USA > Massachusetts > Essex County > Newburyport > City Officers and the Annual Reports to the City Council of Newburyport 1906 > Part 3
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Newburyport 4 per cent refunding bonds .. 15,000 00
Deposit Five Cents Savings bank, city 458 00
$44,458 co
SINKING FUND - REFUNDING LOAN
Loan, $90,000 ; due July 1, 1913
Total funds, December 16, 1905 . $57,400 00
City appropriation for 1906. . 2,900 00
Interest on investments in 1906. 2, 112 80
$62,412 80
INVESTMENTS
Newburyport 31/2 per cent bridge bonds
$10,000 00
Newburyport 372 per cent sewer bonds .. 4,000 00
Newburyport 372 per cent water bonds. 9,000 00
39
SINKING FUNDS
Newburyport 4 per cent refunding bonds .... $20,000 00
Newburyport 372 per cent school bonds. 15,000 00
Newburyport 372 per cent high school bonds. . 4,000 00
Deposit Five Cents Savings bank, city. 412 80
$62,412 80
SINKING FUND-REFUNDING LOAN
Loan, $25,000 ; due April 1, 1913
Total funds, December 16, 1905 . $12,850 00
City appropriation for year 1906 800 00
Interest on investments in 1906. 459 00
$14,109 CO
INVESTMENTS
Newburyport 372 per cent school bonds $ 5,000 00
Newburyport 372 per cent sewer bonds ..
3,000 00
Newburyport 372 per cent high school bonds. .
1,000 00
Newburyport 372 per cent water bonds.
4,000 00
Newburyport 4 per cent refunding bonds.
1,000 00
Deposit First National bank, city . 109 00
$14,109 00
SINKING FUND-REFUNDING LOAN
Loan, $65,000 ; due July 1, 1908
Total fund, December 16, 1605 $43,800 00
City appropriation for year 1906 6,650 00
Interest on investments in 1906. 1,175 52
$51,625 52
INVESTMENTS
Newburyport 372 per cent school bonds. $ 5,000 00
Newburyport 372 per cent sewer bonds. 8,000 00
Newburyport 372 per cent high school bonds. . 7,000 00
Newburyport 3/2 per cent water bonds.
11,000 00
Newburyport 4 per cent refunding bonds
18,000 00
Deposit Five Cents Savings bank, city . 695 81
Deposit First National bank, city 1,929 71
$51,625 52
SINKING FUND-SCHOOL HOUSE LOAN
Loan, $27,500; due June 1, 1910
Total funds, December 16, 1905 . $10,800 00
City appropriation for 1906. 2,000 00
Interest on investments for 1906 393 97
$13,193 97
40
ANNUAL REPORTS
INVESTMENTS
Newburyport 372 per cent sewer bonds. $2,000 CO
Newburyport 372 per cent high school bonds .. . 2,000 00
Newburyport 4 per cent refunding bonds ... 3,000 00
Deposit First National bank, city. 6,193 97
$13,193 97
SINKING FUND-SEWERAGE LOAN Loan, $46,000; due September 1, 1931
Total funds, December 16, 1905 $5,500 00
City appropriation for 1906 .. 1,300 00
Interest on investments in 1906. 20[ 25
$7,001 25
INVESTMENTS
Deposit First National bank, city. $7,001 25
SINKING FUND-HIGH SCHOOL LOAN
Loan, $35,000 ; due July 1, 1922
Total funds December 16, 1905.
$3,750 00
City appropriation for 1906. 1,200 00
Interest on investments in 1906. 141 88 -- $5,091 88
INVESTMENTS
Deposit First National, bank, city. $5,091 88
SINKING FUND- HIGH SCHOOL LOAN
Loan $50,000 ; due December 1, 1923
Total funds December 16, 1905. $3,248 35
City appropriation for 1906. 1,600 00
Interest on investments in 1906. I33 04
$4,981 39
INVESTMENTS
Deposit First National bank, city. $4,981 39
41
SINKING FUNDS
SUMMARY
City of Newburyport 4 per cent sewer bonds 20,000 00
City of Newburyport 372 per cent school bonds
27,500 00
City of Newburyport 372 per cent sewer bonds. 20,000 00
City of Newburyport 4 per cent refunding bonds
57,000 00
City of Newburyport 372 per cent bridge bonds
10,000 00
City of Newburyport 372 per cent high school bonds.
17,000 00
City of Newburyport 372 per cent water bonds.
24,000 00
City of Quincy 4 per cent water bonds.
500 00
Deposit Five Cents Savings bank, city. 1,566 61
Deposit First National bank, city. 25,307 20
$202,873 81
Examined and found correct.
WILLIAM BALCH, Auditor.
December 15, 1906.
42
ANNUAL REPORTS
ANNUAL STATEMENT OF THE
FOR THE YEAR ENDING
DR. CITY OF NEWBURYPORT in account current:
To amount paid mayor's orders and charged as follows:
Poor
$ 15,050 65
School
43,000 91
Fire .
11,119 62
Highways 19,415 43
Incidentals
4,616 25
Sidewalks and edgestones
2,875 28
Public property.
4,558 00
Public library.
4,163 31
Police
14,158 45
Lighting
14,932 40
Salaries
9,895 73
Fuel.
681 77
Essex Merrimac bridge
276 72
Culverts. . .
1,187 58
Newburyport bridge.
2,253 44
Plum Island bridge
434 53
Bromfield fund.
58 60
Board of health.
1,720 06
State of Massachusetts, state aid ..
11,503 00
State of Massachusetts, military aid.
584 00
State of Massachusetts, burial expense
258 75
State of Massachusetts, non-resident bank tax, 1906.
4,030 18
State of Massachusetts, corporation tax for 1905.
58 03
State of Massachusetts, state trx for 1906.
12,470 78
State of Massachusetts, national bank tax for 1905
24 18
Soldiers relief.
6,053 87
City hall.
757 57
Notes payable.
206,475 00
Ashes and rubbish
1,500 35
Printing.
675 73
Memorial day.
250 00
Sewer construction
2,194 12
Sewer maintenance.
207 24
Non-resident bank tax 1906.
82 99
County of Essex, county tax
12,348 34
County of Essex, seals.
114 00
Parks ...
547 83
Parks (Atkinson common)
499 92
Liquor licenses.
6,951 41
Anna Jaques hospital
600 00
Ice and snow.
1,154 26
Elections
1,559 51
43
CITY TREASURER
RECEIPTS AND EXPENDITURES
DECEMBER 15, 1906
with H. F. WHITON, City Treasurer CR.
By cash on hand December 16, 1905-
$ 26,580 41
By cash received and credited as follows:
Schools.
2,465 96
Poor.
3,332 35
Fire.
36 c8
Highways.
2,923 J5
Incidentals
413 00
Sidewalks and edgestones-
59 II
Public property.
336 86
Public library. Police ..
1,587 50
Lighting.
100 00
Essex Merrimac bridge
2 50
Newburyport bridge
1, 144 24
Bromfield fund-
400 00
Board of health
10 50
State of Massachusetts, state aid.
11,852 00
State of Massachusetts, military aid.
232 00
State of Massachusetts, burial expense .
245 00
State of Massachusetts, corporation tax 1906.
11,3II 25
State of Massachusetts, non-resident bank tax 1906.
3,206 80
Soldiers' relief
23 00
City hall.
1,526 00 105 00
Notes payable
198,475 00
Dog licenses .
531 49
Sewer construction.
1,612 95
Sewer maintenance.
7 40
Non-resident bank tax, (city banks).
2,758 74
County of Essex (seals).
114 00
Parks ....
14 00
Interest on overdue taxes.
$3,593 96
Interest on bank deposit.
1,817 92
Interest from water commissioners.
5,377 50
Liquor licenses
25,257 00
Ice and snow.
35
Tax of 1903.
$ 237 44
Tax of 1904.
22,885 24
Tax of 1905
33,367 27
Tax of 1906.
151,355 25
207,845 20
. ..
10,789 38
Betterments
410 39
Burial lots.
1,382 46
44
ANNUAL REPORTS
ANNUAL STATEMENT OF THE
FOR THE YEAR ENDING
DR. CITY OF NEWBURYPORT in account current
Watering streets for 1906
$ 6,998 co
City bonds (bridge loan)
6,000 00)
Protection of trees ..
5,048 74
W. H. Bartlett "legacy"
500 39
Ward six engine house
4,000 00
City bonds (water loan due in 1906) .
12,000 00
J. V. Felker embezzlement account.
6,800 00
Sinking fund commissioners
18,800 00
Interest .. .
34,785 98
Balance cash on hand December 15, 1906
10,620 48
$526,853 38
45
CITY TREASURER
RECEIPTS AND EXPENDITURES
DECEMBER 15, 1906
with H. F. WHITON, City Treasurer CR.
Watering streets for 1904 .
$ 303 93
Watering streets for 1905 .
786 24
Watering streets for 1906.
4,693 86
5,786 03
Protection of trees
588 00
J. V. Felker surety account.
2,000 CO
J. V. Felker embezzlement account.
1,338 28
$526,853 38
46
TABULAR STATEMENT OF THE
Appropriations, Expenditures and Balances - Year Ending December 15, 1906
Departments
Appropriation
Income and Transfers
Total Credits
Expenditures and Transfers
Undrawn
Overdrawn
Poor.
$ 12,500
$ 3,332 35
$ 15,832 35
$ 15,050 65
$ 781 70
$
Schools.
38,300
2,679 96
40,979 96
43,214 91
2,234 95
Fire .
11,500
36 08
11,536 08
11,119 62
416 46
Highways, repairs ....
2,700
4,290 59
6,990 59
7,607 74
617 15
maintenance
8,000
132 56
8,132 56
8,372 07
239 51
overdraft. ..
3,000
3,000
3,435 62
435 62
Ice and snow.
1,500
35
1,500 35
1,154 26
346 09
Sidewalks, edgestones
500
1,037 32
1,537 32
2,895 46
1,358 14
Ashes and rubbish ....
1,500
1,500
1,500 35
35
Bridges and culverts ..
1,900
2,144 24
4,044 24
4,149 77
105 53
Public property . . .. .
2,700
2,210 29
4,910 29
4,558
352 29
Watering streets 1906.
800
5,922 32
6,722 32
6,998
275 68
Incidentals.
50
6,800
6,850
6,267 37
582 62
overdraft 1905
16,977 82
Police ...
12,800
1,587 50
14,387 50
14,158 45
229 05
Lighting.
13,500
100
13,600
14,932 40
1,332 40
Salaries .
10,300
10,300
9,995 73
404 27
Fuel.
650
650
681 77
31 77
Public library .
2,000
1,913 95
3,913 95
4,163 31
249 36
Printing.
450
300
750
675 73
74 27
Board of health
1,000
510
1,510 50 225
292
Soldiers' relief.
5,000
23
5,023
6,053 87
1,030 87
Parks.
500
14
1
514
547 83
33 83
ANNUAL REPORTS
.
67
Military aid .
225
1,720 06
209 56
16,977 82
16,977 82
08
Abatements, tax 1903.
1,500
1,500
496 92 281 58
1,218 42 218 80
Abatements, tax 1904 .
250
250
31 20
Abatements, tax 1905 .
250
624 36
775 76
151 40 886 08
Ward 6 engine house.
1,000
1,000
1,000
Elections
1,350
1,350
1,559 51
209 51
Protection of trees.
4,300
588 10,789 38
34,789 38
34,785 98
3 40
Sinking funds.
18,800
18,800
18,800
Sewers (maintenance)
200
7 40
207 40
207 24
16
Water ...
5,000
5,000
5,000
Bridge bonds ..
6,000
6,000
6,000
Memorial day.
250
250
250
Anna Jaques hospital.
600
600
600
$212,402 82
$50,913 65
$263,316 47
$268,318 30
4,627 62
9,629 45
Credit balance, water bonds, due June 1, 1906.
12,000
overdraft for year 1906.
16,726 15
account watering streets.
275 68
$21,629 45
$21,629 45
. .
Ward six engine house sinking fund .. $4,000 special deposit. . .$4,000
CITY TREASURER
Parks, Atkinson .
5co
500
Abatements, tax 1906.
50
374 36 6,119 50
6,169 50
7,055 58
4,888
5,048 74
Interest. .
24,000
160 74
47
48
ANNUAL REPORTS
STATEMENT OF CITY DEBT
DECEMBER 15, 1906
City bonds :
DUE
INTEREST
RATE
AMOUNT
. Refunding loan
. 1908
$2,600 00
4
$ 65,000 00
Refunding loan
3,600 00
4
90,000 00
Refunding loan
1913
1,000 00
4
25,000 00
Sewerage loan.
1919
4,300 00
4
107,500 00
Sewerage loan.
1931
1,610 00
31/2
46,000 00
School house loan
. 1910
962 50
31/2
27,500 00
High school loan
1922
1,225 00
31/2
35,000 00
High school loan
1923
1,750 00
312
50,000 00
Water loan, serial 1907 to. . 1934
11,165 00
31/2
319,000 00
Bridge loan, serial 1907 to. 1915
2,100 00
312
60,000 00
Notes payable :
No. 669, temporary loan
. 1 907
. 700 00
31/2
20,000 00
No. 670, temporary loan .
1907
51 62
31/2
1,475 00
No. 671, temporary loan
1907
35 00
31/2
1,000 00
No. 672, temporary loan
1907
35 00
31/2
1,000 00
No. 677, temporary loan
1907
337 50
41/2
15,000 00
No. 678, temporary loan
1907
225 00
41/2
10,000 00
Committee Sawyer fund.
demand
225 00
41/2
5,000 00
Brown fund.
demand
675 00
412
15,000 00
Frothingham fund .. demand
40 00
4
1,000 00
Green fund.
.demand
80 00
4
2,000 00
Toppan fund ..
demand
10 00
4
250 00
A. Williams fund.
demand
40 00
4
1,000 00
Todd fund.
demand
400 00
4
10,000 00
W. O. Moseley fund.demand
400 00
4
10,000 00
Overseers of the poor, Dex-
ter fund .
.demand
90 00
41/2
2,000 00
Trustees of will of Margaret
Atwood fund.
.demand
472 50
41/2
10,500 00
Trustees of Simpson fund ... demand
900 00
41/2
20,000 00
Trustees of Follansbee fund.demand
120 00
4
3,000 00
$35,149 12
953,225 00
Less sinking funds and other assets.
322,919 85
Net debt December 15, 1906.
630,305 15
Net debt December 16, 1905 .
671,536 83
Decrease of debt in 1906
$ 41,231 68
49
CITY TREASURER
The decrease of debt in 1906 is explained as follows:
Appropriated to sinking funds in 1906. $18,800 00
Net income of sinking funds . 6,195 46
Water bonds paid in 1906. 12,000 00
Bridge bonds paid in 1906.
6,000 00
Appropriated to ward six engine house ..
1,000 00
Bromfield fund, excess balance in1 1906 from I905.
341 40
Paid W. H. Bartlett "legacy"
500 00
$44,836 86
Net expenses on sewerage .
581 17
Overdraft of 1906 increase from year 1905.
24 OI
Transferred to ward six engine house fund.
3,000 00
3,605 18
Decrease of debt in year 1906 as above stated .. $41,231 68
STATEMENT OF INCOME AND EXPENDITURES
SHOWING BALANCE, DECEMBER 15, 1906
Assessed for city purposes. $212,402 82
Assessed for re-assessments.
1,488 34
Assessed for overlay.
4,631 16
Assessed for state tax.
12,470 78
Assessed for county tax
12,348 34
$243,341 44
Income allowed by assessors.
30,000 00
Income credited the several departments.
44,419 79
Income from Bromfield fund in 1906.
400 00
Supplementary commitment tax of 1906.
374 36
Balance due Bromfield fund account December 16, 1905. . .
299 49
318,835 08
Less water bonds not appropriated .
12,000 00
306,835 08
Payments on the several departments. $241,347 42
Abatements of tax of 1903. . 281 58
Abatements of tax of 1904.
31 20
Abatements of tax of 1905.
775 76
Abatements of tax of 1906.
7,055 58
Abatements of tax of watering streets 1904. .
19 32
Abatements of tax of watering streets 1906. .
7 44
Paid state tax
12,470 78
Paid county tax.
12,348 34
Expenditures on Bromfield fund.
58 60
Paid sinking fund commissioners, city ap- propriation for 1906. 18,800 00
Paid water bonds for year 1906
12,000 00
...
50
ANNUAL REPORTS
Paid bridge bonds for year 1906 $ 6,000 00
Incidentals for city appropriation of water .. 5,000 00
Special deposit, First National bank, city, ward six engine house. 4,000 00
$320,196 02
13,360 94
1,000 00
Credit balance ward 6 engine house account for year 1906 Credit balance Bromfield fund account, December 15, 1906. . . . .
640 89
Credit J. V. Felker, surety account
2,000 00
$17,001 83
DEBTS DUE THE CITY AND OTHER ASSETS
DECEMBER 15, 1906
Taxes of 1903
$ 2,086 17
Taxes of 1904
2,931 70
Taxes of 1905.
25,561 50
Taxes of 1906
57,930 61
Betterments.
2,756 99
Watering streets 1904.
7 21
Watering streets 1905.
463 12
Watering streets 1906.
1,243 90
State of Massachusetts, state aid ..
10,503 50
State of Massachusetts, military aid ..
270 00
State of Massachusetts, burial expense
258 75
Sinking funds.
202,873 81
W. H. Bartlett "legacy"
39
J. V. Felker embezzlement account ..
5,411 72
Cash on hand, December 15, 1906
10,620 48
$322,919 85
COMMONWEALTH OF MASSACHUSETTS
IN ACCOUNT WITH
CITY OF NEWBURYPORT
Balance due from state. December 16, 1905 $11,307 50
State aid paid in 1906, chap. 374, acts of 1899.
11,503 00
Military aid paid in 1906, chap. 372, acts of 1899.
584 00
Burial expense paid in 1906, chap. 279, acts of 1896. 258 75
Corporation taxes for year 1906.
11,31I 25
Street railway tax, chap 573, acts of 1808.
1,184 40
Balance of corporation tax for 1905.
58 03
Balance of National bank tax for 1905.
24 18
$39,231 II
51
CITY TREASURER
RECEIVED
For account state aid, chap. 374. $11,852 00
For account military aid, chap. 372. 232 00
For account corporation tax, 1905.
11,31I 25
For account burial expense, 1905 .. 245 00
For account street railway tax, 1906 1,184 40
Incidentals corporation tax 1905. . 58 03
Incidentals National bank tax 1905.
24 18
Incidentals for account of deficiency for one- half payments of military aid in 1906. 67 00
City appropriation for one-half payments of military aid in 1906. 225 00
$25,198 86
$11,032 25
DUE FROM THE STATE DECEMBER 15, 1906
State aid, chap. 374, acts of 1899.
$10,503 50
Military aid, chap. 372, acts of 1899.
270 00
Burial expense, chap. 279, acts of 1896.
258 75
$11,032 25
52
ANNUAL REPORTS TRIAL BALANCE
DR
DECEMBER 15, 1906
CR.
Cash
$ 182 17
Notes payable
$128,225 00
City bonds.
825,000 00
First National bank, Boston .
4,557 35
Sewer (construction )
223 83
State of Mass. state aid ...
10,503 50
J. V. Felker surety account .
2,000 00
Ssate of Mass. mili- tary aid.
270 00
State of Mass. burial
258 75
Sinking fund com- missioners
202,873 81
City of Newbury- port .
819,041 85
Tax of 1903.
2,086 17
Tax of 1904.
2,931 70
Tax of 1905
25,561 50
Tax of 1906.
57,930 61
Betterments
2,756 99
Watering streets, I 904 . 7 21
Watering streets, 1905.
463 12
Watering streets, 1906.
1,243 90
W. H. Bartlett "leg- acy"
39
J. V. Felker embez- zlement account. .
5,411 72
Incidentals ( over-
draft for year 1906
16,726 15
Watering streets for year 1906.
275 68
$1,158,963 53
$1,158,963 53
First National bank, city.
5,880 96
Bromfield fund
640 89
Sinking fund.
202,873 81
54
ANNUAL REPORTS
ANNUAL STATEMENT OF THE
DR. CITY OF NEWBURYPORT in account current
To uncollected taxes of 1903, December 16, 1905.
$ 2,605 19
To uncollected taxes of 1904, December 16, I905.
25,848 14
To uncollected taxes of 1905, December 16, 1905
59,330 17
To uncollected betterments, December 16, 1905.
2,559 35
To uncollected watering streets 1904, De- cember 16, 1906.
332 46
To uncollected watering streets 1905, De- cember 16, 1906.
1,246 60
$ 91,921 91
374 36
To supplementary commitment tax of 1905 .. To supplementary commitment tax watering streets 1905 .
2 76
To tax of 1906 committed by assessors.
212,402 82
Less estimated income.
30,000 00
182,402 82
To state tax.
12,470 78
To county tax
12,348 34
To overlay ..
4,631 16
To supplementary commitment.
1,488 34
214,34I 44
To non-resident bank tax, 1906.
2,758 74
To watering streets levied in 1906.
5,022 32
To supplementary commitment for watering streets in 1906.
22 88
To betterments levied in 1906 .
628 2I
221,773 59
$314,072 62
377 12
55
COLLECTOR OF TAXES
COLLECTOR OF TAXES
with H. F. WHITON, Collector of Taxes CR.
By taxes of 1903 collected and paid to treas- urer .
$ 237 44
By taxes of 1904 collected and paid to treas- urer ..
22,885 24
By taxes of 1905 collected and paid to treas- urer ..
33,367 27
By taxes of 1906 collected and paid to treas- urer ..
151,355 25
By betterments collected and paid to treas- urer ..
430 57
By non-resident bank tax paid to treasurer .. 2,758 74
By watering streets for 1904.
305 93
By watering streets for 1905.
769 24
By watering streets for 1906.
3,793 86
$215,920 54
By abatements tax of 1903
281 58
By abatements tax of 1904 .
31 20
By abatements tax of 1905
775 76
By abatements tax of 1906
4,055 58
By abatements watering streets for 1904 .
19 32
By abatements watering streets for 1906.
7 44
5,170 88
By uncollected taxes of 1903, Dec. 15, 1906. .
2,086 17
By uncollected taxes of 1904, Dec. 15, 1906. .
2,931 70
By uncollected taxes of 1905, Dec. 15, 1906. .
25,561 50
By uncollected taxes of 1906, Dec. 15, 1906. . By uncollected betterments, Dec. 15, 1906 .. .
2,756 99
By uncollected watering streets, for 1904, Dec. 15, 1906.
7 21
By uncollected watering streets, for 1905, Dec. 15, 1906.
463 12
By uncollected watering streets, for 1906, Dec. 15, 1906.
1,243 90
92,981 20
$314,072 62
57,930 61
DETAILED STATEMENT OF RECEIPTS AND EXPENDITURES
ABATEMENT OF TAXES
1903
City appropriation
$1,500 00
Allowed on assessors' orders. 281 58
Undrawn, transferred to incidentals
$1,218 42
1904
City appropriation. .
$250 00
Allowed on assessors' orders.
31 20
Undrawn, transferred to incidentals
$218 80
1905
$250 00
Supplementary assessments
374 36
Allowed on assessors' orders.
775 76
Overdrawn, transferred from incidentals.
$151 40
1906
$ 50 00
Supplementary assessments
1,488 34
Overlay,
4,631 16
6,169 50
Transferred to other accounts
3,000 00
3,169 50
Allowed on assessors' orders.
4,055 58
Overdrawn, transferred from incidentals
$ 886 08
WATERING STREETS, 1904
Allowed on assessors' orders. $19 32
Overdrawn, transferred from incidentals. 19 32
City appropriation .
624 36
City appropriation
57
DETAILED STATEMENT
WATERING STREETS, 1906
Supplementary commitment. $22 88
Allowed on assessors' orders. 7 44
Undrawn transferred to incidentals.
$15 44
ASHES AND RUBBISH
Appropriation. $1,500 00 Amount overdrawn transferred from incidentals to balance account. 35
$1,500 35
EXPENDITURES Authorized by the Committee on Highways
News Publishing Company, advertising.
$ 6 75
Newburyport Herald Company, advertising .. 6 75
E. Perkins Lumber Company, one mallet. 50
2 00
Edward Taylor labor
40 26
J. J. Connors
6 00
C. Lyons
.
2 00
Samuel Zani
62 93
Cornelius O'Connell
58 50
John Lucy
50 90
Charles E. Allen
66
97 41
Daniel Casey
98 06
John Devonshire
24 00
Thomas Hale
10 03
Jeremiah Hartnett
36 00
John Herlihy
8 00
Cornelius Kelleher
57 84
Dennis Kelleher
120 67
M. T. Carey
17 38
William Driscoll
37 80
John Pollard
12 00
Ira Copeland
28 93
George R. Haywood
2 00
Clarence Lowell
6 00
John Malarkey
, 80
Cornelius Lucy
8 00
Daniel Lucy
117 56
Daniel O'Connell
8 00
Jeremiah Sheehan
66
20 00
Bryant Sweeney
8 00
James E. Welch
.. .
80 57
John Lynch
95 63
William Quinn
‹
... . .
...
2 00
66
J. J. Healey
20 47
Cashman Brothers Company, use of team
58
ANNUAL REPORTS
Timothy Coffey
labor
$ 28 00
Timothy Shea
47 00
Daniel Buckley
40 68.
Cornelius Buckley
14
94 90
Timothy Coffey Jr.
8 00
Patrick Lynch
30 00
Timothy Leary
52 94
Cornelius Sullivan
40 09
$1,500 35
BOARD OF HEALTH
Appropriation
$1,000 00
CREDITS
Error on bill of F. H. Thomas Company.
$3 00
From C. W. Page, plumbers' licenses. I 50
From W. Thurston, plumbers' licenses
3 00
From W. Thurston, undertakers' licenses
3 00
10 50
Total appropriation and income.
1,010 50
Amount transferred from abatement of taxes 1906.
$500 00
Amount overdrawn transferred from incidentals
to balance account. 209 56
709 56
$1,720 06
EXPENDITURES Authorized by the Board of Health
John Burke, salary as agent to February 6, 1906, and cash paid
$ 63 10
William Thurston, salary as agent to January 1, 1907, and cash paid.
245 50
Charles H. Sargent, services as inspector
216 00
State board of health, five culture outfits.
5 00
F. H. Thomas Company, culture tubes, etc.
8 25
Charles L. Davis, anti-toxin and cash paid.
98 20
J. M. Greenough, use of horse and buggy
I 00
F. W. Snow, professional services.
I 50
Jere Healey, coal and wood,
26 03
F. W. Field, groceries ..
5 87
Arthur Withington, legal services
75 00
Xenophon Adams, provisions
I 05
A. C. Currier, stock and labor
2 30
William J. Cook, provisions ..
II 85
D. J. Casey & Company, medicinal supplies
6 60
Yerxa & Company, groceries
91
E. W. Eaton, medicinal supplies .
2 40
59
DETAILED STATEMENT
R. D. Hamilton, salary as bactereologist to January 1, 1907 $ 294 47
Hill's livery, horse hire ...
3 50
News Publishing Company. printing and advertising. 22 50
C. W. Page, seven months' services as clerk to February I, 1906, and cash paid. 29 82
George A. Fogg, groceries.
I 25
D. A. Goodwin, Jr., groceries.
26 86
Hale Knight, one bushel corn.
72
Helen M. Maguire, typewriting.
8 05
James Noyes, groceries.
3 60
Osgood & Goodwin, cotton batting
I IO
Rufus H. Parker, provisions.
7 46
Police department, services of police on quarantine.
92 50
Telephone Company, use of telephone.
15 23
William J. Wilkinson, plumbing inspection. 57 00
7 50
J. J. & H J. Chase, keys, etc ..
95
James Dickens, electrical supplies.
3 35
J. R. Fallon, culture tubes.
16 80
Harrington & Kiley, one disinfection suit.
8 50
George H. Pearson, supplies, etc.
I 62
Toppan & Wilson, hardware.
3 45
Estate N. Varina, coal and wood.
2 20
E. M. Hobson, collection of garbage
270 83
S. O. Pilling, professional services.
19 70
Charles P. Kelly, groceries ..
23 28
A. K. Silloway, removing dogs and cats.
12 50
F. J. Donahoe, groceries, .
13 07
George B. Pinkham, milk.
84
C. C. Stockman, one waste basket
85
$1,720 06
BRIDGES AND CULVERTS
Appropriation $1.900 00
CREDITS
From E. Perkins Lumber Company, overpayment $ 4 17
From County of Essex, 60 per cent cost of oper-
ating bridge from April 10, 1906, to November 10, 1907 . 978 97
From County of Essex 60 per cent cost of oper- ating bridge from November 24, 1903, to April 10, 1906. 161 JO
Transferred from incidentals.
500 00
Transferred from abatement of taxes 1906. 500 00
From J. A. Page, 25 planks at 10 cents. .
2 50
2,146 74
4,046 74
Amount overdrawn, transferred from incidentals to balance account. 105 53
$4,152 27
John E. Weare, provisions
60
ANNUAL REPORTS
EXPENDITURES
Authorized by Committee on Bridges and Culverts
Newburyport bridge. $2,253 44
Culverts ...
1,187 5&
Essex Merrimac bridge.
276 72
Plum Island draw bridge
434 53
$4,152 27
NEWBURYPORT BRIDGE
William I. Hunt, services as drawtender and cash paid for helper
$ 973 93
S. L. Truesdale, services as assistant drawtender. 225 00
63 41
Gas & Electric Company, one arc light for one year.
67 32
Telephone Company, use of telephone 13 90
7 36
W. F. Houston, expenses on legislature hearing.
12 00
W. E. Barry, electrical supplies
8 00
Hermon Staples, supplies.
I IO
A. C. Currier, stock and labor
5 50
S. H. Thurlow & Co., hardware
17 16
National Paint Works, one barrel graphite paint.
43 74
E. Perkins Lumber Company, lumber and planking. 64 52
J. E. Bailey, repairing and flooring
78 00
John Collins, teaming.
I 93
S. P. Bray, 3000 pounds coal.
9 38
H. D. Allen, 166 days' labor.
522 90
James H. McDonald, labor as assistant.
19 44
John J. Lynch, oil.
1 30
Henry J. Noyes, stock and labor on house at pier 90 00
F. E. Davis, labor on wheels, etc ..
27 55
$2,253 44
CULVERTS
Hatch Brothers, stock and labor $ 44 49
A. C. Currier, stock and labor.
54 82
A. Hoyt & Son, stock and labor
95 69
Edward L. Toppan, mason work.
18 00
Jere B. Lunt, mason work.
29 55
J. A. Greeley Company, mason work
20 64
T. H. McCarthy, mason work.
7 20
H. C. Stevens, salt.
15
William Holker, hardware, pipe, etc.
268 02
Eben Allen, labor.
50
Eben Young, mason work 47 40
Cashman Bros. Company, teaming pipe ..
3 50
Atkinson Coal Company, coal and cement.
21 25
John Casey, labor ..
8 00
Perrin, Seaman & Company, hammers and post hole
spoons. 5 50
Boston Bridge Works, repairs.
Estate N. Varina, 2180 pounds coal.
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