USA > Massachusetts > Norfolk County > Quincy > Inaugural address of the mayor, with the annual report of the officers of the city of Quincy for the year 1898 > Part 4
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Appropriation, 1898, .
$200 00
EXPENDED.
Pay Rolls, . $199 97
$199 97
Balance,
$0 03
.
.
.
81
DRAIN AND CATCH BASIN, WARD 6.
Appropriation, 1898, .
$475 00
EXPENDED.
A. J. Richards & Sons,
$182 50
John Sullivan,
11 00
Pay Roll,
128 44
Sewer,
10 02
Water department,
22 37
H. T. Whitman,
11 63
George E. Frost,
11 05
Patrick Murphy,
4 25
Wollaston Foundry Co.,
28 92
$410 18
Balance, .
$64 82
PAYNE STREET.
Appropriation, 1898, .
$1,000 00
EXPENDED.
G. S. Bennett,
$9 00
Pay roll,
609 38
C. F. Veazie,
1 75
B. Johnson,
22 20
E. J. Lennon
34 28
E. Farmer, .
2 25
James Fitzgerald
10 00
Thomas Carroll,
15 00
Mrs. H. Murphy,
20 00
C. G. Fletcher
16 00
H. T. Whitman,
16 35
$756 21
Balance, .
$243 79
LAYING OUT EAST ELM AVENUE. Appropriation, 1898, . $500 00
82
EXPENDED.
H. T. Whitman,
$3 82
$3 82
Balance, .
$496 18
GARFIELD STREET DRAIN.
Appropriation, 1898, . ·
$500 00
EXPENDED.
Wollaston Foundry Co.,
$38 22
Sewers,
11 18
Pay Roll,
260 75
P. F. Shea,
1 50
C. B. Huston,
29 76
N. Y., N. H. & H. R. R.,
3 47
E. Owen,
15 00
A. J. Richards & Son,
112 01
Water Supply, .
3 78
H. T. Whitman,
12 13
Charles Wilson,
9 33
C. J. Nelson,
2 87
$500 00
WASHINGTON STREET DRAINS AND CATCH BASINS.
Appropriation,
.
$1,500 00
EXPENDED.
Ames Plow Co.,
$46 20
C. T. Melville,
7 58
Pay rolls,
828 10
B. Johnson,
8 35
Harkins Bros.,
48 50
N. Y., N. H. and H. R. R. Co.,
3 15
Sewers,
47 47
A. J. Richards & Co.,
508 84
$1,498 19
Balance, .
$1 81
83
ALTERATIONS IN ENGINE AND HOSE HOUSES.
Appropriation, .
$975 00
EXPENDED.
W. A. Snow & Co,
$56 75
Michael Kelliher,
12 87
George C. Colman,
145 00
A. M. Litchfield,
420 94
F. F. Crane,
2 40
William K. Chubbuck,
8 25
J. J. Keniley,
62 76
Abbott & Miller,
3 50
George O. Langley,
35 24
A. W. Woodward,
16 80
William Westland,
2 00
B. Johnson,
97 46
E. M. Litchfield,
53 62
$917 59
Balance, .
$57 41
FURNACE BROOK WALL.
Appropriation,
$500 00
EXPENDED.
Gilbert S. Bennett,
$28 20
C. F. Veazie,
2 50
Timothy Gilcoine,
398 87
Badger Bros.,
35 56
Sewers,
17 64
Charles Melville,
5 25
E. J. Lennon, ·
7 97
A. W. Woodward,
1 00
B. Johnson,
3 01
$500 00
CULVERT, CANAL AND WASHINGTON STREETS.
Appropriation, 1898, . $1,000 00
84
EXPENDED.
Sewer Department,
$20 30
Pay Roll, .
90 99
N. Y., N. H. & H. R. R.,
15 93
Sylvester & Co.,
183 67
C. F. Veazie,
75
Sewers,
45 72
H. T. Whitman,
12 87
Alex. Kenn,
265 25
A. J. Richards & Sons,
15 00
Abbott & Miller,
2 00
$652 48
Balance, .
$347 52
PAVING HANCOCK STREET.
Appropriation,
.
$11,000 00
EXPENDED.
Pay Roll, .
$981 33
T. G. Young,
48 00
John Turner & Co.,
9,412 63
G. W. Prescott & Son,
13 50
H. T. Whitman,
94 89
Pratt & Co.,
5 96
A. L. Turner,
26 40
L. F. Klang,
18 80
Charles Wilson, .
22 50
Charles R. Sherman,
32 60
H. H. Faxon,
5 60
Streets,
21 67
B. Johnson,
11 64
Permanent sidewalks,
304 48
$11,000 00
NEWBURY AVENUE CULVERT.
Appropriation,
$100 00
85
Pay Roll, .
$78 66
A. J. Richards & Son,
. .
$93 16
Balance, .
$6 84
SEA STREET.
Appropriation,
$1,000 00
EXPENDED.
W. Shea & Son,
$30 00
Labor,
686 84
Charles Frieberg,
6 00
L. F. Klang & Co.,
87 75
II. T. Whitman,
40 18
John Fallon & Sons,
63 00
John Fallon & Sons,
36 00
Charles Prescott,
5 00
Charles Wilson,
5 70
$960 47
Balance,
$39 53
PAVING COPELAND STREET.
Appropriation, 1897,
$6,504 17
EXPENDED.
John Fallon & Sons,
$4,366 38
Pay roll,
569 78
E. H. Doble & Co.,
65
C. Patch & Son,
6 40
Alexander Kenn,
6 20
H. T. Whitman,
109 31
Copeland Street,
1,315 00
Q: & B. St. R. R.
130 00
$6,503 72
$0 45
Balance,
14 50
86
FAXON ROAD.
Balance 1897,
EXPENDED.
Patrick Murphy,
$1 55
Pay roll,
. .
.
303 58
T. Lyons,
32 20
$337 33
SQUANTUM STREET WIDENING.
Appropriation,
.
EXPENDED.
Pay roll, .
$489 75
Pratt & Co.,
5 50
Charles Wilson, .
.
4 75
$500 00
EXTENSION OF NEWCOMB STREET.
Appropriation,
$1,879 68
EXPENDED.
Pay roll,
$1,404 33
Hub Wire Co.,
11 50
Winslow Gallagher Exp. Co.,
1 15
William Grady, .
4 28
L. F. Klang & Co.,
67 50
Q. & B. St. R. R.,
4 00
William Westland,
2 25
B. Johnson,
25 78
J. W. Nash,
12 78
Electric Light & Power Co.,
4 25
Mrs. T. Keenan, .
5 00
Charles Woods, .
5 25
W. Kelley, ·
35 00
Sewer department,
97 57
H. T. Whitman,
12 79
Streets,
.
76 00
$1,769 43
Balance,
$110 25
$337 33
$500 00
87
SIDEWALKS AND EDGESTONES.
Expended, Account of 1897,
$16 41
Appropriation, 1898,
$3,000 00
EXPEN DED.
Timothy Gilraine,
$331 91
John Wilson,
244 00
Streets,
31 60
Charles Wilson,
1,067 00
S. F. Copeland,
60 00
Pay Roll,
418 51
B. F. Weeks,
15 62
Arthur Craig,
167 33
Samuel Curtis,
3 50
Simpson Bros.,
495 05
Berry Bros.,
72 50
Mrs. M. Monihan,
14 09
C. F. Badger, :
12 53
W. E. Badger,
10 76
Estate of Patrick Barry,
10 17
L. F. Klang,
6 75
$2,961 32
Balance, .
$38 68
PERMANENT SIDEWALKS.
Appropriation,
$16,924 25
EXPENDED.
Charles Wilson,
$3,148 31
C. W. Jones,
45 50
E. Menhinick,
2,069 45
Nickerson, Hannah Co.,
116 47
H. H. Faxon,
129 60
Quincy Real Estate Trust,
150 00
T. Gilraine,
809 43
SS
Johnson & Anderson,
$473 50
Simpson Bros., .
5,118 00
Pay roll, . .
2,847 89
Merry Mount Granite Co., 8 00
A. J. Richards & Son,
12 29
Fallon & Sons,
179 00
Wollaston Land Co.,
15 50
II. T. Whitman, .
236 13
J. McFarlane & Son,
18 75
Ira Litchfield,
1 92
W. Shea & Son,
21 25
Hugh Gilmartin,
25 00
Berry Bros.,
303 58
G. S. Bennett,
32 00
Edward Farmer,
10 65
J. W. Nash,
7 00
William Westland,
78
B. Johnson,
39 26
John Q. Wilson,
38 00
F. Hardwick & Son,
232 72
E. J. Lennon,
34 14
Thomas Cooper,
5 25
L. F. Klang & Co.,
423 01
Quincy Quarry Co.,
249 30
Streets,
165 29
Mrs. Kelly,
6 60
Peter Donaher,
48 00
Thomas Phelan,
92 13
Ames Plow Co.,
5 32
A. W. Parker,
1 30
Thomas Kelley,
1 00
M. Mitten, .
4 25
$17,125 57
Less amount chargeable to paving of Hancock street, ·
$304 48
$16,821 09
Balance, .
$103 16
89
REMOVAL OF SNOW.
Expended, Account of 1897,
$7 20
Appropriation of 1898,
EXPENDED.
Pay Roll,
$5,865 17
Lawrence White,
16 80
Ames Plough Co.,
124 82
Hugh Gilmartin,
102 82
Calvin Fletcher,
65 25
J. Q. A. Field,
95 44
Thomas Whelan,
40 00
Henry Lavalle,
70 22
McDonnell & Son,
₣3 00
Michael Crowley,
35 00
W. F. Loud,
55 50
James Bisson,
50
A. E. Nash,
8 05
John Reinhalter,
38 60
John Hall, .
5 00
B. F. Hodgkinson,
7 00
James Ward,
4 20
J. W. Nash,
4 75
W. Shea & Son,
109 80
Estate of Terrance Keenan,
30 00
E. Menhinick,
17 50
J. A. Fenno,
1 00
J. Geary,
15 20
C. M. Jenness,
6 25
Huckin's Farm,
34 20
John Cashman,
99 00
Streets,
172 80
John McCarty,
8 00
George Ames,
4 75
Badger Bros.,
5 89
Mrs. H. Falvey, .
12 00
Q. E. L. & P. Co.,
7 40
Eagle Polishing Co.,
10 25
C. L. Prescott,
16 00
90
J. R. Wild,
$51 50
John Stronach,
1 75
Tirrell & Son,
36 00
$7,231 41
STREET LIGHTING.
Appropriation, .
$16,300 00
EXPENDED.
Quincy Electric Light & Power Co., $13,526 13 Gas Co., 1,325 00
Wheeler Ref. Co.,
1,440 10
$16,291 23
Balance, .
$8 77
STREET WATERING.
Appropriation,
.
$4,400 00
EXPENDED.
J. L. & H. K. Potter,
$244 05
James Forest,
2 50
C. P. Gardner & Co., .
450 00
Matthew Bryan,
300 00
Streets,
1,651 45
W. F. Loud,
405 00
R. F. Forrest,
480 00
W. B. Monroe,
480 00
Benjamin Bryan,
60 00
A. M. Nightingale,
25 00
Water Superintendent,
302 00
$4,400 00
MAINTENANCE, SEWER DEPARTMENT.
EXPENDED.
Pay roll,
$140 00
Underhay Oil Co.,
25 10
J. W. Nash,
3 75
C. Patch & Son, .
145 00
$313 85
91
SYSTEM OF SEWERAGE.
Balance from 1897,
. $85,602 09
Appropriation, 1898,
100,000 00
$185,602 09
EXPENDED.
John Fallon & Sons,
$168 87
J. H. McKnight,
4,274 96
A. J. Richards & Son,
14,950 51
Pay roll,
30,678 59
Pay roll, engineers,
4,715 82
M. J. Drummond & Co.,
252 80
Waldo Bros.,
7,007 50
T. H. Kingston, .
3,094 04
Ames Plow Co.,
162 58
J. H. Burdakin,
4 54
Charles G. Craib,
9,724 24
H. H. Faxon,
150 00
W. F. Loud,
134 84
B. Johnson,
798 96
Harkins Bros.,
279 98
E. W. Branch,
12 19
Jno. Sheehan & Co.,
18,236 81
Samuel Ward Co.,
3 75
A. L. Tupper,
31 36
J. J. Keniley,
9 55
Mechanics' Iron Foundry,
1,898 74
James Scott,
619 32
Boston Globe,
25 75
McGovern Bros.,
55
George R. Sampson,
5,300 50
J. F. Merrill,
46 82
Granite Shoe Co.,
44 70
P. R. Blackmur,
835 00
B. F. Bennett,
1 00
E. Farmer,
4 15
John Cashman, .
49 98
Sanborn & Damon,
1 85
James Stewart & Co.,
17 80
92
N. Y. and B. Despatch Express Co., $0 65
C. B. Tilton & Co., ·
1 15
J. F. Sheppard & Sons, .
10 37
C. A. Feltis, 8 30
O. A. Cobb & Co., 45 27
Oriental Powder Co., 249 52
T. P. Hayes, 8 00
Quincy Electric Light and Power Co., 78 22
N. Y., N. H. and H. R. R. Co., 1,579 74
Tirrell & Sons, . 5 50
New England Tel. and Tel. Co.,
178 25
George W. Alden & Co.,
85
W. G. A. Pattee, Agent,
333 00
M. T. Brennan,
239 42
Streets,
312 16
Edson Manufacturing Co.,
97 43
George Ames,
15 22
H. E. Hardwick, 12 00
Martin Pfaffmann,
18 25
Sewall Day Cordage Co.
55 77
Boston Bank Note Co.,
70 00
J. P. O'Brien, .
20
J. E. Chandler, .
30 90
Engineering News,
17 20
Boston Herald,
25 25
Boston Blue Print Co.,
3 00
Burrell & Dutton,
8 00
Mt. Wollaston Bank,
1 00
Margaret F. McDonald, Trustee,
85 00
Minnie L. Estabrook,
55 56
R. H. Sumner,
42 00
Dr. J. M. Sheahan,
63 00
Miss C. S. Hubbard,
154 32
Guy & Shaw,
29 85
Charles C. Hutchinson,
87 50
John Flynn,
75 00
C. C. Hearn,
95
J. E. Hannigan, .
25 00
F. A. Bussell,
35 00
93
Annie Lofgren, .
$0 75
Mrs. A. W. Parker,
19 20
Quincy Stationery Co.,
12 60
F. H. Crane & Sons, .
182 45
A. J. Lloyd & Co.,
60
George E. Thomas,
58 82
F. F. Crane,
4 84
F. A. Rogers,
7 50
Boston Woven Hose,
12 29
S K. Tarbox & Son,
2 25
A. J. Cook, .
8 05
C. M. Jenness,
12 91
G. B. Bates Manufacturing Co., 98 46
C. A. Bradford, .
65
Austin & Winslow Gallagher Exp.
9 85
G. W. Prescott & Son,
57 99
J. G. Thomas,
11 12
J. W. Hart & Co.,
486 00
C. L. Hammond,
14 90
Mary Crowley,
3 25
Peter Le Page
31 80
Abbott & Miller Exp.
26 35
William Newcomb
2 75
Quincy Candy Co.,
1 70
G. A. Kimball,
137 50
Boston Bazaar,
78 25
J. W. Nash,
100 52
George .W. Jones,
38 25
Q. & B. St. R. R.,
90 00
C. A. Penley,
22 50
J. J. Shannon, & Co ..
2 00
Frost & Adams,
73 98
Mrs Lewis Cain,
23 19
W. W. White & Co.,
83
Boston Bolt Co.,
3 21
Davis & Farnum Manufacturing Co.,
17 64
Water supply,
769 07
Dr. N. S. Hunting,
5 00
Greenough, Adams & Cushing, .
3 50
94
Western Union Telegraph Co.,
$0 36
C. F. Randall,
24
Wollaston Laundry,
52
J. J. Carville,
61 89
Pinel Bros.,
83 69
Deane Steam Pump Co.,
7,510 00
E. A. Fogg,
3 50
E. C. Sargent,
97
Revere Rubber Co.,
9 45
E. W. Marsh,
3 00
P. J. Williams & Co.,
12 00
Andrew Johnson,
12 00
E. A. King,
10 00
E. B. Souther,
16 85
A. J. Wilkinson & Co.,
6 00
Long & Little,
18,478 04
A. W. Bryne Construction Co.,
18,944 49
S. Scammell,
6 25
Hugh Martin,
21 87
Charles Lyons,
125 80
R. J. Teasdale,
46 17
A. R. Fitts,
3 00
Braintree Street Railway,
5 00
Michael Lyons,
50 00
Coffin Valve Co.
146 20
Chapman Valve Co.
7 19
F. J. Herahan
3 00
Crystal Spring Ice Co.,
7 65
Juliet Tribou, 19 20
House Connection,
5 00
A. H. Doble & Co.,
1 10
Thomas O'Brien & Sons,
3 60
F. J. Perry,
3 09
S. Penniman & Son,
1 50
Priest, Page & Co.,
69 50
A. G. Olney,
9 25
P. Perkins,
25
Charles Cahill,
50
Henry Lavalle,
142 83
95
Joseph S. Whall,
$116 00
H. Gore & Co.,
965 04
Smith & Lovett,
184 32
C. W. Garey,
1 00
William Westland,
2 20
A. F. Hall,
85
F. W. Burnham,
4 12
Enoch Robinson,
70 40
H. S. Hayford, M. D.,
3 00
E. S. Beckford, 13 04
5 70
J. P. Denward,
2 00
J. W. McAnarney,
375 00
F. A. Spear,
1 75
E. Packard & Co.,
38
J. T. Cavanagh,
175 82
Lawrence White,
68 00
Walworth Manufacturing Co.,
49 18
J. F. Welch, M. D.,
13 00
H. A. Winship,
5 00
C. R. Sherman, .
26 50
Boston Bargain Store,
60
$157,942 12
Less credits from other departments
of public works,
$2,448 87
$155,493 25
Balance, .
$30,108 84
HOUSE CONNECTIONS, SEWER DEPARTMENT.
EXPENDED.
J. M. Frazier,
$4 47
Abbott & Miller,
10 00
James Nicol, Jr.,
45 00
G. G. Bates,
2 39
Winslow & Gallagher Express,
3 30
Ames Plough Co.,
154 95
Q). & B. St. R. R.,
5 00
R. Jones,
.
11 50
H. W. Johns Manufacturing Co.,
96
G. W. Prescott & Son,
$36 40
M. F. Brennon Co.,
22 80
Edward Farmer,
10 25
W. B. Holden,
125 00
Pay Roll,
770 37
R. Jossellyn,
6 75
Sewer Department,
92 68
A. J. Richards & Sons,
12 36
P. J. Williams & Co.,
13 65
Alex. Clark,
8 08
Thomas W. Lincoln,
49 44
A. W. Parker,
2 75
George Ames,
9 75
J. W. Nash,
3 08
J. J. Canille,
4 00
F. F. Crane,
3 50
George O. Langley,
48 17
A. F. Hall,
90
C. F. Veazie,
1 00
E. Menhinick,
4 00
Streets,
54 75
V. J. Emery,
3 00
Water Supply,
14 95
B. Johnson,
15 75
$1,544 99
WATER SUPPLY, MAINTENANCE.
EXPENDED, ACCOUNT OF 1897.
F. F. Crane,
$0 75.
J. F. Kemp,
1 58
A. G. Durgin,
1 75
A. Bussell,
10 00
B. Johnson,
17 92
George W. Jones,
3 75
J. W. Nash,
70
J. O'Brien,
1 74
C. Patch & Son,
9 05
W. G. Pattee,
.
18 75
97
A. J. Richards & Sons,
$46 72
Estate of C. P. Tirreli,
28 00
Tirrell & Sons,
24 80
Peter Haverly,
1 50
Quincy Electric Light & Power Co.,
15 95
George W. Stadley & Co.,
25 00
J. T. Cavanagh,
199 23
J. F. Sheppard & Son,
596 26
E. Packard & Co.,
6 00
McGovern Bros.,
1 10
-
$1,010 55
Appropriation, 1898, . $14,250 00
Additional Appropriation by Loan,
1,000 00
Additional Appropriation by transfer from painting stand pipe, 170 24
$15,420 24
EXPENDED.
Pay Roll,
$7,185 08
J. F. Burke,
87 20
Tirrell & Sons,
271 48
Q. E. L. & P. Co.,
143 34
N. Y., N. H. & H. R. R.,
24 27
Estate of C. P. Tirrell,
336 00
A. J. Richards & Sons,
324 63
E. S. Beckford, .
22 80
W. A. Greenough & Co.,
2 00
E. B. Souther,
9 03
N. E. T. & T. Co.,
165 54
F. Abele, veterinary,
4 00
Badger Bros.,
13 96
J. J. Keniley,
12 18
Underhay Oil Co.,
31 50
Charles A. Claflin,
7 47
V. J. Emery,
1 38
N. Y. & B. Despatch Express,
12 05
J. F. Kemp,
4 00
J. T. Cavanagh, .
347 99
Chapman Valve Co.,
2 04
98
William L. Puffer,
$50 00
Q. & B. St. R. R. Co.,
30 00
W. G. A. Pattee,
37 50
J. F. Sheppard & Sons,
3,186 68
Winslow & Gallagher Express,
32 20
Theo. Gullickson & Sons, .
2 65
Daniel Desmond,
12 25
Quincy Candy Co.,
8 15
Water Supply,
4 50
J. W. Nash, 22 31
F. A. Skinner,
12 80
J. P. O'Brien, 7 05
57 00
Gas Light Co.,
36 60
George W. Prescott & Son,
152 88
George Pawsey, .
7 50
B. Clark,
2 25
A. W. Chesterton & Co.,
7 30
C. Patch & Son, .
24 60
Fire and Water,
6 00
Samuel Hobbs & Co.,
12 62
Means & Thacher,
7 50
Larrabee, druggist,
15
B. Johnson,
4 74
Ira Litchfield,
84 39
Sumner & Goodwin Co.,
4 25
Estatė of J. Q. Adams,
6 00
W. P. Philips & Co., .
1 22
C. L. Hammond, postmaster,
104 60
Mrs. L. E. Prune,
3 00
Daniel Russell, .
10 70
George W. Jones,
40
F. A. Rogers,
2 50
J. R. Wild, Agent,
120 65
Abbott & Miller,
2 15
Wilson Tisdale,
125 00
M. F. Brennan & Co.,
14 66
Boston Woven Hose, .
8 67
Ames Plow Co., .
7 25
P. J. Williams & Co.,
99
Charles Miller,
$13 35
Deane Steam Pump Works,
166 46
W. W. Ewell,
1,510 70
Eagle Oil & Supply Co.,
11 75
George O. Langley,
69 21
Ashcroft Manufacturing Co.,
15 00
F. H. Crane & Sons,
112 62
F. F. Green,
68 00
Joshua Wilkins, .
135 00
J. F. Crane & Sons,
36 18
National Meter Co.,
7 25
Hersey Manufacturing Co.,
1 90
C. F. Pettengill,
3 00
$15,379 03
Balance,
$41 21
WATER SUPPLY - Extension.
Appropriation, .
$30,000 00
Receipts from services,
4,821 29
$34,821 29
EXPENDED.
Pay rolls .
$13,896 75
N. Y., N. H. & H. R. R.
1,258 36
Callahan Supply Co., .
1,137 96
W. F. Loud,
44 00
Ames Plow Co.,
31 80
Boston Lead Mfg. Co.,
427 82
Builders Iron Foundry
194 40
National Tube Works
91 80
Sumner & Goodwin Co.,
226 61
George Ames
4 16
J. J. Keniley,
6 49
C. L. Prescott,
1 50
Thomas Hoey, ·
21 88
Star Pipe Jointer Co.,
44 00
F. F. Crane,
3 50
George C. Warf & Co.,
54 20
100
Tirrell & Sons. .
$8 00
Ashton Valve Co.,
6 00
J. Fallon & Sons, 10 00
Hersey Manufacturing Co.,
12 65
T. Gullickson & Sons,
12 20
Union Meter Co.,
38 40
G. W. Jones,
32 00
Charles Miller, .
30 45
Wollaston Foundry Co.,
198 39
William Westland,
80
Chapman Valve Co.,
51 20
Miles F. Breman,
77 73
Boston Bank Note Co.
30 00
B. Johnson,
70 73
Walter H. Ripley,
76 75
Sewer department,
601 70
Lead Lined Iron Pipe Co., .
1,848 56
N. & J. Drummond Co.,
7,324 74
H. Mueller Mfg. Co.,
39 12
Boston & Lockport Block Co.,
6 50
George E. Tower,
36
A. J. Richard & Sons,
9 02
Perkins & White,
580 00
A. B. Packard,
645 84
Coffin Valve Co.,
2,202 25
E. J. Sanberg,
61 00
Fred A. Smith, pipe cutting machines
258 00
C. Patch & Son, 16 00
Walworth Mfg. Co.,
2 70
Edson Mfg. Co., .
64 05
Gallagher Express,
3 20
Hawridge Bros.,
42 49
Edward Lane,
233 94
E. J. Lane,
122 90
N. Y. & B. Despatch Co.,
50
N. E. Alley,
2 75
Oriental Powder Mills,
212 55
Neptune Meter Co.,
147 00
H. T. Whitman, .
.
47 90
.
101
Q. & B. St. R. R. Co.,
$142 60
Hall, Lincoln & Co., .
14 28
R. J. Teasdale,
15 39
P. A. Peterson,
5 00
J. Cavanagh,
73 35
C. W. Higgins, ·
3 60
Granite Shoe Store,
9 90
J. F. Kemp,
3 28
J. F. Sheppard & Sons,
72 35
James Stewart & Co.,
599 00
A. P. Smith Manufacturing Co.,
1,304 20
A. G. Durgin,
1 05
$34,817 60
Balance, .
$3 69
Statement of Appropriations,
EXPENDITURES AND BALANCES FOR 1898.
1897.
1898.
Bal. Jan 1, 1897.
Expended.
Balance.
Appropri- ation.
Expended. $ $1,745 65 l 1 6,788 35
Balance.
Almshouse,
Poor out of Almshouse,
1,208 92
Advertising, Printing, and Stationery,
22 85
2,900 00
2,893 19
6 81
Assessors,
1,300 00
143 87
Transfers,
125 00
Books, Binding, Postage,
160 90
. . . . . . .
.
. .
.
.
. . . . . . . .
. .
. .
.
.
.
. ... ... .
Bridges,
3,500 00
3,499 26
74
Burial Places,
118 08
5,215 55
5,198 43
17 12
Pay of City Officers,
807 66
14,650 00
14,085 80
564 20
Clerk -Executive Department,
625 00
625 00
Clerk-Treasurer
520 00
520 00
Clerk-City Clerk,
420 00
420 00
Clerk-Collector,
400 00
400 00
Contingent Fund,
125 00
80 75
44 25
City Debt,
62,080 00
62,080 00
· . .
City Stable,
6,500 00
6,499 36
64
Sewer Debt,
5,500 00
5,500 00
Decoration Day,
350 00
350 00
......
City Hospital,
3,000 00
3,000 00
. . . . . . .
.
. .
.
.
.
.
.
.
......
. .
. .
. .
.
. .
. . . .
.
..
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·
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.
·
.
.
·
.
. . . . . . . .
.
. .
·
.
.
. . . .
. .
·
.
.
.
. .
.
.
.
. .
.
.
.
. .
.
.
..
.
.
.
102
Miscellaneous, Clerk,
88 :
782 00
.
..
. . . . . .
..
. .
$93 74
9,500 00
$966 00
1
Fire Department :
25 50
850 00
781 53
68 47
13,500 00
13,200 31
299 69
Horse Shoeing, Keeping,
90 96
2,079 36
2.058 33
21 03
Keeping Chief's Horse,
200 00
200 00
Fire Alarm Telegraph,
186 76
2,571 64
2,570 23
1 41
Coal and Fuel,
62 86
350 00
232 70
117 30
Lighting Engine Houses,
43 32
450 00
449 32
68
Firemen's Clothing,
99 00
99 00
Miscellaneous,
325 93
2,200 00
2,194 65 .
5 35
Horses, Harnesses and Hose,
1,000 00
750 00
250 00
Fire Alarm Whistle, Wollaston,
400 00
400 00
Garbage,
New Garbage House,
250 00
250 00
Health,
Adv'g, Postage, Sundries,
20 95
365 00
193 00
47 25
Abating Nuisances and
124 75
Inspection of Phunbing,
167 50
700 00
667 50
32 50
Interest,
19,573 30
18,022 7
1,550 54
Interest-Water,
30,305 00
29,375 00
930 00
Interest -- Sewer,
10,720 00
10,640 00
80 00
John Hancock Tablet,
200 00
200 00
Library,
6,000 00
11 28
Books,
842 87
Catalogue Fund,
585 40
Periodicals, Binding and Printing,
785 86
.. . . .
.
.
.
. .....
2,639 65
. . . . . . ..
Fuel and Lighting,
22 32
332 54
. . . . . ...
Miscellaneous,
695 90
..... .
..
.
.
. .
. . . .....
Law Department,
75 00
56 00
19 00
Miscellaneous City Expenses,
169 62
4,000 00
3,999 85
15
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
..
..
.
.
.
.
.
. .
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.
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.
.
..
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..
..
.
. .
.
.
. .
.
.
.
.
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.
.
.
. ...
.
.
. . . . . . . .
.
.
........
Insurance,
.
.
.
. .
..
.
..
.
..
2,635 00
2,610 79
24 21
Contagious Diseases, Inspection,
600 00
600 00
. .
.
. .
.
..
.
.
Salaries and Assistants,
106 50
Repairs, Fixtures, Pay of Men,
103
STATEMENT OF APPROPRIATIONS, EXPENDITURES AND BALANCES .- (Continued.) 1897. 1898.
Bal. Jan. 1, 1897.
Expended. Balance.
Appropri- ation.
Expended.
Balance.
Police-Permanent Men,
7,188 00
7,488 00
Chief's Salary
1,000 00
1,000 00
Police Station,
450 00
413 03
36 97
Special Police,
1,927 00
1,907 47
19 53
Enforcement of Liquor Law,
1,200 00
1,159 58
40 42
Parks,
8 88
500 00
403 69
96 31
Repairs of Public Buildings and care of City Hall,
51 54
5,500 00
2,990 14
9 90
Repair of Schoolhouses,
340 39
20,400 00
20,395 44
4 56
Finishing room in John Hancock schoolhouse,
550 00
550 00
Grading Crescent Street
3,500 00
3,500 00
Garfield Street Drain,
500 00
500 00
Paving Hancock Street,
11,000 00
11,000 00
Alterations in Engine and Hose Houses,
975 00
917 59
57 41
Wall. Furnace Brook,
500 00
500 00
.
Widening Hancock Street from
School Street to Music Hall,
1,434 00
1,434 00
Draining Old Colony Street,
Ward 6,
500 00
312 90
187 10
Widening Hancock and Granite Streets,
1,200 00
200 00
1,'00 00
Grading Putnam Street,
200 00
199 97
Drain and Catch Basins Ward 6,
475 00
410 18
64 82
Payne Street,
1,900 0 )
756 21
243 79
Laying out East Elin Avenue,
.
.
.. 500 00
3 82
496 18
.
..
.
.
.
.
.... .
·
.
.
104
.
.
. .
.
..
. .
. .
.
. . ....
..
..
.
. .
. .
.
. .....
.
....
..
. . . .... .
. .
. .
. .
.
.
. .
. .
.
.
. . .
.
. .
. ..
.
2,499 96
Streets,
Drain and Catch Basin, Washing- ton Street, Culvert, Washington and Canal Streets,
1,500 00
1,498 19
1 81
Newbury avenue Culvert,
100 00
93 16
84
Sewer Maintenance
313 85
313 85
Sewer Construction,
85,602 09
85,602 09
100,090 00
69,891 16
30,108 84
Sewer, House Connections,
1,544 99
1,544 99
Playgrounds,
2,722 46
2,722 46
Amount received from sale of Playground in Ward 5,
4,000,00
4,000 00
16,924 25
16,821 09
103 16
Extension of Newcomb Street,
1,879 68
1,769 43
110 25
500 00
500 00
.
.
.
.
1,000 00
960 47
39 53
Pleasant and School Streets,
1,000 00
930 00
70 00
Lincoln and Winthrop Avenues,
1,172 50
1,172 50
260 90
Paving Copeland Street,
6,504 17
6,503 72
45
Faxon Road,
537 33
337 33
200 00
Engineering,
300 00
299 90
10
Street Lighting,
16 300 00
16,291 23
8 77
Street Watering,
4,400 00
4,000 00
Removal of Snow,
7 20
6,700 00
7,231 41
Edgestones and Sidewalks,
1 641
3,000 00
2,961 32
38 68
State and Military Aid,
6,150 00
62 00
Chapter 301,
4,008 00
Chapter 279,
524 00
Chapter 298 and 447,
1,556 00
Schools,
95,000 00
38 26
Evening,
1,301 93
Janitors,
6,170 00
Salaries Supt. and Teachers,
73,349 45
Books, Supplies and Sundries,
7,511 74
Transportation,
878 85
Fuel,
5,749 77
...
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Billings Road and West Elm Ave.,
2,500 00
2.239 10
.
105
.
..
.
.
.
...
.
.
. .
.
.
.
.
.
1,000 00
652 48
347 52
Permanent Sidewalks,
Squantum Street Widening,
Sea Street,
·
STATEMENT OF APPROPRIATIONS, EXPENDITURES AND BALANCES .- (Continued.) 1897. 1898.
Bal. Jan. 1, 1897.
Expended. Balance.
Appropri- ation.
Expended.
Balance.
Water Supply-Maintenance, 1897,
1,010 55
15,420 24
15,379 03
41 21
Painting Stand Pipe,EN
79 76
79 76
34,821 29
34,817 60
3 69
Water Supply-Construction, 1898, Water Debt,
1,000 00
1,000 00
28,500 00
28,500 00
Park Debt,
1,000 00
1,000 00
· Anticipation of Taxes,
131,000 00
..
.
$231,264 51
$7,283 16 $615,484 73
$575,311 56 $40,704 58
.
. .
Water Supply-Maintenance, 1898,
. . . .
. .
.
.
. . . .
.
..
106
Debt Statement of Quincy, December 31st, 1898.
Year.
Municipal.
Playgrounds.
Water.
Sewer.
Grand Totals.
1899,
$81,950 25
.
$1,000
$29,500
$8,000
$120,450 25
1900,
62,700 00
1,000
29,500
8,000
101,200 00
1901,
32,655 61
1,000
29,500
9,000
72,155 61
1902,
17,300 00
1,000
29,500
9,000
56,800 00
1903,
16,900 00
1,000
29,500
9,000
56,400 00
1904,
16,000 00
2,000
29,500
9,000
56,500 00
1905,
15,500 00
2,000
29,500
9,000
56,000 00
1906,
13,500 00
2,000
29,500
.
8,000
53,000 00
1907,
5,000 00
2,000
29,500
8,000
44,500 00
1908,
4,000 00
2,000
29,500
8,000
43,500 00
1909,
2,000
29,500
8,000
39,500 00
1910,
2,000
29,500
8,000
39,500 00
1911,
2,000
29,500
8,000
39,500 00
1912,
2,000
29,500
8,000
39,500 00
1913,
2,000
29,500
8,000
39,500 00
1914,
2,000
29,500
8,000
39,500 00
1915,
2,000
28,500
8,000
38,500 00
1916,
2,000
27,500
8,000
37,500 00
1917,
2,000
26,500
8,000
36,500 00
1918,
2,000
25,500
8,000
35,500 00
.
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·
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.
108
.
.
.
.
.
.
.
.
.
1919,
2,000
25,500
8,000
.
35,500 00
1920,
2,000
25,500
8,000
35,500 00
1921,
2,000
25,500
8,000
·
.
35,500 00
1922,
2,000
25,500
8,000
35,500 00
1923,
2,000
25,500
8,000
35,500 00
1924,
4,500
8,000
12,500 00
1925,
3,500
8,000
11,500 00
1926,
2,000
8,000
10,000 00
1927,
2,000
8,000
10,000 00
1928,
1,000
8,000
9,000 00
1929,
8,000
8,000 00
1930,
8,000
8,000 00
1931,
8,000
8,000 00
1932,
8,000
8,000 00
1933,
8,000
8,000 00
1934,
8,000
8,000 00
1935,
8,000
8,000 00
1936,
8,000
8,000 00
1937,
8,000
8,000 00
1938,
2,500
2,500 00
$265,505 86
$45,000
$720,500
$319,500
$1,350,505 86
.
·
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·
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·
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·
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.
.
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.
109
.
·
.
.
Water Loan falls due: . April, $1,000; May, $2,500; June, $1,000; August, $20,000 ; September, $2,000; December, $3,000.
Sewer Loan falls due : April, $2,500; May, $3,000 ; October, $2,500. Playground Loan falls due October 1.
.
.
.
.
Itemized Schedule of Municipal Debt.
TITLE.
DUE.
RATE.
1899
1900
1901
1902
1903
1901
1905
1906
1907
1908 TOTALS
Drain, Lincoln and. Winthrop avenues Mar. 1,
4
$200
$200
$200
$200
$200
· $1,000 00
Pleasant and School streets,
Mar. 1,
4
200
200
200
200
200
·
.
·
. 1,000 00
Widening part of, Squantum street, Mar. 1,
4
500
.
.
.
.
·
.
.
500 00
Sea street,
Mar. 1,
4
1,000
·
.
·
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