City Officers and the Annual Reports to the City Council of Newburyport 1902, Part 4

Author: City of Newburyport
Publication date: 1902
Publisher:
Number of Pages: 420


USA > Massachusetts > Essex County > Newburyport > City Officers and the Annual Reports to the City Council of Newburyport 1902 > Part 4


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Total funds, December 21, 1901 $13,541 15


City appropriation for 1902 . 6,650 00


Interest on investments in 1902 544 00


$20,735 15


INVESTMENTS.


Newburyport 33 per cent school bonds $5,000 00


Newburyport 32 per cent sewer bonds 8,000 00


Newburyport 33 per cent high school bonds . 7,000 00


Deposit in Five Cents Savings Bank,


city .


422 06


Deposit in First National Bank, city .


313 09


$20,735 15


SINKING FUND- SCHOOL HOUSE LOAN.


Loan, $27,500: due June 1, 1910.


Total funds, December 21, 1901 . $2,000 00


City appropriation for 1902 . 2,000 00


Interest on investments in 1902 103 00 $4,103 00


1 INVESTMENTS.


Newburyport 3g per cent sewer bonds $2,000 00 Newburyport 32 per cent high school


bonds . 2,000 00


Deposit in First National Bank, city


103 00


$4,103 00


75


SINKING FUNDS.


SINKING FUND-SEWERAGE LOAN.


Loan, $46,000; due September 1, 1931.


City appropriation for 1902 $1,300 00


Interest on investments in 1902 24 16


$1,324 16


INVESTMENTS.


Deposit in First National Bank, city . $1,324 16


SUMMARY.


City of Newburyport 4 per cent sewer bonds $20,000 00


City of Newburyport 3} per cent sewer bonds 20,000 00


City of Newburyport 3} per cent school bonds 27,500 00 City of Newburyport 32 per cent high school bonds 17,000 00


City of Malden 4 per cent sewer bonds 15,000 00


City of Haverhill 4 per cent water bonds .


5,000 00


City of Quincy 4 per cent water bonds . 500 00


Deposit in Five Cents Savings Bank, city 1,347 06


Deposit in First National Bank, city


1,740 25


$108,087 31


Held in trust by the commissioners, under order of the city council passed June 15, 1899, which is placed on deposit at the First National Bank, city $3,163 20 Income for the year 1902 32 75


$3,195 95


J. V. FELKER, Treasurer.


Fifty-second Annual Report


OF THE


City Treasurer and Collector of Taxes.


78


ANNUAL REPORTS


ANNUAL STATEMENT OF THE


FOR THE YEAR ENDING


DR.


CITY OF NEWBURYPORT in account current


To amounts paid mayor's orders and charged as follows :


Poor


$25,563 08


Schools


37,485 42


Fire


11,4II 92


Highways


18,817 49


Incidentals


4,618 93


Public Property


5,998 31


Police


13,533 22


Lighting


13,755 86


Interest


22,470 83


Public library


4,242 14


Sidewalks and edgestones


2 257 94


Newburyport bridge


2,336 91


Culverts


1,539 93


Notes payable .


127,167 73


State of Massachusetts, state aid, chapter 374


10,822 00


military aid, chapter 372.


469 46


burial expense


175 00


state tax


5,592 50


County of Essex, county tax.


9,924 53


Non-resident bank tax


4,504 46


Fuel


1,543 07


Salaries


10,149 70


Board of health


8,013 59


Printing


637 28


Sinking fund commissioners. .


16,000 00


Ashes and rubbish


1,469 41


Memorial day


200 00


Sewer, maintenance


481 90


construction


6,102 34


Parks, regular


492 82


66 Atkinson common


496 75


Cushing


89 52


Soldiers' relief


4,81 1 60


79


CITY TREASURER


RECEIPTS AND EXPENDITURES


DECEMBER 20, 1902.


with JAMES V. FELKER, City Treasurer. CR.


By cash on hand December 21, 1901 . $60,843 49


By cash received and credited as follows :


Poor


5,263 08


Schools 1,208 05


Fire


301 38


Highways


3,005 73


Incidentals


2,229 95


Public property


444 43


Police


2,259 47


Lighting


3 00


Interest on overdue taxes


$2,980 09


66 bank deposits 1,519 39


4,499 48


Public library


1,469 98


Sidewalks and edgestones.


89 00


Notes payable


131,467 73


State of Massachusetts, state aid, chapter 374


10,134 00


military aid, chapter 372


296 73


burial expense


350 00


. €


66


armory rents


100 00


Bromfield fund


490 00


Liquor licenses


1 00


Ashes and rubbish


8 75


Non-resident bank tax, city banks.


$2,971 79


state of Massachusetts . . 3,305 31


6,277 10


Income, corporation tax, 1901 .


92


corporation tax, 1902 12,092 57


12,093 49


Soldiers' relief


529 46


County of Essex (seals)


42 00


Dog licenses


437 04


City hall


1,655 00


Burial lots


303 00


So


ANNUAL REPORTS


ANNUAL STATEMENT OF THE


FOR THE YEAR ENDING


DR. CITY OF NEWBURYPORT in account current


County of Essex (seals)


$ 42 00


Watering streets for 1902


5,353 86


Bromfield fund


406 59


Anna Jaques hospital


600 00


High schoolhouse


25,885 77


State of Massachusetts, account corporation tax of 1901 ...


3 63


non-resident bank tax of 1901 .


254 65


Liquor licenses.


348 83


Memorial volume


50 00


Grading new street, ward 6


300 00


Copying records of Old Newbury


100 00


South end reading room.


200 0c


Balance, cash on hand December 20, 1902


68,566 60


$475,287 57


8I


CITY TREASURER


RECEIPTS AND EXPENDITURES


DECEMBER 20, 1902.


with JAMES V. FELKER, City Treasurer.


Board of health


$ 1,129 59


Parks, Atkinson common


2 20


Newburyport bridge


963 20


Betterments


1,514 60


Watering streets, 1899


20 04


66


1900.


263 37


66


I90I


676 29


1902.


3,657 17


4,616 87


Taxes of 1899


469 90


1900


17,937 90


I90I .


27,446 79


1902


137,632 54


183,487 13


Sewer, construction


311 19


Fuel


1,385 00


High schoolhouse


1,165 45


City bonds, 32 per cents, high school loan


35,000 00


$475,287 57


Respectfully submitted,


JAMES V. FELKER, City Treasurer.


S2


TABULAR STATEMENT


OF THE


Appropriations, Expenditures, and Balances,-Year Ending December 20, 1902.


DEPARTMENTS.


APPROPRI- ATIONS.


INCOME AND TRANSFERS.


TOTAL CREDITS.


EXPEND- ITURES AND TRANSFERS


UNDRAWN.


OVER- DRAWN.


Poor


$ 20,000


$5,263 08


$25,263 08


$25,563 08


$ 300 00


Schools


32,000


1,208 05


33,208 05


37,485 42


4,277 37


Fire. .


11,000


301 38


11,301 38


11,4II 92


IIO 54


Highway


13,000


3,005 73


16,005 73


18,817 49


2,811 76


Sidewalks and edgestones.


1,000


89


1,089


2,257 94


1,168 94


Ashes and rubbish . . .


1,250


3 75


1,258 75


1,469 41


210 66


Bridges and culverts


2,500


963 20


3,463 20


3,876 84


413 64


Watering streets


800


4,563 22


5,363 22


5,358


5 22


Incidentals


250


5,837 80


6,087 80


5,86 t 80


226


Public property


4,000


2,502 43


6,502 43


5,998 31


504 12


. .


Police .


11,500


2,259 47


13,759 47


13,533 22


Lighting


13,200


3


13,203


13,755 86


552 86


Salaries


9,550


9,550


10,149 70


599 70


Fuel .


400


1,385


1,785


1,543 07


241 93


Public library


2,000


1,907 02


3,907 02


4,242 14


335 12


Printing .


800


800


637 28


162 72


Board of health


750


1,129 59


1,879 59


8,013 59


6,134 00


Military aid


275


275


234 73


40 27


Soldiers' relief


3,350


529 46


3,879 46


4,811 60


932 14


450


. ..


450


492 82


42 82


Atkinson common


500


2 20


502 20


496,75


5 45


.


Cushing .


75


...


75


89 52


14 52


.


...


...


. . .


...


.


.


.


.


2 26 25


. . .


ANNUAL REPORTS


Parks


..


Memorial day.


200


. . .


200


Sewer, maintenance .


650


.. .


650


200 481 90 600


168 10


....


Anna Jaques Hospital.


600


. ..


.


..


....


1,200


1,211 78


... .


II 78 328 79


1900


600


44 95


644 95


973 74


. . . .


.


.


1902


50


2,155 40


2,205 40


1,733


472 40


19,400


4,499 48


23,899 48


22,470 83


1,428 65


Notes payable.


1,200


1,200


1,200


....


Sinking funds.


16,000


....


16,000


16,000


...


...


.


....


2,000


2,000


. . .


Reduction of city debt (including over- draft of 1901, $6,567.29) .


18,000


18,000


6.567 29


11,432 71


South end reading room.


200


200


200


...


Copying records of Old Newbury .


100


100


100


...


· .


...


Memorial volume .


250


. .. .


250


50


200


· ..


$189,800


$37,721 83


$227,521 83


$228,798 81


$17,113 82


$18,390 80


Balance overdrawn for the year


1,276 98


$18,390 80


$18,390 80


..


...


.


CITY TREASURER


..


.


. . . .


Grading new street, ward 6


300


. . . .


300


300


1901


400


63 62


463 62


609 78


146 16


. . .


Interest .


.


. .


Abatements, tax of 1899


1,200


600


. .


Trustees Putnam Free School.


2,000


...


....


83


S4


ANNUAL REPORTS


STATEMENT OF CITY DEBT. DECEMBER 20, 1902.


City bonds :


DUE.


INTEREST.


RATE.


AMOUNT.


Refunding loan


. 1908


$2,600 00


4


$65,000 00


..


1911


3,600 00


4


90,000 00


1913


1,000 00


4


25,000 00


Sewerage loan


1919


4,300 00


4


107,500 00


1931


1,610 00


33


46,000 00


School house loan


. 1910


962 50


33


27,500 00


High school loan . . . 1922


1,225 00


33


35,000 00


Notes payable :


No. 592, temporary loan, demand 1,250 00


3g


40,000 00


" 600,


66


781 25


3g


25,000 00


** 615,


.


450 00


3


15,000 00


" 622,


. 1902


30 00


3


1,000 00


++ 627,


. demand


750 00


3


25,000 00


** 624,


60


. 1903


43 03


3


1,467 73


"' 632,


. 1903


120 00


3


4,000 00


** 633,


, 1903


420 00


33


12,000 00


Com. on Sawyer fund . demand


225 00


43


15,000 00


" Green fund


80 00


4


2,000 00


" Toppan fund .


66


10 00


4


250 00


" A. Williams fund


60


40 00


4


1,000 00


Todd fund


400 00


4


10,000 00


W.O. Moseley fund


66


400 00


4


10,000 00


Overseers of the poor, Dexter fund . . .


90 00


43


2,000 00


Trustees of will of Mar-


66


472 50


42


10,500 00


Trustees Simpson fund


66


900 00


42


20,000 00


Follanshee .fund


66


120 00


4


3,000 00


$22,594 28


$599,217 73


Due sundry accounts


32 60


Gross debt (carried forward)


$599,250 33


.


" Brown fund


675 00


4


1,000 00


" Frothingham fund .


40 00


5,000 00


garet Atwood .


85


CITY TREASURER


Gross debt (brought forward) . $599,250 33


Less sinking funds and other assets 277,524 94


Net debt, December 20, 1902 $321,725 39


Net debt, December 21, 1901


317,272 13


Increase of debt in 1902


$4,453 26


The increase of debt in 1902 is explained as fol- lows :


Appropriated to sinking funds in 1902 . $16,000 00


notes payable in 1902 . 1,200 00


Net income of sinking funds in 1902 2,781 16


Decrease of overdraft in 1902 5,290 31


Appropriated to Curtis school house


786 74


Credit for the year . $26,058 21


Net expenditures on sewerage in 1902 . $5,791 15


high school house . 24,720 32


Debit for the year 30,511 47


Increase of debt (as above stated)


$4,453 26


86


ANNUAL REPORTS


STATEMENT OF INCOME AND EXPENDITURES.


SHOWING BALANCE, DECEMBER 20, 1902.


Assessed for city purposes . $179,800 00


Assessed for re-assessments 359 54


Assessed for overlay 1,795 86


Assessed for state tax


5,592 50


Assessed for county tax 9,924 53


$197,472 43


Income allowed by assessors


10,000 00


Income credited the several departments


35,457 86


Income from Bromfield fund in 1902


400 00


Balance due Bromfield fund, December 21, 1991


35 71


Balance due Atkinson common, December 21, 1901


3 48


Supplementary commitment, tax of 1900


44 95


Supplementary commitment, tax of 1901


63 62


$243,478 05


Payments on the several departments . $206,989 11 Abatements of tax of 1899


1,211 78


66 1900


973 74


1901


609 78


1902 .


1,733 00


Abatements, watering streets, 1899


10 71


.6


1900


46 80


.6


1901


18 33


٠،


1902


5 56


Paid state tax


5,592 50


Paid county tax


9,924 53


Expenditures on Bromfield fund .


406 59


Paid sinking fund commissioners city appropriation for 1902


16,000 00


Paid Notes Payable amount of city appropriation for 1902


1,200 00


244,722 43


$1,244 38 Carried forward .


.


87


CITY TREASURER


Brought forward . $1.244 38 Credit balance Bromfield fund account,


December 20, 1902 $29 12 Credit balance Atkinson common ac- count, December 20, 1902 3 48


32 60


Balance overdrawn for the year $1,276 98


DEBTS DUE THE CITY AND OTHER ASSETS.


DECEMBER 20, 1902.


Taxes of 1899 $ 252 50


1900 1,935 15


1901 24,447 23


.. 1902 58,106 89


Betterments


1,597 45


Watering streets for 1901 .


312 09


،، 1902 900 49


State of Massachusetts, state aid . 9,924 00


66 military aid 220 23


burial account 175 00


Sinking fund (including $3,000 in trust) 111,087 31


Cash on hand, December 20, 1902


68,566 60


$277,524 94


SS


ANNUAL REPORTS


COMMONWEALTH OF MASSACHUSETTS IN ACCOUNT WITH CITY OF NEWBURYPORT.


Balance due from state, Dec. 21, 1901 . $9,903 23 State aid paid in 1902, chapter 374,


acts of 1899 10,822 00


Military aid paid in 1902, chapter 372,


acts of 1899 469 46


Burial expense paid in 1902. chapter 279, acts of 1896 175 00


Armory rent charged in 1902


100 00


Corporation taxes for year 1902


12,092 57


Street railway tax, chapter 578, acts of 1898 1,200 30


Balance of corporation tax for 1901 2 71


Balance of national bank tax for 1901 . 254 65


Excess of appropriation for one-half payments of military aid in 1902 . 40 27


$35,060 19


RECEIVED.


For account of state aid, chapter 374 . $10,134 00


military aid, chapter 372 . 296 73


armory rents . 100 00


corporation tax, 1902


12,092 57


burial expense, 1901 . 350 00


6. street railway tax, 1902 1,200 30


City appropriation for one-half pay-


ments of military aid in 1902 . . .


275 00


Incidentals for account of corporation tax of 1901 . 2 71


Incidentals for account of non-resident bank tax, 1901 254 65


Incidentals for account of burial ex- pense not allowed 35 00


24,740 96


$10,319 23


1


89


CITY TREASURER


DUE FROM THE STATE. DECEMBER 20, 1902.


For state aid, chapter 374, acts of 1899 . $9,924 00


For military aid, chapter 372, acts of 1899 . 220 23


For burial expense, chapter 279, acts of 1896


175 00


$10,319 23


TRIAL BALANCE.


DR. DECEMBER 20, 1902. CR.


Cash . $ 543 10


First National Bank,


city . 60,841 25


First National Bank,


Boston .


7,182 25


Massachusetts,


State aid . 9,924 00


Military aid . .


220 23


Burial expense .


175 00


Sinking fund com- missioners . .


111,087 31


Water account . . 56,284 19


City of Newb'port, 390,041 85 Tax of 1899 . 252 50


1900


1,935 15


1901 .


24,447 23


66 1902 .


58,106 89


Betterments .


1,597 45


Watering streets,


For 1901 .


312 09


For 1902 .


900 49


Incidentals (over-


draft for year 1902 )


1,276 98


$725,127 96


Notes payable . . $203,217 73 City bonds 396,000 00 Sinking funds . . 108,087 31


(in trust) 3,000 00


Atkinson common commissioners . 8 48


Bromfield fund 29 12


Sewers (construction) 4,510 64


High school house 10,279 68


$725,127 96


90


ANNUAL REPORTS


ANNUAL STATEMENT OF THE


DR. CITY OF NEWBURYPORT in account current


To uncollected taxes of 1899, Dec. 21, 1901 . $1,934 18


66 1 900,


20,801 84


190I,


52,440 18


$75,176 20


To uncollected betterments, Dec. 21, 1901


3,112 05


To uncollected watering streets, 1899 (Deceni- ber 21, 1901). 30 75


To uncollected watering streets, 1900 (Decem- ber 21, 1901) 310 17


To uncollected watering streets, 1901 (Decem- ber 21, 1901). 1,002 75


To supplementary commitment tax of 1900. ..


1901 ...


To tax of 1902 committed by assessors .. $189,800 00


Less estimated income. 10,000 00


$179,800 00


To state tax


5,592 50


To county tax


9,924 53


To overlay ..


1,795 86


To supplementary commitment.


359 54


$197,472 43


To non-resident bank tax of 1902


2,971 79


To watering streets, levied in 1902.


3,659 08


To supplementary commitment for watering streets, 1901 . 3 96


To supplementary commitment for watering streets, 1902 4 ¥4


204, III 40


$283,851 89


$79,631 92 44 95 63 62


91


COLLECTOR OF TAXES


COLLECTOR OF TAXES.


with JAMES V. FELKER, Collector of Taxes. CR-


By taxes of 1899 collected and paid to treasurer


$469 90


66


1900


17,937 90


66


190I


27,446 79


66


1902


137,632 54


$183,487 13 By betterments collected and paid to treasurer 1,514 60 By non-resident bank tax


By watering streets for 1899


66


20 04


1900


263 37


66


1901


66


676 29


16


66


2,757 17


By abatements, tax of 1899


$1,2II 78


1900


973 74


66


609 78


66


.“


1902


1,733 00


$4,528 30


By abatements, watering streets, 1899


IO 7I


1900


46 80


66


66


1901


18 33


66


66


5 56


By uncollected taxes of 1899, Dec. 20, 1902.


$ 252 50


66


1900,


1,935 15


66


. ...


24,447 23


. .


66


1902,


. ...


58,106 89


$84,741 77


1,597 45


By uncollected betterments, Dec. 20, 1902 . . By uncollected watering streets for 1901, De- cember 20, 1902 .


312 09


By uncollected watering streets for 1902, De- cember 20, 1902


900 49


87,551 80


$283,851 89


Respectfully submitted,


JAMES V. FELKER, Collector of Taxes. Newburyport, December 20, 1902.


66


66


66


2,971 79


1902


$191,690 39


66


1902


4,609 70


1901,


66


1901


Detailed Statement


OF THE


Receipts and Expenditures.


94


ANNUAL REPORTS ABATEMENT OF TAXES.


1899


City appropriation $ 1,200 00


Allowed on assessors' orders 1,211 78


Overdrawn, transferred from incidentals


11 78


1900


City appropriation $ 600 00


Supplementary assessments 44 95


644 95


Allowed on assessors' orders


973 74


Overdrawn, transferred from incidentals .


328 79


1901


City appropriation $ 400 00


Supplementary assessments 63 62


463 62


Allowed on assessors' orders


609 78


Overdrawn, transferred from incidentals . 1902


146 16


City appropriation $ 50 00


Supplementary assessments 359 54


Overlay


1,795 86


2,205 40


Allowed on assessors' orders


1,733 00


Undrawn, transferred to incidentals


472 40


WATERING STREETS, 1899


Allowed on assessors' orders . S 10 71


Overdrawn, transferred from incidentals . 10 71


95


DETAILED STATEMENT


WATERING STREETS, 1900


Allowed on assessors' orders $ 46 80


Overdrawn, transferred from incidentals 46 80


WATERING STREETS, 1901


Supplementary assessments $ 3 96


Allowed on assessors' orders 18 33


Overdrawn, transferred from incidentals


14 37


WATERING STREETS, 1902


Supplementary assessments $ 4 14


Allowed on assessors' orders 5 56


Overdrawn, transferred from incidentals


1 42


ASHES AND RUBBISH.


Appropriation . $ 1,250 00


CREDITS.


From Towle Manufacturing Company, ashes 8 75


Total appropriation and income 1.258 75


Amount overdrawn, transferred from incidentals to


balance account


210 66


$1,469 41


EXPENDITURES.


[Authorized by the Committee on Highways. ]


Newburyport Herald Co., printing and advertising . $


7 50


News Publishing Co., printing and advertising 6 75


Cashman Brothers, use of team 2 00


Charles E. Allen, labor . 100 00


Louis Boutin, 53 42


Daniel Casey, 100 00


96


ANNUAL REPORTS


Richard Connors, labor


$ 32 00


Thomas Hale


88 03


Jeremiah Hartnett, "


104 00


Cornelius Kelleher, “


133 44


Dennis Kelleher,


104 00


Daniel Lucy, 66


32 00


John Pollard.


16 00


Cornelius Shea, .6


86 00


Jeremiah Sheehan,


104 00


Cornelius Sullivan, 66


104 00


James E. Welch,


30 82


John Whalen,


90 00


Cornelius Lucy, ..


90 00


Frederick Rand,


30 00


Timothy Coffey, 66


62 00


Daniel O'Connell,


46 00


Daniel Quill,


3 60


Cornelius Lynch, 66


3 60


Jeremiah Toomey,


14 25


John Fountain, 66


2 00


Thomas Coleman,


2 00


John L. Sullivan,


2 00


George Dixon,


2 00


Michael Kelley, 66


2 00


Thomas Couinhan,


2 00


John Lynch,


2 00


H. T. Wilkie, 66


2 00


William Woods, labor, spreading ashes


10 00


$1,469 41


97


DETAILED STATEMENT


BOARD OF HEALTH.


Appropriation


$750 00


CREDITS.


From Charles W. Page, cash from plumbers'


$ 7 50 licenses


From Geo. W. Knight, agent, milk licenses 6 50


66 66 slaughter house licenses 3 00


From town of Newbury, for notices


2 87


From town of Randolph, T. H. Sanderson small pox case . 562 96


From state of Massachusetts, on account of contagious diseases . 546 76


1,129 59


Total appropriation and income


$1,879 59


Amount overdrawn, transferred from inci-


dentals to balance account 6,134 00


$8,013 59


EXPENDITURES. [Authorized by the Board of Health. ]


John E. Bailey, use of office, telephone, horse, and cash paid in small pox cases . $ 59 40


Charles W. Page, 12 months' service as clerk, stamps and stationery . 53 85


George W. Knight, salary as agent to June 1, 1902, and cash paid in small pox cases. 427 68


Newburyport Herald Co., printing and advertising 73 42


Hunt Printing & Engraving Co., " 66


38 50


News Publishing Co., 77 40


Ernest H. Noyes, vaccinations, and care of small pox cases . 1,869 75


Stephen P. Bray, one-quarter ton stove coal 1 75


4


98


ANNUAL REPORTS


A. W. Parsons, provisions . $


9 56


H. A. Wilson, groceries 37 38


J. Moody Akerman, provisions 55 91


Fisher & Co., dry goods 165 00


Albert O. Colby, fumigating Jackman school 3 00


Carter, Carter & Meigs, sundries 48 00


Thomas Noyes & Son, groceries, 76 91


E. Desilets, groceries . 261 88


Charles W. Poor, groceries 57 29


William J. Cook, groceries 100 40


E. P. Stickney, provisions 56 76


H. C. Hewitt, groceries . 37 17


Robert J. Mckinney, burial of Thomas Fawcett 15 00


Thomas Foley, attendance on patient at jail 15 00


W. W. Pillsbury, medical attendance at jail 10 00


Hugh Kelleher, labor 90


Cornelius Lucy, 66 90


Daniel Lucy,


90


Red Cross Chemical Co., disinfectants . 19 50


Charles O. Townsend, shades and hanging 3 00


Charles H. Sargent, sevices as inspector, 162 00


William J. Wilkinson, plumbing inspection 69 00


Directory for Nurses, furnishing nurse 2 00


C. G. Thomas, furniture 10 00


Frank B. Hubbard, clothing


97 35


Bay State Bottling Co., liquors


37 70


Central Pharmacy, medicinal supplies


21 10


Police department, services of police


693 00


D. F. Noyes, furnishings


56 75


Edward Osgood, “ 10 42


W. C. Langley Furniture Co., furnishings 7 95


Charles N. Maguire, horse hire . 75 00


John H. McCollam, professional services 10 00


Charles L. Davis, vaccination points, shields, anti- toxin, and cash paid . 142 33


J. C. Colman, piece of pine, 8 feet spruce, trucking 78


99


DETAILED STATEMENT


J. M. Greenough, use of horse and carriage $ 27 00


John H. Balch, Jr., wood and coal 41 95


Louis F. Barton, shoes 30 50


Irving K. Wells, provisions 46 39


Frederick Tigh, professional services 551 00


Abbie Ray Taylor, nursing and clothing


290 00


W. A. Dickie, lettering signs and teaming


1 75


Charles C. Stockman, furnishings 108 42


L. M. Hatch & Sons, stock and labor


65 83


Simeon O. Pilling, expenses, telephoning


2 75


George W. Holmes, services as nurse


769 50


Charles P. Kelley, groceries 2 86


D. J. Kelleher, goods delivered to Willette family . 24 55


Charles H. Lewis, fumigating and disinfecting 3 00


S. H. Thurlow, pick and shovel 1 40


T. R. Healey, antitoxin 7 25


John Collins, 2 feet wood 3 25


Anna Jaques Hospital, 2 rolls of gauze 6 00


Mrs. Agnes Hitchen, labor at Peabody house 48 00


Edward S. Hidden, pastry . 3 06


John Burke, services from June 1 and cash paid .


117 58


Jere Healey, wood and coal


59 75


S. J. Hughes, groceries 12 12


Yerxa & Co., 48 98


George A. Randall, milk


1 02


Pike & Elliott, burial of patient


90 00


Poor department, milk from city farm 14 90


Carrie Ronan, quarantine on account of Sanderson small pox case 10 00


P. St. Cyr, groceries 9 11


George H. Plumer, dry goods 40 82


J. W. Floyd, milk 12 30


.James Noyes, groceries


8 88


George A. Lang, fish 1 63


Sulpho-Napthol Co., 1 can sulpho-napthol 10 00


D. A. Goodwin, Jr., groceries 19 74


100


ANNUAL REPORTS


W. C. O'Connell, provisions . $ 13 21


Richard E. Pierce, services at pest house 500 00


Karl Castelhun, 50 dozen formaldehydes . 37 50


$8,013 59


BRIDGES AND CULVERTS.


Appropriation $2,500 00


CREDITS.


From county of Essex, one-half of ex-


pense of repairs on Newburyport bridge


for year 1901 . $150 75


From county of Essex, one-half of ex- pense of repairs on Newburyport bridge for year 1902 748 03


From town of Salisbury, one-half expense of Cashman Brothers' bill 53 92


From town of West Newbury, one-half of expense of painting Curson mill bridge . 10 50


963 20


Total appropriation and income 3,463 20


Amount overdrawn, transferred from inci-


dentals to balance account . 413 64


$3,876 84


EXPENDITURES. [Authorized by Committee on Bridges and Culverts. ] NEWBURYPORT BRIDGE.


Gas & Electric Co., 1 arc light for 1 year $ 73 44


W. I. Hunt, services as drawtender and cash paid for helper . 840 86


James H. Noyes, 2 shovels


60


S. H. Thurlow, hardware


16 17


Telephone Co., use of telephone 25 02


J. E. Bailey, stock and labor 582 79


1


IOI


DETAILED STATEMENT


N. C. Moody, bolts . $


3 55


Edward Donahoe, bolts and labor 6 00


J. C. Colman, lumber and teaming 311 79


T. F. O'Neil, stone and labor 89 79


D. N. Richardson, oil . 2 60


C. J. Fogg, expenses


7 60


Wolfe tavern, entertainment of bridge committee


15 00


Newburyport Herald, advertising .


20 75


Moses Brown, mayor, expenses to Boston of com- mittee on bridge account 20 00


Albert Russell & Sons, stock, labor, and castings . 288 75


William Holker, lanterns and globes 5 25


H. J. Menut, oil . 9 25


Hermon Staples, glass and setting 1 20


News Publishing Co., advertising 16 50


CULVERTS. $2,336 91


William Holker, pipe .


$ 3 42


Cashman Brothers, teaming


19 25


James E. Colman, lumber and teaming


233 06


N. E. Fire-Proofing Co., brick .


30 20


G. W. Bollman, labor on stone


10 40


E. C. Johnson, teaming .


5 30


Barboro & Dondero, 8 bags salt


2 00


C. H. Meader, stock and labor


1 65


Albert Russell & Sons, stock and labor


36 10


T. H. McCarthy, stock and labor .


126 89


Edward Donahoe, grates, bolts, and labor


17 00


D. N. Richardson, oil


90


Blackmere Post Pipe Co., pipe 75 30


J. Littlefield & Son, jobbing . 78


Boston & Maine railroad, freight on sewer pipe 105 12


Jere B. Lunt, stock and labor 17 99


Barbour Stockwell Co., 2 Concord frames and grates 9 33


Arthur C. Currier, stock and labor 8 52


Towle Manufacturing Co., 20 feet sewer pipe 18 96


102


ANNUAL REPORTS


A. J. Brooks, stock and labor $ 9 15


A. F. Young, teaming 75


Puritan Iron Works, grates and frames 10 40


W. W. Hutchins, painting Curson mill bridge, stock and labor 21 00


Andrew Casey, sundries 2 93


Daniel Casey, labor


57 62


Richard Connors, labor


11 81


Thomas Hale,


71 04


Cornelius Lynch, 66


19 13


John Pollard, 66


5 52


Daniel Quill,


45 01


Edmund Ryan,


29 25


Charles E. Allen, 66


68 20


Cornelius Sullivan, "


48 96


Jeremiah Hartnett, "


65 73


Dennis Kelleher, 66


45 01


Daniel Lucy, 66


15 42


John Whalen, 29 26


Frederick Rand, . .


18 01


Cornelius Lucy,


93 41


Cornelius Kelleher,


10 14


E. E. Bartlett,


23


Louis Boutin, 66


3 73


Timothy Coffey, 66


28 24


Thomas Ryan, 66


9 23


Jeremiah Sheehan,


26 21


James E. Kendall,


2 81


Jeremiah Toomey,


27 24


Daniel O'Connell, "


42 32


$1,539 93


103


DETAILED STATEMENT


BROMFIELD FUND.


Balance on hand, December 21, 1901


$ 35 71


Income for 1902 . 400 00


435 71


Balance on hand, December 20, 1902


29 12


$406 59


EXPENDITURES. [Authorized by Committee on Bromfield Fund. ]


George H. Jaques, 580 square feet galvanized cellar


window netting


$ 23 20


Lyman W. Lord, labor


37 00


Thomas T. Upton, furnishing and planting 62 trees


124 00


Toppan & Wilson, 1 tree pruner


85


T. Y. Cotton, 69 tree protectors


41 40


Estate Jane George, allowance on sidewalk account


8 90


Henry B. Little,


8 44


Mrs. Simeon V. Wells,


16 42


Mrs. Patrick Dixon, .. ٠٠


1 80


Mrs. Wm. H. Blaisdell,




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