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 4
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Outstanding January 1, 1936
$5,846 55
Commitments
9,329 12
Adjustments
39 76
Collections
$9,511 42
Abatements
1,481 82
Water Liens to Tax Collector
344 84
11,338 08
Outstanding December 31, 1936
$3,877 35
WATER LIENS
Outstanding January 1, 1936
$43,667 11
Commitments
19,908 72
Adjustments
419 38
$63,995 21
Collections
$17,262 65
Abatements
703 26
Tax Titles
537 12
18,503 03
WATER RESERVE
Surplus January 1, 1936
$7,726 48
Water Collections
$372,444 02
Water Lien Collections
17,262 65
Water Liens on Tax Titles
537 12
Balance 1936 Appropriations
961 57
391,205 36
Appropriations
$223,928 50
State Assessments
198,689 47
Adjustments
395 46
423,013 43
Deficit December 31, 1936
$24,081 59
$15,215 43
$45,492 18
$398,931 84
Commitments
42
TABULATION SHOWING STATE, COUNTY AND OTHER ASSESSMENTS
Year
State
County
Metropolitan Water
Metropolitan Sewer
Parks
Charles River Basin
Neponset Bridge
County Hospital
1922
$125,520 00
$93,724 86
$81,551 29
$58,561 94
$35,700 19
$5,914 19
$3,560 97
$28,258 15
1923
125,520 00
96,075 35
84,261 23
61,789 61
39,288 77
6,523 85
7,878 79
26,783 05
1924
104,600 00
101,059 48
86,652 47
65,683 75
41,132 56
6,380 84
11,292 90
21,913 41
1925
155,280 00
122,630 78
90,308 38
73,288 28
51,813 41
8,760 86
20,376 45
17,043 76
1926
155,280 00
129,498 10
110,385 95
77,273 97
61,368 45
8,792 39
14,290 36
21,463 82
1927
155,280 00
129,498 10
120,982 81
78,328 20
62,829 77
8,489 91
11,739 47
21,463 82
1928.
144,330 00
141,500 00
138,989 19
87,701 71
60,995 00
11,825 48
13,366 28
25,488 28
1929.
149,430 00
147,590 03
146,995 01
81,599 19
72,379 94
12,926 73
11,135 47
34,465 99
1930 .
123,060 00
152,168 15
169,679 19
84,757 58
96,917 03
16,254 72
9,886 55
35,736 68
1931.
131,850 00
160,561 39
179,349 95
95,551 31
91,545 29
16,814 57
10,502 64
33,110 89
1932.
175,792 50
150,042 75
181,774 44
94,090 19
80,075 28
10,773 12
10,190 29
35,986 89
1933
162,270 00
130,646 71
186,941 74
106,393 10
57,478 81
10,620 43
8,231 47
33,719 25
1934.
180,300 00
122,176 38
204,085 64
110,961 13
60,133 02
11,013 49
6,392 64
27,501 68
1935.
184,600 00
128,759 18
205,952 68
105,377 83
61,699 63
12,241 19
6,207 35
32,074 90
1936
184,600 00
110,201 16
198,689 47
100,194 86
59,189 85
12,294 68
6,022 06
37,292 87
CITY OF QUINCY
AUDITOR'S REPORT
43
MUNICIPAL FINANCES ILLUSTRATED
The following diagram shows how the revenue of 1936, derived from taxes and ordinary receipts excluding all money borrowed, is expended.
PROTECTION OF LIFE AND PROPERTY=11.6 CENTS
GENERAL GOVERNMENT
3.8CENTS
HEALTH AND SANITATION
5.8 CENTS
CHARITIES=9.4 CENTS
HOSPITAL- 70 CENTS
UNCLASSIFIED=2.6 CENTS
STATE 7.1 CENTS
COUNTY= 2.7CENTS
Giving effect to receipts applicable to the various departments, based upon the schedules of the State Division of Accounts, and allocating debt service on buildings used for school and hospital purposes, the following table shows the percentage of each dollar raised by taxation as compared with the percentages listed above:
Adjusted Unadjusted
General Government
4.1
3.8
Protection of Life & Property
13.3
11.6
Health & Sanitation
5.9
5.8
Highway
10.1
8.8
Charities
5.5
9.4
Schools
32.8
22.7
Library
1.3
1.2
Hospital
5.0
7.0
Unclassified
2.5
2.6
Debt & Interest
8.1
17.3
State
8.2
7.1
County
3.2
2.7
100.
100.
HIGHWAY=8.8CENTS
CITY
OF QUINCY
LIBRARY=1.2CENTS
$
ONE DOLLAR
SCHOOLS=22.7 CENTS
17.3 CENTS
OTHER ILO CENTS
SCHOOL 6.3 CENTS
# ~1936%
DEBT AND INTEREST
General Government includes offices in City Hall. Protection of Persons and Property includes Police, Fire, Gypsy Moth, Sealer of Weights, Building Inspector and Wire Inspector. Highway includes Maintenance, Repairs and Street Lighting. Charities includes ex- penditures of the City in connection with Federal Relief Projects. Unclassified includes Parks, Cemeteries and Miscellaneous. State includes Metropolitan Assessments.
GEORGE H. BONSALL, Auditor of Accounts.
44
AUDITOR'S AND TREASURER'S STATEMENT FOR DECEMBER, 1936
Purpose
Bal. 1935
Appro.
Receipts
Add Transf.
Less Transf.
Total Credits
Expended
Balance
GENERAL GOVERNMENT
Legislative
Salaries .
$6,100 00
$750 00
1,650 00
$6,100 00 932 17
$717 83
Executive
Salaries .
9,573 33
9,573 33
9,310 84
262 49
Expense .
1,700 00
525 00
2,225 00
2,117 02
107 98
Auditor of Accounts
Salaries .
8,300 00
8,300 00
8,300 00 1,599 27
73
Treasurer
Salaries .
12,896 00
12,775 77
120 23
Expense. .
5,018 00
4,972 84
45 16
Management of Property
2,000 00
1,505 94
494 06
Collector
Salaries.
16,324 00 12,109 00
16,324 00
16,322 53
1 47
Expense.
12,109 00
11,331 20
777 80
Assessors
Salaries.
22,492 00
22,492 00
21,959 84 4,994 79
380 21
LAw
Salaries ..
3,300 00
3,300 00
3,000 00
300 00
Expense .
2,200 00
10,000 00
12,200 00
9,851 31
2,348 69
Awards and Claims
3,500 00
3,500 00
3,487 49
12 51
City Clerk
Salaries.
8,182 00
8,182 00
8,182 00
Expense.
350 00
350 00
213 68
136 32
Vital Statistics.
600 00
600 00
521 01
78 99
Dog Officer
1,000 00
1,000 00
894 64
105 36
City Messenger-Salary
800 00
800 00
800 00
CITY OF QUINCY
532 16
Expense .
5,975 00
$600 00
5,375 00
Expense .
1,500 00
100 00
1,600 00
12,896 00 5,018 00 2,000 00
$6,100 00
Expense.
900 00
City Engineer
Salaries and Wages.
22,000 00 1,850 00
150 00
150 00
22,000 00 2,000 00 1,550 00 1,000 00
21,128 34 1,982 03 1,472 25 997 75
17 97
Auto Maintenance and Operation Equipment.
1,000 00
2 25
Board of Registrars
Salaries .
2,075 00
2,075 00
2,075 00 8,608 50
1 50
Expense .
8,500 00
875 00
9,375 00
8,804 91
570 09
Board of Survey
100 00
100 00
66 09
33 91
Planning Board.
100 00
100 00
67 00
33 00
License Commission
303 00
100 00
403 00
380 56
22 44
Retirement Board
1,046 67
1,046 67
1,046 67
1,625 00
1,625 00
1,466 11
158 89
Civil Service Registration
250 00
250 00
240 70
9 30
Municipal Buildings
Salaries and Wages.
7,562 00
1,000 00
6,562 00
6,534 53
27 47
Maintenance and Operation .
17,350 00
3,000 00
20,350 00
20,094 55
255 45
Protection of Persons and Property
Police Department
Salaries .
266.880 00
2,800 00
5,300 00
264,380 00
263,841 36
538 64
Pensions.
8,850 00
8,850 00
8,823 10
26 90
Station and General Expense .
6,350 00
2,500 00
425 00
8,425 00
8,315 63
109 37
Prisoners' Expense
500 00
500 00
499 45
55
Auto Maintenance
6,100 00
2,425 00
8,525 00
8,373 98
151 02
Traffic. .
200 00
200 00
100 00
44 77
55 23
Travelling Expense
175 00
175 00
171 28
3 72
New Equipment.
2,750 00
1,000 00
3,750 00
3,749 92
08
Fire Department
Salaries .
239,650 00
679 08
238,970 92
238,957 97
12 95
Pensions. .
13,600 10
479 08
14,079 18
14,079 18
Station and General Expense .
10,550 00
200 00
10,750 00
10,747 83
2 17
Equipment, Maint. and Operation .
6,900 00
1,000 00
7,900 00
7,859 14
40 86
Hose .
2,000 00
2,000 00
2,000 00
New Equipment
30,000 00
30,000 00
29,999 12
88
Election Officers .
9,315 00
270 00
975 00
8,610 00
871 66
Expense .
1,700 00
77 75
45
AUDITOR'S REPORT
Liquor Law .
100 00
Salary .. Expense
46
AUDITOR'S AND TREASURER'S STATEMENT FOR DECEMBER, 1936-Continued
Purpose
Bal. 1935
Appro.
Receipts
Add Transf.
Less Transf.
Total Credits
Expended
Balance
Fire and Police Signals
Salaries and Wages.
11,000 00
11,000 00
10,907 40
92 60
Power and Light.
2,250 00
200 00
2,050 00
2,034 79
15 21
Maintenance and Operation
9,250 00
500 00
9,750 00
9,704 41
45 59
Auto Maintenance & Operation.
300 00
300 00
296 89
3 11
Sealer of Weights and Measures
Salaries .
4,450 00
4,450 00
4,450 00
Expense .
150 00
150 00
148 69
1 31
Auto Maintenance & Operation.
250 00
250 00
236 42
13 58
New Equipment .
625 00
625 00
624 50
50
Inspector of Wires
Salaries .
3,200 00
3,200 00
3,200 00
Expense . .
325 00
219 00
210 05
8 95
Auto Maintenance & Operation
253 00
106 00
359 00
358 56
44
Inspector of Buildings
Salaries ..
3,900 00
3,900 00
3,900 00
69
Auto Maintenance .
200 00
200 00
198 34
1 66
Gypsy Moth
Salaries and Wages.
15,000 00
635 00
14,365 00
13,032 36
1,332 64
Supplies and Expense
1,400 00
250 00
1,650 00
1,571 88
78 12
Equipment, Maint. and Operation.
900 00
100 00
1,000 00
988 14
11 86
New Equipment .
500 00
500 00
465 00
35 00
HEALTH AND SANITATION
Board of Health
7,350 00
175 00
7,175 00
6,907 48
267 52
Pensions
800 00
800 00
800 00
Expense .
1,730 00
1,730 00
1,729 86
14
Auto Maintenance and Operation.
1,739 00
125 00
1,864 00
1,860 95
3 05
Contagious Diseases.
46,600 00
3,800 00
42,800 00
42,549 62
250 38
Undernourished Children.
2,000 00
2,000 00
2,000 00
Dispensary-Salaries and Wages
4,850 00
4,850 00
4,850 00
Expense .
350 00
50 00
400 00
399 19
81
Child Welfare-Salaries.
4,900 00
4,900 00
4,900 00
CITY OF QUINCY
Expense
305 00
305 00
304 31
106 00
Administration-Salaries.
.
13 73
Dental Clinic.
5,500 00
5,500 00
1,889 44
Health Division-Salaries.
7,291 75
7,291 75
50 11
Expense .
65 00
65 00
1 05
New Equipment ..
1,050 00
1,050 00
37 60
Public Works Administration
Salaries .
17,946 67
17,946 67
17,251 00
695 67
Expense-Highway.
500 00
500 00
491 12
8 88
Sewer . .
300 00
300 00
298 26
1 74
Garage and Stable Expense.
10,500 00
10,500 00
10,486 02
13 98
Sanitary Division
Salaries and Wages
99,340 00
9,000 00
108,340 00
108,270 80
69 20
New Equipment.
1,200 00
1,200 00
1,119 31
80 69
Pensions .
4,616 50
860 00
5,476 50
5,451 50
25 00
Equipment Rental
3,000 00
700 00
2,300 00
2,199 00
101 00
Equipment, Maintenance.
11,000 00
11,000 00
10,975 79
24 21
Care of Dumps.
8,000 00
1,800 00
6,200 00
6,185 50
14 50
Sewer Division
Maintenance
12,500 00
12,500 00
12,499 84
16
Pensions .
4,588 00
4,588 00
4,368 00
220 00
Equipment, Maintenance.
1,200 00
1,200 00
813 73
386 27
Particular Sewers.
15,000 00
15,000 00
14,821 94
178 06
Sewer Construction .
33,500 00
5,500 00
57,216 00
55,996 79
1,219 21
*Sewer Construction, P.W.A., No. 2051
415 15
28,000 00
28,415 15
27,960 61
454 54
*Sewer Construction, P.W.A., No. 1985
10 00
10 00
10 00
*U. S. Grant Project No. 1985 and No. 2051.
9,563 12
8,865 90
18,429 02
15,000 00
3,429 02
HIGHWAYS
Highways
General Maintenance
843 51
260,000 00
260,843 51
260,390 55
452 96
Street Construction
33,500 00
33,500 00
110,000 00
109,957 41
42 59
Pensions. . .
13,370 36
430 00
13,800 36
12,585 35
1,215 01
Miscellaneous Activities.
23,000 00
23,000 00
22,606 36
393 64
New Equipment
4,000 00
4,000 00
2,956 38
1,043 62
W. P. A. Administration . Salaries. .
16,432 68
16,432 68
16,381 97
50 71
Expense .
469 74
1,000 00
1,469 74
706 15
763 59
W. P. A. Account ..
3 65
50,000 00
107,500 00
157,503 65
157,395 99
107 66
Land Takings, Hilda and Adams Sts .. .
508 50
.
* Non-Revenue Accounts.
AUDITOR'S REPORT
47
508 50
508 50
.
. .
Expense .
1,725 00
1,725 00
1,711 27 3,610 56 7,241 64 63 95 1,012 40
. .
....
..
110,000 00
Street Lighting.
..
.
.
50,000 00
33,500 00
*Sewer Construction .
1,716 00
AUDITOR'S AND TREASURER'S STATEMENT FOR DECEMBER, 1936-Continued
Purpose
Bal. 1935
Appro.
Receipts
Add Transf.
Less Transf.
Total Credits
Expended
Balance
Land Damages, School Street
50 00
Land Damage, Sachem Street.
678 89
678 89
678 89
Construction Sea Wall
-1,665 74
1,519 46
-146 28
-146 28
New Streets, 1926.
23 76
23 76
23 76
New Streets, 1930.
158 44
158 44
158 44
122 87
122 87
122 87
*Accepted Streets, 1927.
2,168 69
2,168 69
2,168 69
*Accepted Streets, 1928.
1,424 11
1,424 11
16 00
1,408 11
*Accepted Streets, 1929.
18 13
18 13
18 13
*Accepted Streets, 1930.
2,002 93
2,002 93
18 60
1,984 33
*Accepted Streets, 1931
619 48
619 48
541 39
78 09
*Accepted Streets, 1932
10 47
10 47
10 47
*Street Construction .
36,172 25
200,000 00
33,500 00
269,672 25
264,773 68
4,898 57
*Land Taking, Streets.
396 69
52 93
449 62
449 62
*Sidewalk Construction ..
420 89
420 89
45 62
375 27
Sidewalk Project (Chap. 464).
26,466 50
26,466 50
26,466 50
CHARITY AND SOLDIERS' BENEFITS
Public Welfare
Salaries.
28,830 00
28,830 00
28,393 42
436 58
Expense
5,000 00
5,000 00
4,982 05
17 95
Auto Maintenance and Operation
3,500 00
3,500 00
3,494 61
5 39
Equipment.
1,200 00
1,200 00
1,180 25
19 75
City Home.
9,200 00
9,200 00
8,445 80
754 20
Mothers' Aid
30,000 00
27,000 00
57,002 82
56,960 01
42 81
Outside Aid .
12 09
150,000 00
89,000 00
239,012 09
239,011 97
12
Old Age Assistance Adm .- Fed. Grant.
1,480 73
100,000 00
19,000 00
175,264 57
171,904 32
3,360 25
Deficit Bills
9,500 00
1,000 00
8,500 00
7,256 75
1,243 25
Soldiers' Benefits
State Aid .
3,000 00
500 00
2,500 00
2,020 00
480 00
Soldiers' Relief
13 96
40,000 00
6,000 00
46,013 96
45,982 01
31 95
Military Aid
3,000 00
500 00
3,500 00
3,440 00
60 00
Soldiers' Burials
200 00
100 00
300 00
283 67
16 33
.
.
. . .
....
.
..
.
.
* Non-Revenue Accounts.
43
CITY OF QUINCY
1,826 10
990 01
836 09
Old Age Assistance.
2 82
1,826 10 54,783 84
500 00
500 00
500 00
50 00
50 00
Palmer Street
*Accepted Streets, 1926
EDUCATION
1,209,875 00
1,209,875 00
1,209,855 54
19 46
Instruction
979,799 02
General Control .
19,215 47
Co-ordinate and Auxiliary Agencies
23,730 50
Plant Maintenance and Operation .
129,909 08
Equipment.
5,206 18
Miscellaneous .
2,692 17
Evening School.
2,213 39
Americanization
2,322 15
Trade School
42,037 29
Co-operative Work
640 15
Out of City Industrial
2,090 14
125 00
124 68
32
2,244 91
1,871 90
4,116 81 979 44
979 44
*Quincy School Addition
7 00
7 00
Library
Salaries and Wages.
38,252 00
3,619 82
100 00
41,971 82
41,943 05
28 77
Expense.
12,500 00
12,400 00
12,396 49
3 51
Books and Periodicals
10,000 00
10,000 00
9,999 59
41
Auto Maintenance and Operation
425 00
425 00
356 08
68 92
Parks
Administration .
Salaries .
900 00
900 00
900 00
Expense .
100 00
100 00
85 20
14 80
Maintenance .
19,920 00
19,920 00
19,803 51
116 49
Supplies and Expense
3,000 00
3,500 00
3,499 58
42
Equipment Maintenance.
1,425 00
1,425 00
1,415 18
9 82
Fore River Club.
2,460 00
2,460 00
2,459 97
03
New Equipment . .
1,175 00
1,175 00
1,175 00
ENTERPRISES
Hospital
Salaries and Wages
219,000 00
219,000 00
218,895 98
104 02
Expense .
142,400 00
146,900 00
146,888 34
11 66
Pensions .
2,008 00
2,008 00
2,008 00
New Equipment. .
5,000 00
5,000 00
4,961 39
38 61
Travel out of State
150 00
150 00
126 47
23 53
*Operating Building
8 00
8 00
*Children's Ward .
137 59
137 59
137 59
.
.
. .
.. .
..
Travel Outside State .
125 00
Smith-Hughes Fund .
2,244 91
1,871 90
Geo. Ellsey Fund
979 44
AUDITOR'S REPORT
....
.
.
.
...
4,500 00
.. .
.
* Non-Revenue Accounts.
49
Schools.
Salaries and Wages .
500 00
100 00
Continuation School
AUDITOR'S AND TREASURER'S STATEMENT FOR DECEMBER, 1936-Continued
Purpose
Bal. 1935
Appro.
Receipts
Add Transf.
Less Transf.
Total Credits
Expended
Balance
Cemetery
Salaries. .
27,900 00
7,460 70
35,360 70
35,060 50
300 20
Supplies and Expense.
2,000 00
12 11
2,012 11
2,010 13
1 98
Equip., Maint. and Operation.
750 00
12 11
737 89
724 39
13 50
UNCLASSIFIED
Cash Variation .
865 96
865 96
865 96
Celebrations.
2,125 00
2,125 00
2,013 43
111 57
Veterans' Rent ..
3,575 00
3,575 00
3,055 09
519 91
Harbor Master.
425 00
425 00
425 00
Annual Report.
1,800 00
341 07
2,141 07
2,141 07
Workmen's Compensation
17,000 00
1,259 47
15,740 53
12,740 87
2,999 66
Annuities .
3,788 40
3,788 40
3,788 40
Rifle Range
2,500 00
23 51
2,523 51
2,523 51
Mosquito Control.
2,750 00
2,750 00
2,750 00
Parking Rent. .
2,400 00
2,400 00
2,225 00
175 00
Boiler Insurance.
1,600 00
1,600 00
1,571 84
28 16
Dredging Bay.
3,500 00
3,500 00
3,500 00
19 82
Reseeding Clam Area
96 00
96 00
96 00
Special Council Refund 1930.
481 61
481 61
481 61
Public Buildings 1935
15,396 91
2,396 91
1,080 37
1,316 54
*North High School
165,189 50
178,204 50
168,656 44
9,548 06
*Hospital Administration Building. *Municipal Garage.
90,000 00
141,125 00
114,285 33
26,839 67
*Land ..
182 51
52 93
25 00
104 58
*Grade Crossing-Water St ..
8,806 17
8,385 59
Municipal Relief
260,000 00
248,500 00
8,806 17 11,500 00
11,500 00
Totals.
$457,637 27
$4,309,006 28
$155,112 02
$381,666 36
$348,184 59
$4,955,237 34
$4,841,135 37
$114,101 97
Total Appropriations
$48,245 72
$3,799,006 28
$63,621 12
$301,598 43
$99,616 66
$4,112,854 89
$4,106,410 02
$6,444 87
Total Loans.
409,391 55
510,000 00
91,490 90
80,067 93
248,567 93
842,382 45
734,725 35
107,657 10
Totals.
$457,637 27
$4,309,006 28
$155,112 02
$381,666 36
$348,184 59
$4,955,237 34
$4,841,135 37
$114,101 97
.
.
.
..
.
.
. .
.
.
.
.
.
.
..
..
.
.
..
.
. .
.
.
.
* Non-Revenue Accounts.
50
CITY OF QUINCY
.
.
.
..
60,000 00
31,500 00
91,500 00 129 58
86,985 31
4,514 69
Quincy Retirement System-Pensions
13,794 00
13,794 00
13,794 00
Deficit Bills.
22,049 82
600 00
22,649 82
22,630 00
13,000 00
13,015 00
51,125 00
420 58
.
.....
...
Water Department
21,900 00
1,000 00
20,900 00
20,731 96
168 04
Pensions . .
3,046 00
3,046 00
3,038 25
7 75
Office Expense
2,500 00
200 00
2,300 00
2,100 20
199 80
General Maintenance
34,000 00
1,000 00
35,000 00
34,992 89
7 11
Equip, Maint. and Operation.
3,200 00
3,200 00
2,862 76
337 24
Meters ..
1,500 00
200 00
1,700 00
1,660 89
39 11
New Equipment.
2,500 00
2,500 00
35,797 48
202 52
Construction .
67,227 14
30,000 00
10,000 00
107,227 14
100,594 34
6,632 80
Bonds and Interest
General Debt
756,500 00
756,500 00
756,500 00
Water Debt.
96,000 00
437 85
158,009 09
156,979 29
1,029 80
Water Interest.
13,282 50
11 67
13,294 17
12,962 50
331 67
Temporary Loan Interest .
35,000 00
4,066 64
4,066 64
1,869 22
2,197 42
Agency and Trust Accounts
Perpetual Care Income.
7,599 41
7,175 70
423 71
423 71
90 68
C. C. Johnson Income.
4 53
4 53
4 53
Rock Island Income
35 44
30 23
65 67
65 67
Williams Trust Income.
156 45
12 09
168 54
16 00
152 54
George Pierce Income.
52 88
6 05
58 93
10 00
48 93
Nugent Income.
131 26
12 09
143 35
13 00
130 35
Hospital Trust Income .
7,028 81
278 47
7,307 28
7,307 28
C. C. Johnson Turkey Fund Income ..
60 45
60 45
60 45
D. F. Jewell Hosp. Fund Income.
1,435 00
151 13
1,586 13
1,586 13
Alfred Dell Income.
4 77
6 05
10 82
7 50
3 32
Retirement Income.
1,664 00
1,664 00
1,664 00
Special Hospital Fund
74 96
74 96
74 96
Hospital Students Fund Refunds.
6,536 32
6,536 32
6,536 32
Departmental Refunds.
30 00
267 25
297 25
285 25
12 00
Perpctual Care Funds.
9,535 00
9,535 00
9,535 00
Trusteed Accounts .
3,307 56
397 33
3,704 89
257 43
3,447 46
Cesspool and Vault Deposits
157 00
1,652 00
1,809 00
1,460 00
349 00
Particular Sewers.
100 00
9,560 00
9,660 00
8,569 00
1,091 00
Water Deposits.
120 00
1,950 00
2,070 00
1,850 00
220 00
Hospital Deposits
340 00
190 00
530 00
70 00
460 00
Retirement Board.
14,295 71
14,295 71
14,295 71
Totals.
$538,111 95
$5,511,657 65
$214,005 70
$392,866 36
$392,866 36
$6,263,775 30
$6,120,695 32
$143,079 98
Total Revenue.
$91,493 26
$5,231,657 65
$122,514 80
$302,798 43
$392,798 43
$5,355,665 71
$5,285,375 63
$70,290 08
Total Non-Revenue.
446,618 69
280,000 00
91,490 90
90,067 93
67 93
908,109 59
835,319 69
72,789 90
Totals. .
$538,111 95
$5,511,657 65
$214,005 70
$392,866 36
$392,866 36
$6,263,775 30
$6,120,695 32
$143,079 98
.
.
Service Connections
36,000 00
36,000 00
10,000 00
10,000 00
96,000 00
96,000 00
General Interest.
348 37
157,222 87
26,306 07
8,693 93
8,332 85
361 08
Premium on Bonds
.
C. E. French Income.
90 68
90 68
.
.
.
3 77
3 77
3 77
Wilson Tucker Income.
.
.
.
.
*Non-Revenue Accounts.
AUDITOR'S REPORT
51
Salaries .
.
.
.
.
2,500 00
*Construction .
Tax Refunds.
52
CITY OF QUINCY
REVENUE ACCOUNTS
Cash on hand January 1, 1936 $ 209,516 13
Receipts
Temporary Loans
$3,275,000 00 380,000 00
Tax Title Loans
Receipts
6,554,748 13
10,209,748 13
$10,419,264 26
Payments
Temporary Loans
$3,500,000 00
Tax Title Loans
443,000 00
No. Co. Hospital
37,292 87
No. Co. Tax
110,201 16
State of Mass.
575,084 30
Other Expenses
5,317,856 80
Transfer
90,000 00
10,073,435 13
$ 345,829 13
NON REVENUE ACCOUNTS
Cash on hand Jan. 1, 1936
$236,618 69
Receipts
641,490 90
Transfer
90,000 00
$968,109 59
Payments
895,319 69
$ 72,789 90
Summary
Revenue Cash on hand
$345,829 13
Non-Revenue Cash on hand
72,789 90
Total
$418,619 03
GEORGE H. BONSALL, Auditor of Accounts.
December 31, 1936.
AUDITOR'S REPORT
53
SCHEDULE OF RECEIPTS
GENERAL REVENUE
Current Year:
Poll
$40,518 00
Personal
286,984 63
Real Estate
2,386,567 35
Motor Vehicle Excise Tax
107,800 28
$2,821,870 26
Previous Years:
Poll
$8,864 39
Personal
53,214 93
Real Estate
1,235,186 42
Tax Titles Redeemed
441,802 17
Motor Vehicle Excise Tax
29,264 75
$1,768,332 66
Old Age Assistance Tax:
Tax Collections
$528 00
From State:
Corporation tax, gas, electric light and
water
$6,094 26
Corporation tax business
107,634 01
Race Track
8,912 34
Income Tax 1936:
State Valuation
209,908 92
Education
48,888 91
Licenses:
Junk
$190 00
Amusements
3,023 00
Victuallers
725 00
Express and Carriage
11 00
Pool and Billiards
370 00
Auctioneer
24 00
Hawkers and Peddlers
455 00
Motor Sales
1,005 00
Gasoline Renewals
2,892 75
Lord's Day
760 00
Pawn Broker
60 00
Old Gold (Dealers)
50 00
Hunters' License Fees
369 25
Dog License Fees
512 00
Milk
213 00
Dog Licenses
5,273 00
Ice Cream
228 50
Beverages
160 00
Pasteurization
84 00
Dental Clinic
481 20
Undertaker
60 00
Massage
25 00
Liquor and Drugs
66,466 00
All Others
. 53 00
$381,438 44
$83,490 70
7
54
CITY OF QUINCY
Permits:
Marriages
$1,560 00 869 00
Plumbing
$2,429 00
FINES AND FORFEITS
East Norfolk District Court $2,123 03
Dedham Court
153 00
$2,276 03
GRANTS AND GIFTS
From State:
Industrial School (Smith-Hughes)
$1,871 90
Americanization
986 85
Quincy Trade School
13,296 60
State Old Age Chap. 438, 1936
29,308 50
$45,463 85
From County :
Dog Licenses
$3,619 82
From Federal Government:
Drain Project 1985
$8,865 90
Hospital Project 1111
50,750 00
Garage Project 1112
31,500 00
$91,115 90
COMMERCIAL REVENUE
Gypsy Moth
$930 99
Street Betterments
35,139 93
Sidewalks
7,399 93
Main Sewers
17,398 63
$60,869 48
DEPARTMENTAL REVENUE
City Treasurer, costs
$3,588 00
Tax Collector, costs
9,952 77
City Clerk, recording and special
1,809 25
Tax Collector, cash advancement
$200 00
PROTECTION OF PERSONS AND PROPERTY
Police Department :
Care of Prisoners
$142 50
Fire Department:
Recharging chemicals
$65 20
Sale old materials
32 70
False alarms
50 00
Fire Permits . 24 00
Alcohol Permits
8 50
....
Damage to Boxes
41 35
$15,350 02
. . . . ... $221 75
55
AUDITOR'S REPORT
State:
Gas tax refunds
$26 49
Sealer of Weights:
Fees
$1,095 93
Building Inspector : Fees $1,626 50
Engineering:
Fees:
$390 00
Wire Inspector:
Fees
$1,040 58
HEALTH AND SANITATION
Health:
Contagious
$1,791 25
Tuberculosis
17,018 50
$18,809 75
Sanitation :
Particular Sewers-labor and materials
$8,648 77
Refuse and Garbage:
Scavenger
$1,576 62
Garbage
7,060 00
$8,636 62
HIGHWAYS
Sea Wall
$1,519 46
Bridge Repairs
51 15
Trench Repairs
121 38
Rent
90 00
Miscellaneous (Junk, etc.)
38 50
$1,820 49
CHARITIES
City Home:
Sale of Produce
$365 86
Reimbursement from Individuals
225 34
$591 20
Reimbursements for Relief:
Outside Aid:
Individuals
$938 82
Cities and Towns
55,904 36
State
69,288 84
$126,132 02
Mothers' Aid:
State
$3,599 15
City and Towns
997 90
$4,597 05
Old Age Assistance:
Cities and Towns
$8,413 77
State
52,805 44
Federal Administration
1,826 10
Federal Assistance
54,783 84
$117,829 15
56
CITY OF QUINCE
Soldiers' Benefits:
State Aid
$2,655 00
Military Aid
1,547 50
Soldiers' Burials
87 00
$4,289 50
HOSPITAL
Receipts from Patients
$190,913 38
Endowment Fund
4,000 00
$194,913 38
EDUCATION
School Department:
State Tuition
$3,240 35
Other Tuition
232 82
Sale of Books and Supplies, Breakage
723 48
Rents
1,618 00
Miscellaneous
13 07
$5,827 72
Industrial School:
Industrial Work
$1,082 05
Industrial School Revenue:
Receipts from Cities and Towns
12,502 72
$13,584 77
LIBRARY
Fines
$2,829 58
Miscellaneous
100 49
$2,930 07
UNCLASSIFIED
Seal Bounty
$88 00
Fore River Club Rents
218 00
Cash Variations
865 96
Refund Tax Title Loan Interest
28,554 60
Project No. 1111 Deposit
375 00
Sale City Property
2,113 05
Rent City Property
40 00
Sale Chair
1 00
Unidentified Receipts
24 42
$32,280 03
WATER SERVICE ENTERPRISE
Water Department:
Water rates 1936
$335,230 91
Previous Years
27,701 69
Water service connections
9,511 42
Water Liens
17.262 65
$389,706 67
57
AUDITOR'S REPORT
CEMETERIES
Burial Department:
Sale of lots and graves
$7,790 00
Care of lots and graves
1,874 00
Opening graves
7,854 00
Foundations and grading
2,226 75
$19,744 75
INTEREST
Interest on taxes
$50,127 39
Interest on tax titles
33,623 49
Interest on assessments
14,003 13
$97,754 01
Interest on Trust Funds:
Perpetual Care Fund
$7,599 41
George Pierce Fund
6 05
G. F. French Fund
90 68
Williams Fund
12 09
Rock Island Fund
) 23
C. C. Johnson Turkey Fund
4 53
Alex. Nugent Fund
3 77
Mary Wilson Tucker Fund
: 09
Hospital Trust Fund
278 47
D. L. Jewell Fund
151 13
Retirement Fund
1,664 00
A. A. Dell Fund
05
Children's Ward
22 90
Student Nurses
6 62
Accrued Interest on Bonds
$458 89
Premium on Bonds
3,948 14
Premium on Water Bonds
118 50
MUNICIPAL INDEBTEDNESS
Temporary Loans, Revenue
$3,275,000 00
Temporary Loans, Grant Anticipation
(Sewer)
48,000 00
Sewer Loans
50,000 00
Street Loans
200,000 00
Municipal Relief
260,000 00
Tax Title Loans
380,000 00
Water Loans
102,000 00
Hospital
90,000 00
Garage
60,000 00
$9,948 47
$4,525 53
$4,465,000 00
) 45
C. C. Johnson Fund
ยท
58
CITY OF QUINCY
REFUNDS
Departmental:
Welfare Department Refunds
$23 53
Old Age Refunds
43 00
Highway Department-Payroll Refunds
27 09
Election Refunds
3 00
City Clerk Refunds
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