Levy of 1958
2,469.05
4,603.55
8
Revenues Reserved:
Motor Vehicle Excise
2,301.87
Tax Titles
2,240.47
Aid to Highways
43,883.22
Aid to Dependent Children
486.33
General Relief
20.00
Schools
167.28
49,099.17
Overestimates 1958:
County Hospital Assessment
5,069.90
County Tax
1,409.30
State Recreation Areas Assessment
13.46
.
6,492.66
Surplus Revenue
108,627.17
$218,311.33
9
REPORT OF TOWN TREASURER Onni H. Erickson, Treasurer DR.
Schedule of Receipts
1958
January 1, Balance
$106,526.88
Received from Commonwealth:
Highways Chapter 81 Contract 6542 $17,875.00
Highways Chapter 90 Contract 17436
15,000.00
Highways Chapter 90 Contract 17613
11,903.76
Income Tax
10,714.29
Corporation Tax Business
14,073.47
Meal Tax O.A.A.
1,311.78
School Aid, Chapter 70
8,044.00
Reimbursement School Building Commission
5,127.32
Smith-Hughes-George Barden Fund
200.00
School Lunch Program
4,223.68
School Superintendent
1,130.16
Vocational Education 5,396.19
Income Tax-School Aid, Special Classes 2,782.11
Temporary Aid and Transportation 637.78
Division of Child Guardianship
1,776.70
Commissioner of Veterans' Services
2,378.62
Loss on Taxes
831.45
Director of Standards
12.00
Public Health Subsidy
331.43
Old Age Assistance
20,784.45
Aid to Dependent Children
1,604.04
Disability Assistance
1,744.48
Disability Assistance Administration
158.39
Road Machinery Fund
132.00
Sick State Poor P.W.
323.86
Reimbursement, Forest Fire Relief
3,643.20
132,140.16
10
U. S. Grants Old Age Assistance 19,533.70
U. S. Grants Old Age Assistance (Administration ) 1,789.29
21,322.99
U. S. Grants Aid Dependent Children 1,680.95
U. S. Grants Aid Dependent Children (Administration ) 530.76
2,211.71
U. S. Grants Disability Assistance
2,482.10
U. S. Grants Disability Assistance (Administration ) 316.76
2,798.86
County of Plymouth:
Dog Fund 289.60
Highways Chapter 90 Contract 17436
5,000.00
Highways Chapter 90 Contract 17613 1,488.02
Land Damage - Routes 58-44 10.00
6,787.62
Cities and Towns:
Town of Halifax, Public Welfare 20.00
Town of Marion, Public Welfare 878.70
Town of Bridgewater, Public Welfare 313.11
City of Fall River, Public Welfare 63.00
Town of Plymouth, O.A.A. 539.33
Town of Duxbury, O.A.A.
90.67
Town of Middleboro, O.A.A.
332.02
City of New Bedford, O.A.A.
221.78
2,458.61
Town of Middleboro 4.50
(Vocational Practical Arts )
Town of Middleboro (School Tuition) 209.10
213.60
Cemetery Funds : Hugh R. Bailey Lot, Union 800.00
11
Theron M. and Harrison G. Cole Lot, Lakenham 200.00
John J. and Susannah Cole Lot, Lakenham 150.00
1,150.00
Town Clerk:
Marriage Licenses
30.00
Chattel Mortgages
214.00
Miscellaneous Fees
47.00
291.00
Road Machinery Fund (Town)
3,018.50
Town Clerk Dog Fund
372.25
Town Clerk Sporting Licenses
861.00
E. Tillson Pratt School Fund
100.92
Madeleine Owens, Library Fines
1.30
Fourth District Court Fines
311.20
Special Cemetery Account
561.00
Perpetual Care Cemeteries
969.86
Camp Licenses
5.00
Milk Licenses
8.00
Victualers Licenses
15.00
Junk Licenses No. 3
20.00
Entertainment Licenses
9.00
Lord's Day Permits
15.00
Oleo Permits
5.00
Pistol Permits
40.00
Alcohol Permits
6.00
Gasoline Renewals
6.00
School Lunch
9,966.11
U. S. Withholding Taxes
12,886.94
Plymouth County Retirement
1,710.08
Collector's Demands
179.00
Public Health Nurse
216.00
Sale, School Lumber
42.95
Cemetery -Sale of Lots
313.76
12
Cemetery - Care of Private Lots
41.00
Pole Locations
60.50
License to Sell Firearms
1.00
Hire of Town Equipment
45.50
Sale - Library Books
9.00
Used Car Dealer's License
5.00
Liquor Licenses
1,400.00
Slaughtering Fees
2.00
Treasurer's and Collector's Unidentified Cash
5.05
Insurance Refund -Police Cruiser Telephone Call
70.75
Fire Department Check - Refused
9.00
O.A.A. Cancellation
95.75
O.A.A. Recovery
3,090.00
O.A.A. Refund
13.92
O.A.S.I. Federal - Burial
90.00
Board Public Welfare- S.S. Burial Benefit 90.00
36,668.95
Tax Collector:
Property Tax 1955
12.90
Property Taxes 1956
7,446.82
Poll and Property Taxes 1957
18,259.73
Poll and Property Taxes 1958
211,409.11
Farm Animal Excise 1958
44.76
Motor Vehicle Excise 1956
4.88
Motor Vehicle Excise 1957
3,311.04
Motor Vehicle Excise 1958
15,363.57
Interest on all Taxes 946.90
Advertising Fees - 1956 Real Estate
9.60
Tax Title Redemption
74.61
Tax Title Interest
48.03
Tax Title Release Fee
3.00
256,934.95
$569,505.33
.61
13
CR.
CLASSIFICATION OF EXPENDITURES GENERAL GOVERNMENT
Moderator
$25.00
Selectmen
2,574.86
Auditors
299.99
Treasurer
3,063.88
Tax Collector
3,105.25
Assessors
2,770.48
Law
150.00
Town Clerk
1,410.14
Elections, Registrations and Street Listing 998.87
Finance Committee Expense
12.10
Town Hall
3,385.60
17,796.17
PROTECTION OF PERSONS AND PROPERTY
Police
10,126.17
Fires
973.71
Fire Equipment
4,031.73
Purchase of Fire Truck
12,285.00
Weights and Measures
211.73
Inspector of Wires
153.96
Tree Warden
2,499.61
Gypsy Moth
799.80
Dutch Elm Disease
2,400.00
Dog Officer
192.00
33,673.71
HEALTH AND SANITATION
Health
2,276.10
Public Health Nurse
2,221.93
Plymouth County Mosquito Control
2,908.21
Plymouth County Hospital
7,724.84
15,131.08
14
HIGHWAY MAINTENANCE and CONSTRUCTION
General Highway
3,795.62
Machinery Account
2,936.82
Removal of Snow
6,630.22
Tremont Street Construction
6,106.61
Crane Brook Bridge
15,142.10
Roads, Chapter 81
24,750.00
Roads, Chapter 90
15,335.73
Land Damage:
Wareham Street
1,010.00
High and Spring Streets
5.00
Tremont Street
993.00
Route 58
23.00
76,728.10
PUBLIC WELFARE AND VETERANS' SERVICES
Public Assistance
45,117.47
Public Assistance Administration
3,343.55
Federal Old Age Assistance
14,791.09
Federal Old Age Assistance Administration
1,789.71
Federal Aid to Dependent Children
1,511.72
Federal Aid to Dependent Children Administration
407.92
Disability Assistance
2,006.49
Disability Assistance Administration
236.46
Veterans' Benefits
8,056.23
Veterans' Benefits Administration
250.00
77,510.64
SCHOOLS AND LIBRARIES
Schools
139,711.94
Library
843.27
School Lunch Program
13,601.39
Smith-Hughes-George Barden Fund
105.00
- 154,261.60
15
RECREATION AND UNCLASSIFIED
Parks
$733.96
Old Home Day
200.00
Memorial Day
175.00
Workmens' Compensation Insurance
747.41
Unpaid Bills of 1957
386.30
Center Carver Athletic Field
74.15
American Legion Post Rent
400.00
Plymouth County Retirement Board
1,552.40
Unclassified .
933.71
Aid to Agriculture
100.00
5,302.93
CEMETERIES
Cemeteries
3,145.13
Special Cemeteries
602.00
Perpetual Care
969.86
Lakenham Cemetery Tool Shed
270.00
Thomas Tillson and Lucinda Tillson Lots
79.35
5,066.34
MUNICIPAL INDEBTEDNESS
Consolidated School Bonds
13,000.00
Interest, School Bonds
2,535.00
15,535.00
AGENCY AND TRUST
Federal Withholding Taxes
12,602.09
Plymouth County Retirement
1,697.40
County Tax
14,991.74
Division of Fisheries and Game
832.50
Plymouth County Dog Fund
408.75
State Audit
834.98
State Parks
1,185.54
Collector's Fees
179.00
Central Cemetery Bequest
1,000.00
Union Cemetery Bequest
800.00
34,532.00
16
REFUNDS
Taxes Motor Vehicle Excise
$7.61 101.47
109.08
435,646.65
Balance December 31, 1958
133,858.68
$569,505.33
1
12
17
DEPARTMENTAL EXPENDITURES IN DETAIL GENERAL GOVERNMENT
Selectmen
Appropriation
2,709.00
Selectmen
1,680.25
Clerical
474.37
Printing, Stationery,
Postage
30.93
Mileage
181.52
Telephone
109.88
Assn. Dues
21.00
Office Supplies
44.41
Repairs
7.00
Expenses
20.00
Recording Deed
5.50
Balance to Revenue
134.14
2,709.00
2,709.00
Auditors
Appropriation
299.99
Auditors
299.99
299.99
299.99
Treasurer
Appropriation
3,002.00
Reserve Fund Transfer
100.00
Treasurer, Salary
1,350.00
Clerical
1,040.00
Printing, Stationery,
Postage
224.68
Surety Bond
90.90
Telephone
43.05
Supplies
94.30
Dues
2.00
,
18
Insurance
45.00
Files, etc.
81.15
Use of Car
92.80
Balance to Revenue
38.12
3,102.00
3,102.00
Tax Collector
Appropriation
3,107.00
Tax Collector, Salary
1,350.00
Clerical
1,040.00
Printing, Stationery,
Postage
428.72
Surety Bond
152.15
Express
5.85
Telephone
59.71
Dues
2.00
Supplies
26.82
Tax Title Expense
6.00
Repairs
33.00
Balance to Revenue
1.75
3,107.00
3,107.00
Assessors
Appropriation
3,250.00
Assessors' salaries
1,883.25
Clerical
350.00
Printing, Stationery,
Postage
62.95
Telephone
97.63
Mileage
213.04
Transfers
57.12
Dues
9.00
Supplies
46.87
Banker & Tradesman, Subs't'n 24.00
Meeting Expense
11.50
Balance to Revenue
479.52
3,250.00
3,250.00
19
Assessors' Plans
Balance January 1, 1958
3,078.16
Appropriation
3,000.00
Balance to January 1, 1959
6,078.16
6,078.16
6,078.16
Law
Appropriation
200.00
Attorney Fees
150.00
Balance to Revenue
50.00
200.00
200.00
Town Clerk
Appropriation
1,430.00
Town Clerk, Salary
800.00
Clerical
520.00
Printing, Stationery,
Postage
8.50
Surety Bond
6.00
Telephone
41.60
Supplies
8.93
Repairs
25.10
Balance to Revenue
19.86
1,430.00 1,430.00
Elections, Registration, Street Listing
Appropriation
1,125.00
Registrars of Voters, Salaries 78.63
Registrars of Voters, Use of Cars 9.84
Street Listing, Salaries 176.75
31.36
Election Officers
431.16
Lunches
52.80
Voting Lists
98.50
Ballots
52.00
Supplies
8.18
Street Listing, Use of Cars
20
Clerical
59.65
Balance to Revenue
126.13
1,125.00
1,125.00
Finance Committee Expense
Appropriation
40.00
Dues
10.00
Expense
2.10
Balance to Revenue
27.90
40.00
40.00
Town Hall
Appropriation
2,956.00 450.00
Reserve Fund Transfer
Janitor
1,040.00
Janitor's Supplies
117.73
Fuel
1,051.78
Light
162.34
Repairs
159.02
Vestibule
542.08
Labor
28.00
Flagpole
8.05
Floor Polisher and Brushes
145.80
Balance to Revenue
20.40
3,406.00
3,406.00
PROTECTION OF PERSONS AND PROPERTY
Police
Appropriation
7,829.70
Insurance Policy Refund
70.75
Reserve Fund Transfer
2,500.00
Chief, Salary
4,070.00
Police
3,200.40
Committments
11.60
Equipment
326.81
-
21
Insurance
387.81
Telephone
396.35
Mileage
293.76
Repairs and Gas
1,021.57
Tires and Recaps
130.00
Pictures
64.00
Camera and Accessories
106.00
Supplies
68.20
Lockup
16.00
Radio Repair
6.38
Oxygen Tank Refill
11.00
Film, Developing and Printing
11.29
Dues
5.00
Balance to Revenue
274.28
10,400.45 10,400.45
Fires
Appropriation
1,200.00
Chief, Salary
122.40
Firemen
840.31
Clerical
11.00
Balance to Revenue
226.29
1,200.00
1,200.00
Fire Equipment
Appropriation
4,043.00
Chief
190.20
Labor
51.10
Insurance
310.62
Fuel
779.10
Gas, Supplies, etc.
435.16
Repairs and Parts
504.21
Telephone
264.25
Lights
93.35
Inspections
12.00
Dues
2.00
Radio Repairs
126.36
22
Buildings and Grounds
Balance to Revenue
1,263.38 11.27
4,043.00
4,043.00
Purchase of Fire Truck
Balance January 1, 1958
12,600.00
Center Carver Fire Truck
12,285.00
Balance January 1, 1959
315.00
12,600.00
Weights and Measures
Appropriation
212.00
Sealers Salary
150.00
Equipment
18.70
Insurance, Telephone, Postage 43.03
Balance to Revenue .27
212.00
212.00
Inspector of Wires
Appropriation
220.00
51 inspections
127.50
Use of Car
21.76
Telephone and Postage
4.70
Balance to Revenue
66.04
220.00
220.00
Tree Warden
Appropriation
2,500.00
Salaries and Wages
1,222.80
Trucks
542.00
Equipment
87.00
Supplies and fertilizer
75.61
Dues
2.00
Tree Service Charges
60.00
Trees
476.80
1
23
Telephone Calls
1.40
Balance to Revenue
.39
2,500.00
2,500.00
Gypsy Moth
Appropriation
Salaries and Wages
239.00
Trucks
236.50
Insecticides
319.80
All Other
4.50
Balance to Revenue
.20
800.00
800.00
Dutch Elm Disease
Appropriation
2,000.00 400.00
Reserve Fund Transfer
Salaries and Wages
1,090.25
Tree Service Charges
390.00
Insecticides
294.18
Truck
404.00
Equipment (Sprayer etc.)
134.50
Supplies
18.67
Telephone Calls
1.40
Chain Saw and Winch Hire
67.00
2,400.00 2,400.00
Dog Officer
Appropriation
100.00
Reserve Fund Transfer
100.00
Care and Disposal of Dogs
192.00
Balance to Revenue
8.00
200.00 200.00
800.00
24
HEALTH AND SANITATION
Health
Appropriation
3,060.00
General Administration
439.83
Mileage
25.68
Sanitation
1,056.35
Dues
2.00
Dr. Mayo, Clinic and
School Physician
310.00
Plymouth County Hospital
343.50
Inspector of Animals and Slaughter
98.74
Balance to Revenue
783.90
3,060.00
3,060.00
Public Health Nurse
Appropriation
2,425.83
Salary
1,665.96
Mileage
368.97
Car Insurance
17.50
Supplies
94.33
Substitute Salary
69.17
Substitute Mileage
6.00
Balance to Revenue
203.90
2,425.83
2,425.83
Plymouth County Mosquito Control
Assessment
2,908.21
Paid County
2,908.21
2,908.21
2,908.21
Plymouth County Hospital
Assessment
7,724.84
Paid County Hospital
7,724.84
7,724.84
7,724.84
25
HIGHWAY MAINTENANCE and CONSTRUCTION
General Highway
Appropriation
3,822.80
Insurance
188.43
Street Lights
559.53
Dues
5.00
Labor
1,105.53
Trucks
42.00
Supplies and Tools
610.14
Fuel (gas, oil, grease, fuel oil) 926.00
Office Supplies and Clerical
51.25
Electricity
44.07
Express
48.53
Street Signs, Torches etc.
215.14
Balance to Revenue
27.18
3,822.80
3,822.80
Machinery Account
Appropriation
2,640.00
Reserve Fund Transfer
300.00
Grader Parts, Tires etc.
1,131.22
Tractor Parts and Tires
383.48
Roller Parts
273.86
Pickup Repairs, Tires, etc.
146.18
Broom Refills
132.01
Labor
334.51
Miscellaneous - Antifreeze,
Paint, etc.
213.96
Snowplow Parts
251.60
Guardrail Forms
70.00
Balance to Revenue
3.18
2,940.00
2,940.00
26
Snow Removal
Appropriation
7,500.00
Salaries and Wages
1,542.60
Trucks and Equipment
4,070.86
Salt, Sand, etc.
1,016.76
Balance to Revenue
869.78
7,500.00 7,500.00
Tremont Street Contruction
Balance January 1, 1958
7,025.67
Salaries and Wages
1,095.50
Trucks
716.43
Asphalt, etc.
4,294.68
Balance January 1, 1959
919.06
7,025.67 7,025.67
Crane Brook Bridge
Balance January 1, 1958
2,000.00
Received from County
1,992.02
Received from State
11,399.76
Crane Brook Bridge
15,142.10
Balance to January 1, 1959
249.68
15,391.78 15,391.78
Roads, Chapter 81
Appropriation
24,750.00
Salaries and Wages
7,068.86
Trucks
8,410.03
Asphalt
6,147.91
Equipment
1,572.00
Supplies (Pipe, Sand, Cement,
Blocks )
1,054.95
Culvert
206.25
Mowing
290.00
24,750.00 24,750.00
27
Roads, Chapter 90
Appropriation
25,000.00
Reserve Fund Transfer
1,500.00
Salaries and Wages
3,785.50
Trucks
4,562.92
Equipment
4,694.10
Asphalt
801.64
Supplies, Pipe, Cement, Gravel, etc.
1,491.57
Balance January 1, 1959
11,164.27
26,500.00 26,500.00
Land Damage:
Wareham Street
Balance January 1, 1958
1,214.00
Payment
1,010.00
Balance to January 1, 1959 204.00
1,214.00
1,214.00
High and Spring Streets
Balance January 1, 1958
9.00
Payment
5.00
Balance to January 1, 1959
4.00
9.00 9.00
Seipet Street
Balance January 1, 1958
2.00
Balance January 1, 1959 2.00
2.00
2.00
Tremont Street
Balance January 1, 1958
27.00
Appropriation
993.00
Payment
993.00
Balance to January 1, 1959 27.00
1,020.00 1,020.00
28
South Meadow Street Balance January 1, 1958
13.43
Balance to January 1, 1959
13.43
13.43
13.43
Meadow Street
Balance January 1, 1958
2.88
Balance to January 1, 1959
2.88
2.88
2.88
Holmes Street
Balance January 1, 1958
32.00
Balance January 1, 1959
32.00
32.00
32.00
Routes 58 and 44
Received from County
10.00
Reserve Fund Transfer
10.00
Balance to January 1, 1959
20.00
20.00 20.00
Indian Street
Balance January 1, 1958
43.00
Balance to January 1, 1959
43.00
43.00 43.00
Route 58
Balance January 1, 1958
59.00
Payment 23.00
Balance to January 1, 1959
36.00
59.00 59.00
Savery Avenue Widening
Balance January 1, 1958
205.00
Balance to January 1, 1959
205.00
205.00 205.00
29
PUBLIC WELFARE AND VETERANS' SERVICES
Public Assistance Administration
* Appropriation Administration
3,510.00
3,343.55
Balance to Revenue
166.45
3,510.00
3,510.00
Public Assistance
* Appropriation
50,500.00
Public Assistance
45,117.47
Balance to Revenue
5,382.53
50,500.00 50,500.00
Veterans' Benefits Administration
Appropriation
440.00
Administration
250.00
Balance to Revenue
190.00
440.00
440.00
Veterans' Benefits
Appropriation
5,000.00
Reserve Fund Transfer
3,500.00
Home Assistance
6,994.60
Medical Care
1,061.63
Balance to Revenue
443.77
8,500.00
8,500.00
SCHOOLS and LIBRARIES
Schools
Appropriation +Expenditures
139,785.00
139,711.94
Balance to Revenue
73.06
139,785.00 139,785.00
30
Regional School District Planning Committee
Balance January 1, 1958
Balance to January 1, 1959 233.71
233.71
233.71
233.71
Library
Appropriation
515.00
Dog License Refund
289.60
Rosa A. Cole Fund
40.00
Salaries and Wages
363.20
Postage, etc.
9.27
Books, Magazines, etc.
421.00
Supplies
49.80
Balance to Revenue
1.33
844.60 844.60
School Lunch Program
Balance January 1, 1958
19.13
Receipts in 1958
14,189.79
Lunch Room Expense
13,601.39
Balance to January 1, 1959
607.53
14,208.92 14,208.92
Smith-Hughes-George-Barden Fund
Balance January 1, 1958
105.00
Received During Year
200.00
Instructors
105.00
Balance to January 1, 1959
200.00
305.00 305.00
RECREATION AND UNCLASSIFIED
Parks
Appropriation
820.00
Labor
454.70
Trucks
132.25
31
Supplies
90.37
Tables
51.64
Gravel
5.00
Balance to Revenue
86.04
820.00
820.00
Old Home Day
Appropriation
200.00
Cosmopolitan Band
200.00
200.00
200.00
Memorial Day
Appropriation
175.00
Cosmopolitan Band
175.00
175.00
175.00
Workmen's Compensation Insurance
Appropriation
1,600.00
Daniel F. McNearney
747.41
Balance to Revenue
852.59
1,600.00
1,600.00
Unpaid Bills of 1957
Appropriation
386.30
Veterans' Benefits
309.00
Inspector of Wires
34.54
Public Assistance (Public Welfare )
16.00
Fires (Plymouth Fire)
26.76
386.30
386.30
Center Carver Athletic Field
Appropriation
250.00
Cement Blocks, Wire
74.15
Balance to January 1, 1959
175.85
250.00 250.00
1
32
Reserve Account
Appropriation
5,000.00
August 12, 1958
Transfer to Dog Officer 100.00
Transfer to Veterans' Benefits 1,000.00
September 30, 1958
Transfer to Treasurer 100.00
November 25, 1958
Transfer to Town Hall 450.00
December 31, 1958
Transfer to Highway,
Chapter 90 1,500.00
Balance to Overlay Surplus 1,850.00
5,000.00 5,000.00
American Legion Post Rent Appropriation
400.00
Rent
400.00
400.00 400.00
Plymouth County Retirement Board
Appropriation
1,552.40
County of Plymouth 1,552.40
1,552.40
1,552.40
Unclassified
Appropriation
936.00
Town Reports and Delivering 868.00
0
Middlesex County Training School 65.71
Balance to Revenue 2.29
936.00 936.00
33
Aid to Agriculture Appropriation County of Plymouth
100.00
100.00
100.00
100.00
CEMETERIES
General Cemeteries
Appropriation
3,176.00
Salaries and Wages
2,635.95
Clerical
11.20
Loam and Sand
17.00
Supplies
123.85
Truck
98.50
Chain Saw
30.00
Power Mowers
150.00
Repairs
41.70
Gas
26.93
Balance to Revenue
30.87
3,176.00
3,176.00
Special Cemeteries
Appropriation
650.00
Labor - Opening Graves etc. 602.00
Balance to Revenue
48.00
650.00 650.00
Cemeteries - Perpetual Care
Appropriation
1,000.00
Labor and Materials
969.86
Balance to Revenue 30.14
1,000.00 1,000.00
Lakenham Cemetery Tool Shed Appropriation Labor and Materials 270.00
270.00
270.00
270.00
-
34
Thomas Tillson and Lucinda Tillson Lots
Appropriation
Labor and Materials 79.35
Balance to January 1, 1959
.65
80.00 80.00
MUNICIPAL INDEBTEDNESS
Consolidated School Bonds
Appropriation
13,000.00
The Merchants National Bank of Boston 13,000.00
13,000.00
13,000.00
Interest, School Bonds
Appropriation
2,535.00
The Merchants National Bank
of Boston 2,535.00
2,535.00 2,535.00
AGENCY AND TRUST
Federal Withholding Taxes 12,602.09
Plymouth County Retirement 1,697.40
County Tax 14,991.74
Division of Fisheries and Game 832.50
Plymouth County Dog Fund 408.75
State Audit 834.98
State Parks
1,185.54
Collectors' Fees
179.00
Central Cemetery Bequest
1,000.00
Union Cemetery Bequest
800.00
80.00
34,532.00 34,532.00
35
REFUNDS
Taxes Motor Vehicle Excise
7.61
101.47
109.08
109.08
*See Public Welfare Department Report for detailed account of expenditures.
tSee School Committee Report for detailed account of expenditures.
-
36
LICENSES AND PERMITS SPORTING LICENSES ISSUED IN 1958
Resident Citizen Fishing
108 @ $3.25
$351.00
Resident Citizen Hunting
33 @
3.25
107.25
Resident Citizen Sporting
57 @
5.25
299.25
Resident Minor Fishing
6 @
1.25
7.50
Resident Citizen Female Fishing
9 @
2.25
20.25
Resident Citizen Minor Trapping
3 @
2.25
6.75
Resident Citizen Trapping
2 @
7.75
15.50
Special Non-Resident Fishing
10 @
2.75
27.50
Non-Resident Citizen Fishing
1 @
7.75
7.75
Non-Resident Citizen Hunting
1 @ 15.25
15.25
Duplicate
4 @
.50
2.00
Resident Citizen Sporting (Free)
14
Free
Alien Fishing
4 @ 7.75
31.00
Total
252
$891.00
Fees
58.50
Paid Division of Fisheries and Game
$832.50
DOG LICENSES ISSUED IN 1958
Males
119
@
$2.00
$238.00
Females
9
@
5.00
45.00
Spayed
41
@
2.00
82.00
Kennel
8
@
10.00
80.00
Total
177
$445.00
Fees
44.25
Paid Town Treasurer
$400.75
37
PISTOL PERMITS
George Bailey
$2.00
Edwin G. Brown $2.00
Ronald Patterson
2.00
Celia F. Brown 2.00
Andrew F. Griffith, Jr. 2.00
Robert Magura 2.00
George T. Harriman
2.00
Leon Johnson 2.00
George Short 2.00
Richard Anthony 2.00
Louis Verdelli
2.00
Leo Caron
2.00
Albert Gadapee
2.00
Ethel Savery
2.00
Richard Arponen
2.00
William H. Viator
2.00
Raymond Jarvio 2.00
Peter Thomas
2.00
Ellsworth Braddock 2.00
Martha L. Verhelst
2.00
OLEO PERMITS
Jennie Barker
$ .50
Joseph Boucher $ .50
Bourget's Store .50
Joseph Garcia .50
Walter R. Carmichael
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