Inaugural address of the mayor, with the annual report of the officers of the city of Quincy for the year 1932, Part 6

Author: Quincy (Mass.)
Publication date: 1932
Publisher:
Number of Pages: 446


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 1932 > Part 6


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5,000 00


$5,918 15


$5,918 15


Cash deposit, Quincy Savings Bank


95


REPORT OF THE TREASURER


Perpetual Care Fund of Public Burial Places


Receipts and expenditures


Cash on hand, January 1, 1932 $5,212 89


Perpetual care of lots, 1932


9,955 00


Interest receipts


7,538 44


City of Quincy bond matured.


1,000 00


New Eng. Tel. & Tel. bond sold


1,005 00


Safety deposit box rent.


$9 00


Purchase of Union El. Lt. & Pr. Co. bond Accrued interest


937 50


15 42


Investment deposits :


Cohasset Savings Bank.


4,000 00


South Weymouth Savings Bank.


2,000 00


Weymouth Savings Bank.


2,000 00


Granite Savings Bank-Sav. Dept ...


3,000 00


Stoughton Trust Co., Savings Dept.


3,000 00


Balance of income credited to Burial Dept.


7,514 02


Cash on hand-Granite Trust Co.


2,235 39


$24,711 33


$24,711 33


Statement of Perpetual Care Fund to Date


Total of fund, January 1, 1932.


$161,632 14


Received for perpetual care of lots for 1932


9,955 00


Addition to principal by bond sales. ....


48 50


Invested as follows :


$3,000 American Tel. & Tel., 5, 1946 ....


$2,959 50


4,000 American Tel. & Tel., 5, 1946 ....


4,190 00


1,000 Bangor & Aroostook RR., 5, 1943


950 00


5,000 Bell Tel. Co. of Pa., 5, 1960 ....


4,900 00


2,000 00


1,030 00


9,350 00


10,200 00


7,000 00 935 00


5,218 75


3,161 25


5,000 Los Ang. Gas & Elec., 51/2, 1943


3,195 00


3,000 Los Ang. Gas & Elec., 51/2, 1947 1,000 Minnesota Pow. & Lt., 41/2, 1978 1,000 New Eng. Tel. & Tel., 5, 1952 ..


980 00


979 00


3,000 New Eng. Tel. & Tel., 5, 1952 ..


2,966 25


5,000 New England Pow. Co., 5, 1951


5,000 00


2,000 New England Pow. Co., 5, 1951


1,950 00


2,000 N. Y., Chi. & St. L., 41/2, 1978


1,885 00


1,000 Union El. Lt. & Pow., 5, 1957 ..


937 50


10,000 Abington Savings Bank ..


10,000 00


10,000 Braintree Savings Bank.


10,000 00


December 31, 1932.


5,287 50


5,000 Bellows Falls Hydro El., 5, 1958 2,000 Boston & Albany R.R., 5, 1963 .. 1,000 Boston Elevated R.R., 6, 1934 .... 10,000 Boston Elevated Ry., 4, 1935 .... 10,000 Cen. Maine Power Co., 5, 1955 7,000 Cen. Maine Pow. Co., 41/2, 1957 1,000 Chi. & No. West. R.R., 5, 2037 5,000 Detroit, Edison Co., 41/2, 1961 3,000 Kings Co. Ltg. Co., 5, 1954.


5,287 50


96


CITY OF QUINCY


4,000 Brookline Savings Bank. 4,000 00


4,000 Cohasset Savings Bank. 4,000 00


5,000 Dedham Institution for Savings 5,000 00


15,000 Hingham Instit'n for Savings 15,000 00


11,038 Quincy Savings Bank.


11,038 00


5,000 Randolph Savings Bank.


5,000 00


7,000 South Weymouth Savings Bank


7,000 00


7,000 Weymouth Savings Bank.


7,000 00


3,000 Granite Trust Co .- Savings. Department


3,000 00


8,000 Stoughton Trust Co .- Savings 8,000 00


$169,400 25


Cash on hand, December 31, 1932:


Granite Trust Company.


2,235 39


Total fund $171,635 64


$171,635 64


Par value of securities


.$169,038 00


97


REPORT OF TREASURER OF WOODWARD FUND AND PROPERTY


REPORT OF THE TREASURER OF THE WOODWARD FUND AND PROPERTY


JANUARY 2, 1933.


HONORABLE CHARLES A. Ross, Mayor:


I herewith submit the annual report of the Treasurer of the Woodward Fund and Property for the year ending December 31, 1932.


Respectfully yours,


HAROLD P. NEWELL, Treasurer Woodward Fund and Property.


FINANCIAL STATEMENT


Receipts


Cash on hand, January 1, 1932


$2,265 83


Notes secured by mortgages 6,500 00


Interest:


Atchison, Topeka & Santa Fe R. R. 4


300 00


Boston & Albany R. R. (Stock)


236 25


Boston & Maine R. R. (Stock)


14 00


Pere Marquette R. R. 4


160 00


American Tel. & Tel (Stock)


324 00


Pennsylvania R. R. 6


67 50


Illinois Power & Light Co. 5


100 00


Union Pacific R. R. 4


200 00


New England Tel. & Tel. Co. 5


250 00


New England Power Co. 5


250 00


Minnesota Power & Light Co. 41/2


180 00


Hingham Institution for Savings


212 50


Quincy Savings Bank


206 25


Granite Trust Co. on bank deposit


66 53


On mortgage loans


12,169 18


Use of building for clinics


183 00


Quincy Savings Bank


1,000 00


Sale of Towle Property (taken by foreclosure)


7,000 00


$32,254 11


Expenditures


Expenses of Institute


$15,490 81


Administration of Fund


503 43


Notes secured by mortgages


11,900 00


Expense of foreclosure-Towle property.


1,359 67


$29,253 91


Cash on hand, December 31, 1932


3,000 20


$32,254 11


569 07


Weymouth Savings Bank


98


CITY OF QUINCY


Expenses of Institute


Pay Rolls


$11,683 40


Books, supplies and sundries


875 24


Fuel


1,436 72


Lighting


248 52


Telephone


56 66


Improvements, repairs and fixtures.


1,190 27


$15,490 81


Expended by Board of Managers:


On Institute-Insurance


$183 48


Repairs


195 45


378 93


$15,869 74


Administration of Fund


Expenses on property :


Linden Place house-repairs. .... ........ $50 00


water


17 00


$67 00


Surety deposit box rent, etc.


57 50


$124 50


Income Account, 1932


Received from investments $15,488 28


Expenses of Institute


$15,490 81


Expenses of Institute by Managers


378 93


Administration of Fund


124 50


Deficit in income, 1932


505 96


$15,994 24 $15,994 24


Statement of Fund, December 31, 1932


Total Fund


$351,720 43


Tuition receipts on hand


436 98


Unexpended income Net expenses Towle fore- closure $1,259 67


$11,813 14


Deficit in income 505 96


1,765 63


10,047 51


Total Fund, December 31, 1932


$362,204 92


Invested as follows:


$7,500 Atchison, Topeka & Santa Fe 4 $7,500 00


5,000 New England Tel. & Tel. Co. 5 4,906 25


5,000 New England Power Co. 5 5,000 00


4,000 Pere Marquette R. R. 4 4.000 00


5,000 Union Pacific R. R. 4


4,419 00


4,000 Minnesota Power and Light Co. 41/2 3,920 00


2,000 Illinois Power & Light Co. 5 1,910 00


36 Shares American Tel. & Tel. Co.


2,644 85


99


REPORT OF TREASURER OF WOODWARD FUND AND PROPERTY


27 Shares Boston & Albany R. R. 4,900 00


9 Shares Central Vermont R. R 500 00


74 Shares Boston & Maine R. R 8,060 98


135 Shares Pennsylvania R. R. 7,950 00


12,000 Quincy Savings Bank 12,000 00


5,000 Weymouth Savings Bank


5,000 00


5,000 Hingham Institution for Savings. 5,000 00 Mortgage Loans 219,725 00


Linden Place Property


2,868 64


$300,304 72


Institute Land and Building


58,900 00


$359,204 72


Cash on hand, December 31, 1932


3,000 20


$362,204 92


100


CITY OF QUINCY


TREASURER OF ADAMS TEMPLE AND SCHOOL FUND


JANUARY 2, 1933.


HONORABLE CHARLES A. Ross, Mayor:


The report of the Treasurer of the Adams Temple and School Fund for the year ending December 31, 1932, is herewith submitted.


Respectfully yours, HAROLD P. NEWELL, Treasurer Adams Temple and School Fund.


ADAMS TEMPLE AND SCHOOL FUND TREASURER'S REPORT


Cash on hand, January 1, 1932


$742 84


Receipts


$600 00


City of Quincy-Land taking


22 55


City of Salem bonds


1,500 00


New England Tel. & Tel. bonds


5,023 00


Cleveland Elec. Illum. Co. bonds


5,148 00


Consolidated Gas. Co. N. Y. bonds


5,150 00


17,443 55


Income


Interest on mortgage loans


$576 00


Interest on stocks and bonds


6,375 35


Interest on savings banks investments.


2,953 31


Interest on bank balances


34 94


Rents


242 00


Return insurance premium-House-Old


Coach Road


4 36


10,185 96


$28,372 35


Charles Francis Adams Fund


Income


500 00


$28,872 35


Expenditures


Administration of fund


$431 28


Bonds,-Treasurer's Department


85 00


Commissions, T. S. Burgin, Agent


55 00


Taxes on land in Braintree


1 57


Safety deposit box rent


15 00


$587 85


Mortgage loans


REPORT OF TREASURER ADAMS TEMPLE AND SCHOOL FUND


101


Expenses on Property


Insurance-Adams Academy


$154 83


Repairs-Adams Academy 203 50


Care of grounds


916 96


Cleaning bronze tablet


25 00


Attorney's fee-mortgage release


5 00


1,305 29


By the School Department


Pay rolls


$2,200 00


Bills covering supplies-Libraries


5,174 94


7,374 94


Investments


Consolidated Gas Co. of N. Y. of 1957


$4,700 00


New England Power Bonds of 1951


2,925 00


Toledo Edison Co. Bonds of 1962


4,775 00


Union Electric Light & Power Co. Bonds of 1957


4,687 50


$17,087 50


Accrued interest on bonds


162 08


$17,249 58


$26,517 66


Charles Francis Adams Fund Income


Expended from income by School Department ..


450 00


$26,967 66


Cash on hand, December 31, 1932


1,904 69


$28,872 35


Statement of Fund and Securities


Total of Fund


$183,474 55


Unexpended income


19,814 24


$203,288 79


Charles Francis Adams Fund.


$10,000 00


Addition to fund by bond sale


396 88


Unexpended income


3,620 74


14,017 62


$217,306 41


Investments


$5,000 Arkansas Power & Light Co. 5.


$4,950 00


5,000 Associated Electric Co. 412


4,712 50


5,000 Birmingham Electric Co. 41/2 4,762 50


8,000 Boston & Albany R. R. 5.


8,000 00


5,000 Boston Elevater St. Ry. Co. 5.


5,000 00


2,000 City of Cleveland 41/2.


2,081 60


5,000 Central Vermont Pub. Ser. Corp. 5.


4,850 00


102


CITY OF QUINCY


6,000 Con. Water Co., Utica 41/2. 5,835 00


5,000 Empire District Elec. Co. 5. 5,000 00


9,000 Jersey Central Power & Lt. Co. 41/2 9,090 00


6,000 Illinois Power & Light Co. 5 5,790 00


3,000 Indianapolis Union Ry. Co. 5.


2,895 00


7,000 Kansas City Power & Light Co. 41/2


7,175 00


5,000 New England Tel. & Tel. Co. 5


4,906 25


3,000 New England Power Co. 5.


2,925 00


10,500 Northern Pacific Ry. Co. 6


10,132 50


5,000 Pacific Gas & Electric Co. 5. 5,137 50


5,000 Pacific Gas & Electric Co. 41/2 4,887 50


5,000 Public Service Co. of N. H. 5. 5,081 25


5,000 Southern California Edison Co. 5.


5,000 00


5,000 Toledo, Edison Co. 5.


4,775 00


5,000 Union Electric Light & Power Co. 5. 4,687 50


5,000 Wisconsin Power & Light Co. 5 5,000 00


520 00


37 Shares, Eastern Gas & Fuel Associates.


2,927 62


10,000 Braintree Savings Bank


10,000 00


5,000 Charlestown Savings Bank


5,000 00


5,000 Cohasset Savings Bank


5,000 00


15,000 Quincy Savings Bank


15,000 00


14,000 Hingham Institution for Savings


14,000 00


3,500 South Weymouth Savings Bank


3,500 00


5,000 Weymouth Savings Bank


5,000 00


5,000 Granite Trust Co .- Savings


5,000 00


5,000 Quincy Trust Co .- Savings 5,000 00


Notes secured by mortgages.


11,400 00


$205,021 72


Charles Francis Adams Fund


10,000 Central Maine Power Co. 5.


10,380 00


$215,401 72


Cash on hand, December 31, 1932


1,904 60


$217,306 41


Various parcels of real estate-assessed valuation $165,925 00


2 Shares, Boston & Maine R. R.


103


REPORT OF BOARD OF ASSESSORS


REPORT OF BOARD OF ASSESSORS


DECEMBER 31, 1932.


His Honor, the Mayor, City of Quincy:


Dear Sir:


The following is respectfully submitted as the report of the Asessing Department for the year 1932:


Valuation


Value of buildings $82,499,625 00


Value of land 35,556,450 00


Value of land and buildings $118,056,075 00


Value of personal property


11,066,175.00


Total valuation of the city as determined April 1, 1932 129,122,250.00


Tax rate


29 80


Amount to be raised by taxation.


3,847,899 29


The valuation was also increased by omitted assess- ments levied in December, 1932 81,800 00


Valuation of automobiles, December 31, 1932.


5,184,520 00


Total valuation of the city, including automobiles for 1932, was


134,388,570 00


Recapitulation Budget of 1932


City Appropriations


$3,514,174 83


City Debt


704,500 00


City Interest


194,112 49


Temporary Loan Interest


125,000 00


Deficit Overlay


4,494 19


Overlay for 1932


8,744 86


State Assessments:


State Tax


175,792 50


Metropolitan Sewers


94,090 19


Metropolitan Parks


80,242 61


Charles River Basin


10,773 12


Neponset Bridge


10,190 29


Planning Board


681 61


Southern Traffic Route


3 14


Abatement Smoke Nuisance


1,538 74


Grade Crossing


10,786 13


Ways in Malden


98 44


Hospital or Home Care


550 00


West Roxbury-Brookline Parkway


8,284 52


Broadway-Revere Beach Parkway


772 56


Canterbury Street Highway


1,866 80


Veterans' Exemption


297 78


Old Age Assistance


20 00


Old Age Assistance


22,818 00


104


CITY OF QUINCY


County Assessments :


County Tax


114,055 86


County Hospital


35,986 89


Total


$5,119,875 55


Estimated Receipts


Income Tax


$287,691 21


Motor Vehicle Excise


119,336 15


Corporation Tax


86,656 71


Bank Tax


837 17


Licenses


9,105 50


Fines


4,935 98


Special Assessments


107,115 26


General Government


16,985 25


Protection of Life and Property


5,339 39


Health and Sanitation


22,557 50


Highways


4,256 62


Charities


20,802 87


Soldiers' Benefits


1,644 00


Schools


50,705 61


Libraries


3,457 12


Hospital


202,000 00


Cemeteries


19,428 00


Interest on Deposits


11,029 19


Interest on Taxes and Assessments


89,736 43


Street Railway


1,689 20


Highway Offset-clause 122a-1931


103,703 00


Polls


45,456 00


Old Age Assistance


22,818 00


Special Receipt-Old Age


34,746 34


Total Receipts


$1,272,032 50


Net amount raised by taxation on property


$3,847,899 29


Number of Polls, 22,728, at $2.00 each 45,456 00


Old Age Assistance, 22,818, at $1.00 each.


22,818 00


The persistent shrinkage of property values and the distress caused by the widespread unemployment have necessitated an un- usual number of abatements of real estate and poll taxes.


The value of new taxable property has been the smallest in many years. This and a general lowering of valuations has re- duced the total valuation of real and personal property from $132,949,475 to $129,204,050.


The values of automobiles on which excise taxes have been levied, less abatements, have decreased from $6,308,380 in 1931 to $4,977,326 in 1932.


Our Board having been continuous for six years it would seem proper to review the development of the City and our valuation for that period.


The 1926 valuation was returned as:


Real Estate


$107,949,175 00


Personal


14,227,050 00


Total


$122,176,225 00


105


REPORT OF BOARD OF ASSESSORS


During the six years in which we have served-from 1927 to 1932, inclusive-the additional value of buildings alone as returned by the Building Inspector, less removals, was $27,057,179, while our value of real estate now shows a net advance of but $10,188,700 over the year 1926, which seems to fully justify our claim of $14,000,000 reduction of values made in response to the demand the depression has occasioned.


The pronounced shrinkage in value of neighborhood store prop- erties, in some cases complete abandonment; the lessened demand for the popular apartments of '27 to '29; foreclosures-both small houses and overexpanded business properties-are factors that ex- tended largely into these value reductions, and it is obvious that on many the complete shrinkage has not yet been reached.


Other than this: general reductions from peak values have been made in all directions; being not less than ten per cent in nearly every assessment levied.


After many plans for improved quarters had been considered we have made improvements to the upper office by a dividing partition, and the separation of the rear hall to provide a waiting room, which has proved to be a very decided help in answering the pub- lic's many inquiries, and gives us facilities for private hearing, which is much appreciated.


We have also kept up to date in office equipment, principally by the installation this year of electrically operated billing machines which, being the latest improvement of the kind, will effect a con- siderable saving for a long time.


Other economies have been rigidly practised as shown by the following comparison, i.e.,-


The cost of department expenses for 1926 was $37,540.30, while the cost for the years we have served are as follows:


1927


$30,772 00


1928


29,278 88


1929


30,697 20


1930


30,944 21


1931


31,762 06


1932


29,292 00*


*$3,000-cost of electric billing machines included.


In view of the avalanche of appeals before the Tax Appeal Board from all over the State, the City has been fortunate in hav- ing had very few appeals taken from assessments made. At pres- ent one case is pending before the Board of Appeals and one before the County Commissioners.


In general we wish to express our appreciation to all who have labored to help us in our work; to Mayor McGrath, who has promptly complied with every request to help facilitate the work; to the City Solicitor, whose advice and study of our problem has been of material benefit to the City; and to our most loyal clerks, who many times have sacrificed their own plans in their faithful- ness to our work; to our Assistant Assessors, and to all others who have, by their cooperation, shown an endorsement of our efforts.


Most respectfully submitted,


MICHAEL T. SULLIVAN, J. WINTHROP PRATT, ALBERT NELSON, Board of Assessors.


106


CITY OF QUINCY


REPORT OF COLLECTOR OF TAXES


To His Honor, the Mayor of the City of Quincy :


I have the honor to submit the following report of the Tax Col- lector's Department for the year ending December 31, 1932:


The amount of cash collected on the tax for the various years is as follows:


Tax of 1927


Cash received


Amount uncollected January 1, 1932 ....


$173 86


Amount abated during year 1932. 55 62


$118 24


Amount collected during year 1932.


17 68


$17 68


Amount uncollected January 1, 1933 ....


$100 56


Amount of interest collected 1 40


Street Betterment of 1927


Amount uncollected January 1, 1932 ..


$56 68


Amount abated during year 1932. 56 68


Committed Interest on Street Betterment


of 1927


Amount uncollected January 1, 1932 ..


$4 82


Amount abated during year 1932. 4 82


Tax of 1928 .


Amount uncollected January 1, 1932 ....


$1,065 49


Reconsideration of abatement by As-


sessors 6 01


$1,071 50


Charge by Auditor


214 40


$1,285 90


Amount abated during year 1932.


584 07


$701 83


Amount collected during year 1932.


669 83


Amount uncollected January 1, 1933 ....


$32 00


Amount of interest collected


Main Sewer Apportionments of 1928


Amount uncollected January 1, 1932 ....


$6 37


Charge by Auditor


80


$7 17


Amount abated during year 1932.


7 17


669 83


32 43


107


REPORT OF COLLECTOR OF TAXES


Committed Interest on Main Sewer Apportionments of 1928


Amount uncollected January 1, 1932 .... $2 03


Credit by Auditor 40


$1 63


Amount abated during year 1932.


1 63


Street Betterment Apportionments of 1928


Amount uncollected January 1, 1932 ....


$42 93


Credit by Auditor 2 61


$40 32


Amount abated during year 1932.


40 32


Committed Interest on Street Betterment Apportionments of 1928


Amount uncollected January 1, 1932 .... $11 37


Amount abated during year 1932. 11 37


Sidewalk Apportionments of 1928


Amount uncollected January 1, 1932 ....


$3 70


Amount abated during year 1932. 3 70


Committed Interest on Sidewalk Apportionments of 1928


Amount uncollected January 1, 1932 .... $ 67


Amount abated during year 1932. 67


Gypsy Moth of 1928


Amount uncollected January 1, 1932.


$5 00


Amount abated during year 1932 .. ...


5 00


Tax of 1929


Amount uncollected January 1, 1932 ....


$4,241 15


Additional Warrant by Assessors. .....


161 88


$4,403 03


Reconsideration of abatement by As-


sessors


2 00


$4,405 03


Charge by Auditor


1,958 44


$6,363 47


Amount abated during year 1932


3,017 83


$3,345 64


108


CITY OF QUINCY


Amount collected during year 1932. ... 947 56 947 56


Amount uncollected January 1, 1932 ....


$2,398 08


Amount of interest collected. 22 98


Main Sewer Apportionments of 1929


Additional Warrant by Assessors.


$4 90


Charge by Auditor


49 40


$54 30


Amount abated during year 1932


11 41


$42 89


Amount collected during year 1932.


42 89


Committed Interest on Main Sewer Apportionments of 1929


Additional Warrant by Assessors


$ 71


Charge by Auditor


7 28


$7 99


Amount abated during year 1932.


2 07


$5 92


Amount collected during year 1932.


5 92


Street Betterment Apportionments of 1929


Amount uncollected January 1, 1932 ....


$54 41


Charge by Auditor


90 38


$144 79


Credit by Auditor


4 80


$139 99


Amount abated during year 1932


49 61


$90 38


Amount collected during year 1932.


90 38


Committed Interest on Street Betterment Apportionments of 1929


Amount uncollected January 1, 1932 ....


$19 00


Charge by Auditor


24 58


$43 58


Credit by Auditor


2 42


$41 16


Amount abated during year 1932.


16 58


$24 58


Amount collected during year 1932


24 58


42 89


5 92


90 38


24 58


109


REPORT OF COLLECTOR OF TAXES


Sidewalk Apportionments of 1929


Amount uncollected January 1, 1932 ....


$28 69


Credit by Auditor 22 98


$5 71


Amount abated during year 1932.


5 71


Committed Interest on Sidewalk Apportionments of 1929


Amount uncollected January 1, 1932 ....


$8 58


Credit by Auditor


7 27


$1 31


Amount abated during year 1932.


1 31


Tax of 1930


Amount uncollected January 1, 1932 ....


$9,961 89


Reconsideration of abatement by As-


sessors


64 40


$10,026 29


Charge by Auditor


1,255 03


$11,281 32


Credit by Auditor


189 00


$11,092 32


Amount abated during year 1932.


3,519 38


$7,572 94


Amount collected during year 1932 ......


4,405 36


Amount uncollected January 1, 1933 ....


$3,167 58


Amount of interest collected


Main Sewer Apportionments of 1930


Amount uncollected January 1, 1932 ....


$11 00


Charge by Auditor


48 78


$59 78


Credit by Auditor


11 00


$48 78


Amount abated during year 1932.


5 92


$42 86


Amount collected during year 1932.


42 86


4,405 36


302 25


42 86


110


CITY OF QUINCY


Committed Interest on Main Sewer Apportionments of 1930


Amount uncollected January 1, 1932 ....


$ 34


Charge by Auditor 20 22


$20 56


Amount abated during year 1932


1 79


$18 77


Amount collected during year 1932 ..... 18 77


18 77


Street Betterment Apportionments of 1930


Additional Warrant by Assessors.


$12 84


Charge by Auditor


118 58


$131 42


Amount abated during year 1932.


28 69


$102 73


Amount collected during year 1932.


102 73


102 73


Committed Interest on Street Betterment Apportionments of 1930


Additional Warrant by Assessors.


$6 16


Charge by Auditor


57 61


$63 77


Amount abated during year 1932


9 07


$54 70


Amount collected during year 1932.


54 70


54 70


Sidewalk Apportionments of 1930


Amount uncollected January 1, 1932.


$14 57


Charge by Auditor


12 18


$26 75


Amount abated during year 1932


26 75


Committed Interest on Sidewalk Apportionments of 1930


Amount uncollected January 1, 1932 .... $6 21


Charge by Auditor


2 01


$8 22


Credit by Auditor


2 11


$6 11


Amount abated during year 1932. 6 11


REPORT OF COLLECTOR OF TAXES


111


Gypsy Moth of 1930


Amount uncollected January 1, 1932.


$3 50


Charge by Auditor 5 83


$9 33


Amount abated during year 1932


9 33


Tax of 1931


Amount uncollected January 1, 1932 .... $1,604,096 20 Reconsideration of abatement by As-


sessors 146 60


$1,604,242 80


Charge by Auditor


12,495 10


$1,616,737 90


Credit by Auditor


127,864 54


$1,488,873 36


Amount abated during year 1932 27,269 95


$1,461,603 41


Amount collected during year 1932 1,443,788 64


Amount uncollected January 1, 1933.


$17,814 77


Amount of interest collected


Main Sewer Apportionments of 1931


Amount uncollected January 1, 1932 .... $10,234 87


Charge by Auditor


48 78


$10,283 65


Credit by Auditor


967 98


$9,315 67


Amount abated during year 1932.


15 86


$9,299 81


Amount collected during year 1932


9,284 71


Amount uncollected January 1, 1933 ....


15 10


Committed Interest on Main Sewer Apportionments of 1931


Amount uncollected January 1, 1932 ....


$2,538 78


Charge by Auditor


16 70


$2,555 48


Credit by Auditor


240 58


$2,314 90


1,443,788 64


56,703 77


9,284 71


112


CITY OF QUINCY


Amount abated during year 1932. 5 24


$2,309 66


Amount collected during year 1932. 2,304 48


Amount uncollected January 1, 1933 ..


$5 18


Street Betterment Apportionments of 1931


Amount uncollected January 1, 1932 ....


$23,956 32


Charge by Auditor


516 27


$24,472 59


Credit by Auditor


1,918 52


$22,554 07


Amount abated during year 1932


1,109 87


$21,444 20


Amount collected during year 1932 21,343 31


Amount uncollected January 1, 1933 ....


$100 89


Committed Interest on Street Betterment Apportionments of 1931


Amount uncollected January 1, 1932 ....


$9,442 01


Charge by Auditor


222 26


$9,664 27


Credit by Auditor


702 21


$8,962 06


Amount abated during year 1932.


553 31


$8,408 75


Amount collected during year 1932.


8,381 84


Amount uncollected January 1, 1933 ....


$26 91


Sidewalk Apportionments of 1931


Amount uncollected January 1, 1932 ....


$6,778 54


Charge by Auditor


4 70


$6,783 24


Credit by Auditor


436 83


$6,346 41


Amount collected during year 1932


6,313 11


Amount uncollected January 1, 1933 ....


$33 30


Committed Interest on Sidewalk Apportionments of 1931


Amount uncollected January 1, 1932. $2,041 10


Charge by Auditor 2 54


$2,043 64


2,304 48


21,343 31


8,381 84


6,313 11


113


REPORT OF COLLECTOR OF TAXES


Credit by Auditor ...... 130 46


Amount abated during year 1932. $1,913 18


1 00


$1,912 18


Amount collected during year 1932. 1,894 89


Amount uncollected January 1, 1933 ....


$17 29


Gypsy Moth of 1931


Amount uncollected January 1, 1932 ....


$756 32


Credit by Auditor 37 60


$718 72


Amount collected during year 1932.


$718 72 718 72


Tax of 1932


Total amount committed by Assessors .. $3,897,054 95 Charge by Auditor 1,683 76


$3,898,738 71


Amount abated during year 1932.


21,407 42


$3,877,331 29


Amount collected during year 1932. 2,083,467 60


Amount uncollected January 1, 1933 .... $1,793,863 69 Amount of interest collected.


Main Sewer Apportionments of 1932


Total amount committed by Assessors .. $16,924 69


Charge by Auditor 6 67


$16,931 36


Amount abated during year 1932.


43 60


$16,887 76


Amount collected during year 1932. 5,408 60


Amount uncollected January 1, 1933 .... $11,479 16


Committed Interest on Main Sewer Apportionments of 1932


Total amount committed by Assessors .. $4,634 87


Charge by Auditor 3 00


$4,637 87


Amount abated during year 1932.


10 82


$4,627 05


Amount collected during year 1932. 1,500 08


Amount uncollected January 1, 1933 .... $3,126 97


1,894 89


2,083,467 60


1,877 69


5,408 60


1,500 08


114


CITY OF QUINCY


Street Betterment Apportionments of 1932


Total amount committed by Assessors .. $41,616 40 Charge by Auditor 60 80


Amount abated during year 1932


$41,677 20


652 49


$41,024 71


Amount collected during year 1932. 12,591 98


Amount uncollected January 1, 1933 ..


$28,432 73


Committed Interest on Street Betterment Apportionments of 1932




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