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 1936 > Part 3
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2,650 00
Motor Vehicle 1935 and Prior
23,742 59
Motor Vehicle 1936
18,965 49
42,708 08
Special Assessments:
Gypsy Moth
$3 00
Sewer
9,465 31
Street Betterments
17,619 04
Sidewalks
3,296 69
Committed Interest
6,911 46
Special Deposits :
Cesspool
$349 00
Sewer
1,091 00
Water
220 00
Hospital
460 00
Water Rates 1936
63,638 39
66,705 55
Water Service Connections
3,877 35
Department Bills:
Health
$19,051 85
Scavenger
190 45
Particular Sewers
2,443 10
Highways
197 58
Schools
5,058 27
Welfare
147,977 44
Old Age Assistance
12,709 25
Cemetery
1,784 25
Gypsy Moth
613 93
190,026 12
Property for Sale
60,659 53
Water Reserve
24,081 59
Overlay Deficit 1935 and Prior
35,901 15
State and Met. Assessments
18,257 97
$2,846,454 61
$2,846,454 61
CITY OF QUINCY
Sale of Land
2,368 87
Excess Tax Title Sales
297 02
Pay Roll Tailings
2,989 32
Trusteed Accounts
458 14
Unidentified Receipts
.
Tax Title Redemptions Reserved
169 86
Overlay-1936
4,902 10
Excess & Deficiency
326,745 17
.
. .
#
. .
.... .
....... ..
....
Temporary Loans $1,500,000 00
Bills Payable 12,607 71 28
State of Massachusetts 449 00
1,464,615 15
Revenue Reserved until Collected : Motor Vehicles Excise $42,708 08
Special Assessments 37,295 50
Tax Titles
507,347 31
Water Liens
45,492 18
Water Revenue
70,582 90
Departmental 190,026 12
Property for Sale 61,667 53
955,119 62
.
37,295 50 507,347 31
Tax Titles
Water Liens
45,492 18
Water Rates 1935 and Prior .. 3,067 16
2,120 00
264 11
LIABILITIES
Cash
$72,989 90
$72,989 90
Deferred Revenue Accounts
Apportioned Assessments not due:
Deferred Special Assessments
$181,286 84
Street Betterments
$112,622 15
Sewer
55,191 85
Sidewalks
13,472 84
$181,286 84
$181,286 84
Debt Accounts
Bonded Debt
$5,115,000 00
$5,115,000 00
Inside Debt Limit:
School Loans
$666,000 00
Sewer Loans
497,000 00
Street Loans
986,500 00
Sidewalk Loans
170,000 00
Hospital Loans
76,000 00
Other Loans
70,000 00
2,465,500 00
Outside Debt Limit:
School Loans
$623,000 00
Sewer Loans
469,500 00
Hospital Loans
180,000 00
Municipal Relief Loans
460,000 00
Tax Title Loans
431,000 00
Other Loans
86,000 00
Water Debt
2,249,500 00 400,000 00
$5,115,000 00
Trust Funds
Hospital
$17,610 91
Welfare
2,000 00
Schools
728,750 33
Adams Temple and School Funds
369,670 24
Library
29,470 23
Woodward Fund 358,080 09
Cemetery
218,781 34
Retirement System
52,573 38
29
$1,049,186 19
GEORGE H. BONSALL, Auditor of Accounts.
AUDITOR'S REPORT
Cash and Securities in Custody of Treas- urer $291,965 63
Cash and Securities in Custody of Trustees :
Library Funds 29,470 23
$1,049,186 19
Non-Revenue Accounts $72,989 90 Appropriation Balances Unexpended $72,989 90
CITY OF QUINCY-MUNICIPAL DEBT Within the Debt Limit 1937
Amount Due
Purpose of Loan
Date of Issue
Amount of Issue
Rate
Int ..
1937
1938
1939
1940
1941
1942
1943
1944
Schools
July 1923
$250,000
4 14
J-J
$10,000
$10,000
$10,000
$10,000
$10,000
$10,000
$10,000
No. Jr. High Sch.
July 1926
75,000
4
J-J
5,000
5,000
5,000
5,000
5,000
.
Web. Sch. Add.
Nov. 1927
30,000
334
M-N
3,000
.
Quincy Pt. Jr.
Dec. 1927
250,000
3%
J-D
25,000
Merrymount and
Adams Shore School
Sept. 1928
220,000
4 1/4
M-S
22,000
22,000
Merrymount and
Adams Shore School
May 1929
66,000
414
M-N
6,000
6,000
6,000
Montclair and
June 1929
170,000
4 14
J-D
11,000
11,000
11,000
11,000
11,000
11,000
11,000
$11,000
No. Jr. High Sch.
Apr. 1930
80,000
4
A-O
10,000
10,000
7,000
7,000
. .
Quincy Sch. Add.
Aug. 1931
125,000
31/2
F-A
12,000
12,000
12,000
12,000
12,000 15,000
15,000
15,000
15,000
Sewer
May 1927
70,000
334
M-N
7,000
7,000
7,000
Sewer
Aug. 1929
50,000
4 12
F-A
5,000
5,000
5,000
Sewer
Nov. 1929
40,000
M-N
4,000
4,000
4,000
Sewer
Apr. 1930
70,000
4
A-O
7,000
7,000
7,000
7,000
Sewer
Aug. 1930
50,000
4
F-A
5,000
5,000
5,000
5,000
....
Sewer
May 1931
70,000
60,000
4 19
J-J
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
Sewer
Feb. 1934
60,000
4
F-A
5,000
5,000
5,000
5,000
5,000
5,000
5,000
5,000
Sewer
Nov. 1934
50,000
21/4
M-N
5,000
5,000
5,000
5,000
5,000
5,000
5,000
5,000
Sewer
Jan. 1935
100,000
234
J-J
5,000
5,000
5,000
5,000
5,000
5,000
5,000
5,000
Sewer
June 1936
50,000
134
J-D
5,000
5,000
5,000
5,000
5,000
5,000
5,000
5,000
Streets
July
1927
250,000
4
J-J
25,000
Streets
Feb. 1928
125,000
334
F-A
12,500
12,500
Streets
July 1928
200,000
4
J-J
20,000
20,000
Streets
June 1929
125,000
4 14
J-D
12,500
12,500
12,500
6,000
Streets
June 1930
160,000
4
J-D
16,000
16,000
6,000 16,000
16,000
Streets
Dec. 1930
80,000
4
J-D
8,000
8,000
8,000
8,000
Streets
July 1931
175,000
3 12
J-J
16,000
16,000
16,000
16,000
Streets
May 1934
150,000
3
M-N
15,000
15,000
15,000
15,000
15,000
15,000 17,000
15,000
15,000 17,000
Streets
Jan. 1935
25,000
18%
5,000
5,000
5,000
5,000
Streets
May 1935
100,000
2 14
M-N
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
Streets
Oct. 1935
100,000
2
A-O
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
Streets
May 1936
200,000
2
M-N
20,000
20,000
20,000
20,000
20,000
20,000
20,000
20,000
Sidewalks
Aug. 1934
50,000
334
F-A
10,000
10,000
10,000
. . .
...
Sidewalks
Nov. 1934
50,000
214
M-N
10,000
10,000
10,000
Sidewalks
Dec. 1934
50,000
2
J-D
10,000
10,000
10,000
Sidewalks
Jan. 1935
100,000
13%
J-J
20,000
20,000
20,000
20,000
Hospital Bld.
June 1929
90,000
4 14
J-D
6,000
6,000
6,000
6,000
6,000
6,000
6,000
6,000
Operating Bl.
Aug. 1930
70,000
4
F-A
7,000
7,000
7,000
7,000
Land
Sept. 1931
140,000
372
M-S
14,000
14,000
14,000
14,000
14,000
Totals
$486,000 $426,000
($344,500 |$279,000 $198,000 |$144,000 |$144,000 |$134,000
30
.
. . .
.
.
..
.
.
Adams Sch. Add.
Dec. 1930
70,000
4
J-D
7,000
7,000
No. High Add.
May 1935
300,000
212
M-N
15,000
15,000
15,000
15,000
..
....
Sewer
May 1929
70,000
4 14
M-N
7,000
7,000
. .
. .
. .
....
....
M-N
7,000
7,000
7,000
7,000
7,000
..
Sewer
Oct.
1933
120,000
414
4
A-O
10,000
10,000
Sewer
May 1928
70,000
33
4
M-N
7,000
CITY OF QUINCY
....
Streets
May 1930
65,000
4
M-N
6,000
6,000
Streets
Aug. 1934
175,000
23/4
F-A J-J
18,000
18,000
18,000
17,000
17,000
17,000
. .
.. .
. ..
16,000
.
....
Sewer
July 1932
Houghs Neck Schools
. . ..
CITY OF QUINCY-MUNICIPAL DEBT Within the Debt Limit 1937 (Continued)
Amount Due
Purpose of Loan
Date of Issue
Amount of Issue
Rate
Int.
1945
1946
1947
1948
1949
1950
1951
Totals
Schools
July 1923
$250,000
414
J-J J-J
. . .
....
. .
...
No. Jr. High Sch.
July 1926
75,000
4
.. .
...
. . .
.. .
...
25,000
Web. Sch. Add.
Nov. 1927
30,000
334
M-N
....
...
. .
.
.
..
. . .
Quincy Pt. Jr.
Dec. 1927
250,000
334
J-D
....
...
...
...
....
.
. .
Merrymount and
Sept. 1928
220,000
4 14
M-S
....
....
. .
. .
.
.
44,000
Merrymount and
May 1929
66,000
4 14
M-N
Montclair and
Houghs Neck Schools
June 1929
170,000
414
J-D
....
....
. .
..
. .
. .
....
No. Jr. High Sch.
Apr. 1930
80,000
4
A-O
....
....
...
....
....
Adams Sch. Add.
Dec. 1930
70,000
4
J-D
.. .
.
.
...
.. .
. ..
60,000
Quincy Sch. Add.
Aug. 1931
125,000
312
F-A
$15,000
$15,000
$15,000
$15,000
$15,000
$15,000
$15,000
285,000
Sewer
May 1927
70,000
334
M-N M-N
Sewer
May 1928
70,000
337
14,000
Sewer
May 1929
70,000
M-N
.
F-A
M-N
....
Sewer
Арг. 1930
70,000
4
A-O
Sewer
Aug. 1930
50,000
4
F-A
Sewer
May 1931
70,000
312 416
J-J
20,000
Sewer
July 1932
60,000
417
A-O
10,000 5,000
5,000
5,000
5,000
5,000
5,000
5,000
95,000
Sewer
June 1936
50,000
134
J-D
5,000
5,000
Streets
July 1927
250,000
4
J-J
Streets
Feb. 1928
125,000
334
F-A
25,000
Streets
July 1928
200,000
4
J-J
40,000
Streets
June 1929
125,000
4 14
J-D
37,500
Streets
May 1930
65,000
4
M-N
24,000
Streets
June 1930
160,000
4
J-D
64,000
Streets
Dec. 1930
80,000
4
J-D
32,000
Streets
July 1931
175,000
312
J-J
80,000
Streets
May 1934
150,000
3
M-N
120,000
Streets
Aug. 1934
175,000
2
4
Streets
Jan. 1935
25,000
134
Streets
May 1935
100,000
214
Streets
Oct. 1935
100,000
Streets
May 1936
200,000
20,000
20,000
Sidewalks
Aug. 1934
50,000
314
F-A M-N
. .
Sidewalks
Dec. 1934
50,000
2
J-D J-J
*
Hospital Bld.
June 1929
90,000
414
J-D
Operating Bl.
Aug. 1930
70,000
4
F-A
Land
Sept. 1931
140,000
31/2
M-S
70,000
Totals
$80,000 |$50,000
($20,000 1$20,000 |$20,000
|$20,000
|$20,000
1952 to 1955 Inclusive 20,000 Annually
$2,465,500
AUDITOR'S REPORT
40,000
Sewer
Nov. 1934
50,000
214
M-N
5,000
5,000
Sewer
Jan. 1935
100,000
234
J-J
1952 to 1955 Inclusive 5,000 Annually
50,000
Sewer
Aug. 1929
50,000
41/2
15,000
Sewer
Nov. 1929
40,000
472
M-N
35,000
Sewer
Oct. 1933
120,000
4
50,000
Sewer
Feb. 1934
60,000
4
F-A
M-N A-O M-N
10,000 10,000
90,000
200,000
30,000
Sidewalks
Nov. 1934
50,000
214
30,000
Sidewalks
Jan. 1935
100,000
134
80,000
31
.
25,000
Adams Shore School
18,000
Adams Shore School
88,000
20,000
28,000
No. High Add.
May 1935
300,000
212
M-N
1952 to 1955 Inclusive 15,000 Annually
7,000
417
21,000
12,000
28,000
20,000
..
.
.
.
139,000
co
F-A J-J
20,000
90,000
2 2
30,000
48,000
28,000
.
. .
90,000
25,000
...
..
3,000
$ 70,000
CITY OF QUINCY-MUNICIPAL DEBT Outside the Debt Limit 1937
Amount Due
Statutory Authority
Purpose
Date of Issue
Amount of Issue
Rate
Int.
1937
1938
1939
1940
1941
1942
1943
1944
1920
Chap. 526
High Sch. Land
Oct. 1921
$58,000
5
$3,000
$2,500
$2,500 39,000
$2,500 39,000
$39,000
....
....
1920
Chap. 526
H. S. Building
Nov. 1922
15,000
4 14
1,000
. .
. ..
. ..
...
.. .
1920
Chap. 526
H. S. Equipment
June 1924
52,000
414
J-D
4,000
1926
Chap. 303
So. Jr. H. S. Bldg.
July 1926
450,000
4
J-J
30,000
30,000
30,000
30,000
30,000
. . .
. ..
. . . .
1929
Chap. 122
Houghs Neck Schls.
June 1929
200,000
J-D
13,000
13,000
13,000
13,000
13,000
13,000
$13,000
$13,000
1929
Chap. 122
No. Jr. H. S. Bldg.
Apr. 1930
200,000
4
A-O
13,000
13,000
13,000
13,000
13,000
13,000
13,000
13,000
1920
Chap. 526
Hospital Add.
Sept. 1922
100,000
M-S
5,000
5,000
5,000
5,000
5,000
5,000
2,000
6,000
6,000
1935
Chap. 404
Hospital Bldg.
Mar. 1936
90,000
214
M-S
5,000
5,000
5,000
5,000
5,000
5,000
5,000
5,000
1935
Chap. 404
Municipal Gar.
Маг. 1936
60,000
M-S
3,000
3,000
3,000
3,000
3,000
3,000
3,000
3,000
1895
Chap. 279
Sewer
May 1897
120,000
4
M-N
3,000
2,500
..
....
....
....
. . .
... .
1895
Chap. 279
Sewer
Apr.
1899
75,000
A-O
1,000
1,000
1,000
1,500
1,500
1,500
1,000
1,000
1905
Chap. 151
Sewer
Apr. 1907
40,000
4
A-O
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1905
Chap. 151
May 1908
30,000
4
M-N
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1911
Chap.
57
Sewer
Маг. 1912
40,000
4
M-S
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1933
Chap. 366
Sewer
Jan. 1934
275,000
314
J-J
10,000
10,000
10,000
9,000
9,000
9,000
9,000
9,000
1933
Chap. 366
Drains
Jan. 1934
128,000
314
J-J
5,000
5,000
5,000
5,000
5,000
5,000
4,000
4,000
1933
Chap. 366
Nov. 1927
113,000
334
M-N
11,000
A-O
15,000
1935
Chap. 188
Municipal Relief
Aug. 1935
125,000
F-A
15,000
15,000
15,000
15,000
10,000
10,000
10,000
10,000
1935
Chap. 188
Municipal Relief
Oct. 1935
50,000
11/2
A-O
10,000
10,000
10,000
10,000
10,000
...
.. .
. .
1936
Chap.
80
Municipal Relief
July 1936
200,000
112
J-J
40,000
40,000
40,000
40,000
40,000
.. .
. . .
1936
Chap.
80
Municipal Relief
Dec.
1936
60,000
114
J-D
15,000
15,000
15,000
15,000
.. .
. . ...
...
Totals
$273,500
$236,500
$233,000
$230,000
$200,000
$117,500
$68,000
$66,000
. .
1920
Chap. 526
H. S. Building
May 1922
800,000
4
A-O M-N M-N
39,000
$2,500 39,000
39,000
1920
Chap. 526
Hospital Add.
Nov. 1922
40,000
4 14
M-N
2,000
2,000
2,000
2,000
2,000
1929
Chap. 125
Hospital Add.
June 1929
90,000
414
J-D
6,000
6,000
6,000
6,000
6,000
6,000
1895
Chap. 279
Sewer
Apr.
1898
100,000
312
A-O
2,500
2,500
..
.
.
1902
Chap. 248
Sewer
July 1902
60,000
312
J-J
1,000
1,000
1,000
1,000
1,000
1,000
1902
Chap. 248
Sewer
June 1904
50,000
4
J-O
1,000
1,000
1,000
1,000
1,000
1,000
1,000
CITY OF QUINCY
.
1905
Chap. 151
Sewer
May 1909
30,000
312
M-N
4
A-O
1,000
1,000
1,000
1911
Chap. 57
Sewer
Маг. 1913
40,000
4
M-S
1,000
1,000
1,000
1,000
1,000
1,000
1935
Chap. 188
Municipal Relief
Dec. 1935
60,000
112
J-D
10,000
10,000
10,000
10,000
1895
Chap. 279
Sewer
Oct.
1897
100,000
4
A-O
1902
Chap. 248
Sewer
May 1903
70,000
372
M-N
1,500
1,500
1,500
1905
Chap. 151
Sewer
Арг. 1910
40,000
1931
Chap. 177
Grade Crossing
Apr. 1932
75,000
5 2
...
Montclair and
414
4
274
3/2
1,000
1,000
Southern Art.
Water Street
Sewer
.
32
. . .
CITY OF QUINCY-MUNICIPAL DEBT Outside the Debt Limit 1937 (Continued)
Statutory Authority
Purpose
Date of Issue
Amount of Issue
Rate
Int.
1945
1946
1947
1948
1949
1950
1951
1952
1953
1920
Chap. 526
High Sch. Land
Oct. 1921
$58,000
5
A-O M-N
...
1920
Chap. 526
H. S. Building
May 1922
800,000
4
1920
Chap. 526
H. S. Building
Nov. 1922
15,000
4 14
M-N
1920
Chap. 526
H. S. Equipment
June 1924
52,000
41 4
J-D
1926
Chap. 303
So. Jr. H. S. Bldg.
July 1926
450,000
4
J-J
1929
Chap. 122
Houghs Neck Schls.
June 1929
200,000
4 14
J-D
.. .
.
.
... .
1929
Chap. 122
No. Jr. H. S. Bldg.
Apr. 1930
200,000
4
A-O
$13,000
1920
Chap. 526
Hospital Add.
Sept. 1922
100,000
4
M-S
1920
Chap. 526
Hospital Add.
Nov. 1922
40,000
414
M-N
.
.
. . .
1935
Chap. 404
Hospital Bldg.
Mar. 1936
90,000
214
M-S
5,000 3,000
$5,000 3,000
$4,000 3,000
$4,000 3,000
$4,000 3,000
$4,000 3,000
$4,000 3,000
$4,000 3,000
$4,000 3,000
1895
Chap. 279
Sewer
May 1897
120,000
4
M-N
4
A-O
1895
Chap. 279
Sewer
Apr. 1898
100,000
312
A-O
.. .
...
J-J
1902
Chap. 248
Sewer
May 1903
70,000
372
1902
Chap. 248
Sewer
June 1904
50,000
4
J-O
1905
Chap. 151
Sewer
Apr. 1907
40,000
4
1,000
1,000
1,000
1905
Chap. 151
Sewer
May 1908
30,000
4
312
M-N
4
A-O
1,000
1,000
1,000
1,000
1,000
1,000
1911
Chap.
57
Sewer
Mar. 1912
40,000
4
M-S
4
M-S
1933
Chap. 366
Sewer
Jan. 1934
275,000
314
J-J
9,000
9,000
9,000
9,000
9,000
9,000
9,000
9,000
9,000
1933
Chap. 366
Drains
Jan.
1934
128,000
314
J-J
4,000
4,000
4,000
4,000
4,000
4,000
4,000
4,000
4,000
1933
Chap. 366
Nov. 1927
113,000
334
M-N
A-O
1935
Chap. 188
Municipal Relief
Aug. 1935
125,000
F-A
10,000
1935
Chap. 188
Municipal Relief
Oct. 1935
50,000
11/2
A-O
1935
Chap. 188
Municipal Relief
Dec. 1935
60,000
11%
J-D
1936
Chap. 80
Municipal Relief
July
1936
200,000
11%
J-J
1936
Chap.
80
Municipal Relief
Dec. 1936
60,000
114
J-D
. . ..
Totals
$46,000
$23,000
$22,000
$21,000
$21,000
$21,000
$20,000
$20,000
$20,000
AUDITOR'S REPORT
1905
Chap. 151
Sewer
Apr. 1910
40,000
312
A-O
1902
Chap. 248
Sewer
July 1902
60,000
414
J-D
1935
Chap. 404
Municipal Gar.
Mar. 1936
60,000
214
M-S
1895
Chap. 279
Sewer
Oct. 1897
100,000
1895
Chap. 279
Sewer
Apr. 1899
75,000
A-O M-N
1905
Chap. 151
Sewer
May 1909
30,000
. . .
1911
Chap.
57
Sewer
Mar. 1913
40,000
1931
Chap. 177
Grade Crossing
Apr. 1932
75,000
5 2
. .
.
..
. .
. . ..
2
2
.. . .
33
. .
. ..
1929
Chap. 125
Hospital Add.
June 1929
90,000
312
M-N
.
.
. .
.
Montclair and
.
.
. . .
Southern Art.
Water Street
. .
... .
....
Amount Due
CITY OF QUINCY-MUNICIPAL DEBT Outside the Debt Limit 1937 (Continued)
Amount Due
Statutory Authority
Purpose
Date of Issue
Amount of Issue
Rate
Int.
1954
1955
1956
1957
Totals
1920
Chap. 526
High Sch. Land
Oct. 1921
5
$13,000
1920
Chap. 526
H. S. Building
May 1922
$58,000 800,000
A-() M-N
234,000
1920
Chap. 526
H. S. Building
Nov. 1922
15,000
4 14
M-N J-D
4,000
1926
Chap. 303
So. Jr. II. S. Bldg.
July 1926
450,000
4
J-J
150,000
1929
Chap. 122
Houghs Neck Schls.
June 1929
200,000
414
J-D
104,000
1929
Chap. 122
No. Jr. H. S. Bldg.
Apr. 1930
200,000
4
A-O
117,000
1920
Chap. 526
Hospital Add.
Sept. 1922
100,000
4
M-S
30,000
1920
Chap. 526
Hospital Add.
Nov. 1922
40,000
4 14
M-N
12,000
1929
Chap. 125
Hospital Add.
June 1929
90,000
414
J-D
48,000
1935
Chap. 404
Hospital Bldg.
Mar. 1936
90,000
214
M-S
$4,000 3,000
$4,000 3,000
$4,000 3,000
60,000
1895
Chap. 279
Sewer
3,000
1895
Chap. 279
Sewer
2,500
1895
Chap. 279
Sewer
Apr. 1898
100,000
31/2
A-O
5,000
1895
Chap. 279
Sewer
Apr. 1899
75,000
315
A-O
3,000
1902
Chap. 248
Sewer
July 1902
60,000
312
J-J
.
7,000
1902
Chap. 248
Sewer
June 1904
50,000
4
A-O
. ..
.
2,000
1905
Chap. 151
Sewer
May 1909
30,000
M-N
. . .
. .
3,000
1905
Chap. 151
Sewer
Apr. 1910
40,000
4
A-O
4
M-S
.. .
6,000
1911
Chap. 57
Sewer
Mar. 1913
40,000
4
M-S
7,000
1933
Chap. 366
Sewer
Jan. 1934
275,000
314
J-J
9,000
9,000
9,000
$9,000
255,000
1933
Chap. 366
Drains
Jan. 1934
128,000
314
J-J
4,000
4,000
4,000
4,000
118,000
1933
Chap. 366
Nov. 1927
113,000
334
M-N
5
A-O
1935
Chap. 188
Municipal Relief
Aug. 1935
125,000
2
F-A
110,000
1935
Chap. 188
Municipal Relief
Oct. 1935
50,000
11/2
A-O
40,000
1935
Chap. 188
Municipal Relief
Dec. 1935
60,000
J-D
50,000
1936
Chap. 80
Municipal Relief
July 1936
200,000
11/2
J-J
200,000
1936
Chap.
80
Municipal Relief
Dec. 1936
60,000
114
J-D
60,000
Totals
$20,000
$20,000
$20,000
13,000
1958 to 1964 Inclusive 13,000 Annually
$1,802,500
CITY OF QUINCY
9,000
1902
Chap. 248
Sewer
May 1903
70,000
31/
M-N J-O
. .
.
8,000
1905
Chap. 151
Sewer
Apr. 1907
40,000
4
1905
Chap. 151
Sewer
May 1908
30,000
4
M-N
. .
. .
14,000
1911
Chap. 57
Sewer
May 1897
120,000
4
M-N
Oct. 1897
100,000
4
A-O
.
90,000
1935
Chap. 404
Municipal Gar.
Mar. 1936
60,000
214
M-S
4
1,000
1920
Chap. 526
H. S. Equipment
June 1924
52,000
4 14
.
1958 to 1964 Inclusive 9,000 Annually 1958 to 1964 Inclusive 4,000 Annually
11,000
1931
Chap. 177
Grade Crossing
Apr. 1932
75,000
15,000
Southern Art.
Water Street
Mar. 1912
40,000
11,000
34
Montclair and
CITY OF QUINCY-WATER DEBT-1937
Statutory Authority
Date of Issue
Amount of Issue
Rate
Int.
1937
1938
1939
1940
1941
1942
1943
1944
1945
1946
1907 Chap. 182
June 1907
$30,000
$1,000
$1,000
1907 Chap. 182
May 1909
40,000
1,000
$1,000
$1,000 1,000 40,000
$1,000 40,000
$40,000
Statutes
Oct. 1933
30,000
4
A-O
5,000
5,000
Statutes
Aug. 1934
50,000
3
10,000
10,000
10,000 5,000 18,000 10,000
5,000 18,000
5,000
$5,000
$5,000
$5,000
45,000
Statutes
May 1936
72,000
1 14
M-N M-S
10,000
10,000
30,000
Totals
$91,000
$90,000
$90,000
$64.000
$45,000
$5,000
$5,000
$5,000
$5,000
$400.000
4
1,000
4,000
Statutes
Apr. 1926
600,000
4
A-O
40,000
1,000 40,000 5,000
200,000 15,000
Statutes
July 1935
50,000
2
5,000
5,000
18,000
18,000
72,000
Statutes
Sept. 1936
30,000
1
J-D M-N M-S
3,000
1907 Chap. 182
Mar. 1910
30,000
4 312
35
AUDITOR'S REPORT
30,000
F-A J-J
$5,000
.
Amount Due
Totals
36
CITY OF QUINCY
TEMPORARY LOANS
In Anticipation of Revenue
Outstanding January 1, 1936
$1,725,000
Date 1936
Due
Sold to
Rate Discount
Amount
Jan. 4
Nov. 3, 1936
Natl. Shawmut Bank
. .
.36
$100,000
Feb. 20
Nov. 20, 1936
Natl. Shawmut Bank .
.31+
250,000
Feb. 20
Dec. 22, 1936
Natl. Shawmut Bank .
$1.01
125,000
Mar. 25
Nov. 10, 1936
Leavitt & Co.
.29+
250,000
Mar. 25
Dec. 8, 1936
Leavitt & Co.
$1.40
250,000
Apr. 22
Nov. 3, 1936
Gertler & Co.
.35+
150,000
Apr. 22
Dec. 29, 1936
Gertler & Co.
.78
250,000
May 19
Nov. 3, 1936
Leavitt & Co.
.40
100,000
May 19
Dec. 15, 1936
Leavitt & Co.
.40
100,000
May 19
Feb. 25, 1937
Leavitt & Co.
.40
200,000
June 30
Nov. 25, 1936
Merchants Natl. Bank
.49
100,000
June 30
Mar. 26, 1937
Merchants Natl. Bank.
.49
200,000
Sept. 18
Dec. 15, 1936
First Boston Corp.
.414
100,000
Sept. 18
Apr. 15, 1937
First Boston Corp.
.414
100,000
Nov. 19
May 5, 1937
Natl. Shawmut Bank
.27
500,000
Dec. 14
Sept. 15, 1937
First Boston Corp.
.30
250,000
Dec. 14
Oct. 14, 1937
First Boston Corp.
.30
250,000
Total issued
$3,275,000
Total Notes Paid.
3,500,000
Outstanding December 31, 1936.
$1,500,000
In Anticipation of Bond Issue
Outstanding January 1, 1936
$30,000
Notes Retired by Payment .
30,000
In Anticipation of Grant Chapter 213-Acts of 1935
Outstanding January 1, 1936
$16,000
Purpose
Date
Due
Sold To
Rate
P.W.A. Sewers
Feb. 15, 1936
April 15, 1936
Natl. Shawmut Bk.
.50
*$16,000
P.W.A. Sewers
Apr. 15, 1936
June 1, 1936
Natl. Shawmut Bk.
.50
*16,000
P.W.A. Sewers
June 1, 1936
Dec. 1, 1936
Natl. Shawmut Bk.
.50
*16,000
Notes Retired by Renewal
Outstanding December 31, 1936.
*Renewal.
$64,000
48,000
$16,000
$5,000,000
37
AUDITOR'S REPORT
SUSPENDED ACCOUNTS
December 31, 1936
Apportioned sewer assessments not due $55,191 85
Apportioned sewer assessments due in 1937 $15,526 93
Apportioned sewer assessments due in 1938 13,202 04
Apportioned sewer assessments due in 1939 8,897 39
Apportioned sewer assessments due in 1940 6,959 31
Apportioned sewer assessments due in 1941 4,604 26
Apportioned sewer assessments due in 1942 3,540 95
Apportioned sewer assessments due in 1943 1,450 72
Apportioned sewer assessments due in 1944 1,005 21
Apportioned sewer assessments due in 1945 5 04
Apportioned street betterments not due
$112,622 15
Apportioned street betterments due in 1937 $32,644 15
Apportioned street betterments due in 1938 23,893 47
Apportioned street betterments due in 1939 20,562 74
Apportioned street betterments due in 1940 13,404 09
Apportioned street betterments due in 1941 9,719 57
Apportioned street betterments due in 1942 3,721, 10
Apportioned street betterments due in 1943 2,941 38
Apportioned street betterments due in 1944 2,746 96
Apportioned street betterments due in 1945 2,746 96
Apportioned street betterments due in 1946 241 73
Apportioned sidewalk betterments not due
Apportioned sidewalk better'ts due in 1937 $5,586 08
Apportioned sidewalk better'ts due in 1938 3,362 51
Apportioned sidewalk better'ts due in 1939 2,398 26
Apportioned sidewalk better'ts due in 1940
1,645 03
Apportioned sidewalk better'ts due in 1941 451 90
Apportioned sidewalk better'ts due in 1942 29 06
$13,472 84
38
CITY OF QUINCY
TRUST FUNDS December 31, 1936
Cash and Securities in Custody of Treasurer
$291,965 63
Children's Ward Fund
$751 07
Student Nurses' Loan Fund
134 03
Post Graduate Nurses' Fund
112 56
Hospital Trust Fund
11,613 25
D. L. Jewell Hospital Fund
5,000 00
C. C. Johnson Turkey Fund
2,000 00
Rock Island Fund
1,000 00
Wilson Tucker Fund
400 00
C. E. French Fund
3,000 00
C. C. Johnson Fund
150 00
George Pierce Fund
200 00
Alex. Nugent Fund
125 00
Wm. S. Williams Fund
400 00
Alfred G. Dell Fund
200 00
Perpetual Care Fund
214,306 34
Retirement Fund
52,573 38
Cash and Securities in Custody of Trustees $757,220 56
Adams Temple & School Fund
$369,670 24
Woodward Fund
358,080 09
Crane Memorial Fund
20,052 78
Ellery Channing Butler Fund
1,000 28
C. C. Johnson Fund
2,004 04
George W. Morton Fund
5,281 95
Alice G. White Fund
1,119 94
Crane Special Fund
11 24
Total
$1,049,186 19
39
AUDITOR'S REPORT
TAX COMMITMENTS Summary of Transactions During 1936
Due January 1
Charges
Sold City
Abated
Collections
Due December 31
1921
$10 92
$10 92
1928
$54 94
54 94
$422 45
$8 00
1930
1,758 60
89 60
$28 00
1,058 10
487 10
275 00
1931
11,930 30
133 21
1,429 89
3,645 33
1,310 60
5,677 69
1932
20,321 50
227 50
1,342 49
4,208 26
1,513 49
13,484 76
1933
26,172 09
929 01
2,989 60
2,053 31
8,731 29
8,326 90
1934
45,726 55
17,239 59
22,105 07
8,686 52
22,246 15
9,928 40
1935
1,655,963 34
6,945 84
360,370 59
21,319 18
1,262,584 33
18,635 08
Excise
1929
1,060 92
1,014 67
46 25
1930
2,707 96
2 97
2,654 67
2 97
53 29
1931
8,859 41
27 60
8,609 31
22 04
255 66
1932
11,583 52
8 48
3,679 03
4,083 95
4,633 08
1934
8,934 67
1,869 90
2,222 50
4,842 27
1935
28,649 88
1,263 94
2,366 94
22,730 86
4,816 02
Old Age
1931
389 00
388 00
1 00
1932
2,286 00
691 00
22 00
1,573 00
1933
3,623 00
4 00
2,045 00
505 00
1,077 00
$1,843,277 42
$26,882 66|$388,265 64
$72,077 86 $1,327,088 16
$82,728 42
1936 Commitments
Polls
48,938 00
78 00
1,476 00
40,518 00
7,022 00
Personal
384,920 76
333 98
*64,922 76
286,984 63
33,347 35
Real Estate 3,786,975 36
1,845 52
3,919 44
30,424 12
2,386,567 35
1,367,909 97
Motor Excise 130,362 62
1,597 90
5,194 81
107,800 22
18,965 49
$4,351,196 74
$3,855 40
$3,919 44|$102,017 69 $2,821,870 20 $1,427,244 81
Grand
Total
$6,194,474 16 $30,738 06 $392,185 08 $174,095 55 $4,148,958 36 $1,509,973 23
*Includes $60,954.60 machinery abatements pursuant to Chap. 362 Acts of 1936.
2,285 07
202 43
9,096 02
1933
12,387 58
1929
868 16
437 71
40
CITY OF QUINCY
ESTIMATED AND ACTUAL RECEIPTS 1936
Estimated
Actual
Income Tax.
$215,451 16
$258,797 83
Corporation Tax.
71,822 41
113,728 27
Race Track .
7,384 00
8,912 34
Motor Vehicle Excise.
115,543 00
135,261 95
Licenses
78,519 00
77,782 25
Fines
4,921 00
2,276 03
Special Assessments.
63,030 00
60,869 48
General Government
15,634 00
16,630 92
Protection .
3,890 00
4,517 26
Health and Sanitation
37,327 00
37,658 34
Highways
536 00
301 03
Charities .
125,651 00
131,194 93
Old Age Assistance .
45,012 00
61,219 21
Old Age Assistance Chap. 438-1936
29,308 50
Soldiers' Benefits
4,887 00
4,289 50
Schools.
37,034 00
33,695 94
Library.
2,798 00
2,930 07
Hospital
177,490 00
194,913 38
Cemeteries .
22,586 00
19,744 75
Interest on Taxes and Assessments
100,511 00
97,724 69
Excess Interest on Tax Title Loans
28,554 60
28,554 60
Miscellaneous Items .
3,483 00
4,846 46
Total Receipts
$1,162,064 17
$1,325,157 73
Assessors' Estimate.
1,162,064 17
163,093 56
Less Special Machinery Overlay
pursuant to Chap. 362-1936
60,954 60
Surplus
$102,138 96
41
AUDITOR'S REPORT
WATER RATES 1936
$406,490 09
Collections
$335,230 91
Abatements & Adjustments
1,522 43
Water Liens to Tax Collector
6,098 36
342,851 70
Outstanding December 31, 1936
$63,638 39
WATER RATES 1935 AND PRIOR
Outstanding January 1, 1936
$45,274 62
Adjustments
11 76
$45,286 38
Collections
$27,701 69
Abatements & Adjustments
1,395 84
Water Liens to Tax Collector
13,121 69
42,219 22
Outstanding December 31, 1936
$3,067 16
WATER SERVICE CONNECTIONS
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