Inaugural address of the mayor, with the annual report of the officers of the city of Quincy for the year 1936, Part 3

Author: Quincy (Mass.)
Publication date: 1936
Publisher:
Number of Pages: 490


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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