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 1938 > Part 2
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February 21, 1938
Ordered :
That the several sums named herein be and are hereby appro- priated for the payment of the expenses of the City of Quincy for the financial year beginning January 1, 1938 and ending December 31, 1938, to be expended by and under the direction of the several officers or boards as herein designated.
GENERAL GOVERNMENT
Legislative
Salaries
Expense
$ 7,296 00 950 00
Executive
Salaries
$ 9,940 00
Expense
1,550 00
Auditor
Salaries
$ 7,925 00
Expense
1,300 00
Treasurer
Salaries
$ 13,182 00
Expense
7,562 95
Management of Property Expense 500 00
Collector
Salaries
$ 16,356 00
Expense
8,184 00
Assessors
Salaries
$ 19,867 00 3,650 00
Law
Salaries
$ 2,700 00
Expense
2,500 00
Awards & Claims
5,000 00
Expense
20
CITY OF QUINCY
City Clerk
Salaries
$ 6,738 00
Expense
225 00
Vital Statistics
500 00
Dog Officer
1,200 00
City Messenger
Salary .$ 800 00
City Engineer
Salaries
$ 20,600 00
Expense
1,600 00
Auto
1,100 00
Registrars
Salaries
$ 2,075 00
Election Officers
8,280 00
Expense
8,400 00
Board of Survey
Expense
$ 25 00
Planning Board
Expense
$ 25 00
License Board
Salaries ....
$ 153 00
Expense
225 00
Retirement Board
Salaries
$ 1 200 00
Expense
1,350 00
Civil Service Registration
Salaries
$
150 00
Expense
25 00
Purchasing Agent
Salaries
$
4,632 00
Expense
1,500 00
New Equipment
1,000 00
Supply Account
1,000 00
Municipal Buildings
Salaries and Wages
$
6,736 20
Maintenance and Operation 19,264 06
21
AUDITOR'S REPORT
PROTECTION OF PERSONS AND PROPERTY
Police
Salaries and Wages
$275,130 00
Pensions
8,250 00
Station and General Expense
7,000 00
Radio Maintenance
2,000 00
Auto Maintenance and Operation
5,500 00
Prisoners' Expense
400 00
Travel Out of State
100 00
Liquor Law
50 00
Traveling Expense
500 00
New Equipment
4,500 00
Fire
Salaries and Wages
$241,345 00
Pensions
12,020 00
Station and General Expense
11,750 00
Equipment Maintenance
6,650 00
Hose
1,800 00
Fire and Police Signals
Salaries and Wages
$ 11,250 00
Power and Light
2,100 00
Maintenance and Operation
9,500 00
Auto Maintenance
200 00
New Equipment
1,200 00
Sealer of Weights and Measures
Salaries
.. $ 4,450 00
Expense ...
200 00
Auto Maintenance
150 00
Inspector of Wires
Salaries
$ 3,200 00
Expense
250 00
Auto Maintenance
200 00
Inspector of Buildings
Salaries
$ 3,900 00
Expense
275 00
Auto Maintenance
300 00
Gypsy Moth
Salaries and Wages
$ 16,500 00
Supplies ..
2,500 00
Equipment Maintenance
1,250 00
New Equipment
1,000 00
22
CITY OF QUINCY
BOARD OF HEALTH
Administration
Salaries $ 5,850 00
Pensions
800 00
Expense
1,870 00
Auto Maintenance
1,572 00
Contagious Diseases
41,600 00
Child Welfare
Salaries
$ 4,900 00
Expense
1,784 00
Dental Clinic
3,310 00
Dispensary
Salaries
$ 4,850 00
Expense
400 00
Undernourished Children
2,000 00
Inspection
Salaries
$ 7,050 00
Expense
65 00
New Equipment
40 00
PUBLIC WORKS
Administration
Salaries
$ 14,964 00
Expense-Highway
300 00
Expense-Sewer
200 00
Sanitary
Salaries and Wages
$108,600 00
Pensions
6,181 75
Equipment Rental
3,000 00
Equipment Maintenance
8,700 00
Care of Dumps
7,000 00
New Equipment
2,000 00
Sewer
General Maintenance
$ 14,500 00
Pensions ..
3,292 68
Equipment Maintenance
800 00
Particular Sewers
15,000 00
Sewer Construction
32,000 00
Garage and Stable
3,000 00
23
AUDITOR'S REPORT
Highway
Pensions $ 12,496 00
General Maintenance
125,000 00
Street Construction
32,000 00
Street Lighting
113,000 00
Miscellaneous Activities
25,000 00
New Equipment
10,000 00
W. P. A. Administration
Salaries
$ 15,389 97
Expense
350 00
W. P. A. Account
50,000 00
CHARITIES
Welfare
Administration Salaries $ 22,540 00
Expense
4,000 00
Auto Maintenance
2,700 00
New Equipment
2,000 00
City Home
9,000 00
Mothers' Aid
Administration Salaries $ 2,350 00
Expense
300 00
Auto Maintenance
185 00
New Equipment
600 00
Mothers' Aid
45,000 00
Outside Aid
185,000 00
Old Age Assistance
Administration $ 3,100 00
Assistance
100,000 00
Soldiers' Benefits
Soldiers' Relief
$ 40,000 00
State Aid
2,500 00
Military Aid
3,000 00
Soldiers' Burials
400 00
SCHOOLS
General
$1,252,772 00
LIBRARY
Salaries and Wages $ 35,679 28
Expense ..
11,500 00
Books and Periodicals
13,000 00
Auto Maintenance
350 00
24
CITY OF QUINCY
RECREATION
Parks
Administration
Expense
$ 100 00
Maintenance
Salaries and Wages $ 27,280 00
Supplies and Expense
6,750 00
Equipment Maintenance
1,100 00
Fore River Club
3,260 00
New Equipment
1,100 00
HOSPITAL
Salaries and Wages
$235,000 00
Supplies and Expense
148,000 00
Pensions
2,002 00
Travel Out of State
225 00
New Equipment
7,000 00
Rent and Nurses' Rooms
8,000 00
CEMETERY
Salaries and Wages
$ 31,000 00
Supplies and Expense
2,600 00
Equipment Maintenance
700 00
New Equipment
600 00
UNCLASSIFIED
Celebrations
$ 1,475 00
Veterans' Rent
3,000 00
G. A. R. Memorial
500 00
Harbor Master
0 00
Harbor Master Expense
50 00
Annual Report
2,000 00
Workmen's Compensation
13,000 00
Annuities
3,800 00
Rifle Range
2,500 00
Mosquito Control
2,750 00
Parking Rent
2,300 00
DEBT AND INTEREST
Maturing Debt
$711,411 59
General Interest
121,273 74
Temporary Loan Interest
18,000 00
Grand Total
$4,604,705 22
25
AUDITOR'S REPORT
And be it further Ordered:
That the following sums be and are hereby appropriated for the expense of the Water Department to be paid from Water Receipts :
WATER DEPARTMENT
Salaries
$ 20,990 00
Pensions
3,824 00
Office Expense
3,750 00
General Maintenance
50,000 00
Equipment Maintenance
3,500 00
Service Connections
25,000 00
Meters
3,500 00
New Equipment
2,000 00
Debt
95,000 00
Interest
10,302 50
$217,866 50
Passed to be ordained April 4, 1938 Attest :- Emery L. Crane, Clerk of Council
This order was laid before the Mayor on April 5, 1938 and as it was not returned within ten days with his approval or disap- proval thereon, on April 16, 1938 it was in force in accordance with Section 10, Plan A, City Charter.
Attest :-
EMERY L. CRANE,
City Clerk.
A true copy. Attest :-
EMERY L. CRANE,
City Clerk.
26
CITY OF QUINCY
Original Budget
$4,604,705 22
Additional Appropriations
Council Order No.
10 Highway General Maintenance
$ 75,000 00
39 Quincy Retirement System 19,857 18
70 Legislative Expense 100 00
200 00
78 Schools-Equipment
12,000 00
77 Soldiers' Relief
10,000 00
87 Sewer Construction
10,000 00
86 Highway-General Maintenance
25,000 00
85 Engineer's Pensions
903 00
77 Old Age Assistance
28,000 00
150 Outside Aid
10,000 00
129 Deficit Bills
23,279 40
149
Property Manager
528 71
151
Fire Salaries and Wages
1,814 00
152 Purchasing Agent Salaries
643 50
128
Deficit Bills
1,347 56
$218,673 35
Grand Total
$4,823,378 57
75 Council Expense
27
AUDITOR'S REPORT
DEBT STATEMENT
Total long-term debt January 1, 1938
$4,352,500 00 Additions during 1938
Within Debt Limit:
Streets
$200,000 00
Sewers
50,000 00
Fire Station
135,000 00
Court Judgment
5,757 91
$390,757 91
Outside Debt Limit :
Municipal Relief
$100,000 00
Water
50,000 00
Emergency Storm
50,000 00
Fire Station (W. Q.) .. 32,000 00
Nurses' Home
100,000 00
$332,000 00
722,757 91
Bond Anticipation Loan
68,460 00
$5,143,717 91
Retirements during 1938
Within Debt Limit:
Schools $ 98,000 00
Sewers
87,000 00
Streets 194,000 00
Sidewalks
50,000 00
Hospital
13,000 00
Land
14,000 00
$456,000 00
Outside Debt Limit:
Schools $ 97,500 00
Sewers
28,000 00
Hospital 18,000 00
Municipal Relief 125,000 00
Municipal Garage
3,000 00
Water
95,000 00
$366,500 00
822,500 00
Net long-term debt December 31, 1938 $4,321,217 91
Tax Title Loans
Outstanding January 1, 1938 $ 169,000 00
Issued New
200,000 00
$ 369,000 00
Retired
239,000 00
Outstanding December 31, 1938 $ 130,000 00
28
CITY OF QUINCY
BOND ANTICIPATION LOAN (Fire Station)
Issued
Paid
January
$50,000 00 July $75,000 00 4
April
25,000 00
Funded Debt as of January 1, 1938
Schools
$ 864,500 00
Sewers
813,000 00
Streets
1,048,500 00
Sidewalks
70,000 00
Hospital
194,000 00
Water
314,000 00
Land
42,000 00
Garage
54,000 00
Emergency Storm
50,000 00
Fire Station (W. Q.)
32,000 00
Fire Station
135,000 00
Nurses' Home
100,000 00
Court Judgment
5,757 91
Municipal Relief
530,000 00
Tax Titles
130,000 00
$4,382,757 91
Bond Anticipation Loan
68,460 00
$4,451,217 91
The total debt of the City on December 31, 1938, including both long-term debt and tax title loans was $4,451,217.91, divided as follows :
Inside Debt Limit $2,282,717 91 -
Outside Debt Limit 1,854,500 00
Water
314,000 00
$4,451,217 91
BORROWING CAPACITY FOR 1939
General Laws, Chapter 44, Section 10
"Except as otherwise authorized by law, a city shall not author- ize indebtedness to an amount exceeding 21/2 per cent of the aver- age of the assessors' valuation of the taxable property for the three preceding years, the valuations being first reduced by the amount of all abatements allowed thereon previous to December 31st of the preceding year."
Net valuation real and personal 1936 $122,005,757 00
Motor vehicle excise 3,783,580 00
Net valuation real and personal 1937 121,348,382 00
Motor vehicle excise 4,170,929 00
Net valuation real and personal 1938 121,365,498 00
Motor vehicle excise 4,007,051 00
$376,681,197 00
Three years' average
125,560,399 00
21/2 per cent thereof 3,139,009 98
AUDITOR'S REPORT
29
Debt within limit January 1 $2,214,257 91 Authorized but unissued 68,460 00
2,282,717 91
Borrowing margin as of January 1, 1939 $ 856,292 07
Debt maturing in 1939 which will increase the borrowing margin:
January $ 40,000 00
February
21,460 00
March
5,757 91
April
32,000 00
May
111,000 00
June
50,500 00
July
31,000 00
August
57,000 00
September October
20,000 00
November
19,000 00
December
30,000 00
14,000 00
$431,717 91
CONDENSED BALANCE SHEET, JANUARY 1, 1939 Revenue Accounts
ASSETS
Cash .$ 306,145 81
Accounts Receivable :
Taxes 1937 and Prior .$ 13,277 78
Taxes 1938 1,085,241 41
1,098,519 19
Old Age Asst. Tax 1932
2 00
Motor Vehicle 1937 and Prior
6,797 90
Motor Vehicle 1938
5,000 59
11,798 49
Special Assessments
Gypsy Moth 3 00
Sewer
8,341 50
Street Betterments
9,471 92
Sidewalks
1,344 39
Committed Interest
4,690 08
Tax Titles
295,097 10
Water Liens
70,801 74
........
Water Rates 1937 and Prior 1,927 06
Water Rates 1938
2,903 93
4,830 99
2,934 63
Water Service Connections Department Bills :
Scavenger
712 73
Health
45,669 54
Particular Sewers
3,901 86
Highways
336 49
Schools
5,436 87
Welfare
134,753 23
Old Age Assistance
15,644 20
Cemetery
857 00
Gypsy Moth
827 25
208,139 17
Property for Sale
135,031 74
Overlay Deficit 1937 and Prior
21,504 83
State Tax and Assts. Underestimated
170,595 00
Norfolk County
614 78
LIABILITIES
Temporary Loans $1,300,000 00
Bills Payable
19,722 51
State of Massachusetts 449 00 30
Norfolk County
263 40
Appropriation Balances
141,104 34
Revenue Reserved until Collected: Motor Vehicle Excise ..
11,798 49
Special Assessments 23,850 89
Tax Titles
295,097 10
Water Liens
70,801 74
Water Revenue
7,765 62
Departmental 208,139 17
Property for Sale 135,031 74
752,484 75
Special Deposits:
Cesspool
247 00
Sewer
100 00
Water
145 00
Hospital
610 00
1,102 00
Excess Tax Title Sales
297 02
Pay Roll Tailings
3,086 29
Trusteed Accounts
509 88
Unidentified Receipts
244 52
Overlay-1938
3,740 00
Excess and Deficiency
107,068 52
Tax Title Reserved
645 42
State Tax and Assts. Overestimated
16,444 54
Water Reserve
2,704 08
$2,349,866 36
$2,349,866 36
CITY OF QUINCY
23,850 89
Cash
....
Non-Revenue Accounts $193,214 40 Appropriation Balances Unexpended ..
$193,214 40
$193,214 40
$193,214 40
Deferred Revenue Accounts
Apportioned Assessments not due :
Street Betterments
$51,164 84
Sewer
71,492 08
Sidewalks
4,371 71
$127,028 63
$127,028 63
Debt Accounts
Inside Debt Limit:
School Loans
$442,000 00
Sewer Loans
421,000 00
Street Loans
1,048,500 00
Sidewalk Loans
70,000 00
Hospital Loans
50,000 00
Other Loans
251,217 91
$2,282,717 91
Outside Debt Limit:
School Loans
422,500 00
Sewer Loans
392,000 00
Hospital Loans
144,000 00
Municipal Relief Loans
... 530,000 00
Tax Title Loan
130,000 00
Other Loans
236,000 00
Water Debt
1,854,500 00 314,000 00
$4,451,217 91
$4,451,217 91
Trust Funds
Hospital
$19,972 86
Welfare
2,000 00
Schools
717,994 37
Library ..
74,607 78
Cemetery
244,480 24
Retirement System
120,589 76 ..
$1,179,645 01
AUDITOR'S REPORT
Cash and Securities in Custody of Treas- urer
$387,042 86
Cash and Securities in Custody of Trustees Adams Temple and School Funds 359,101 46
Woodward Fund 358,892 91
Library Funds 74,607 78
$1,179,645 01
Deferred Special Assessments $127,028 63
Bonded Debt
$4,451,217 91
..
31
CITY OF QUINCY-MUNICIPAL DEBT Within the Debt Limit 1939
Amount Due
Purpose of Loan
Date of Issue
Amount of Issue
Rate
Int.
1939
1940
1941
1942
1943
1944
1945
1946
1947
Schools
July
1923
$250,000
414
J.J
10,000
$10,000
$10,000
$10,000
$10,000
No. Jr. High School
July
1926
75,000
4
J-J
5,000
5,000
5,000
Merrymount and
Adams Shore School
May 1929
66,000
41/4
M-N
6,000
Montclair and
Hloughs Neck Schools June
1929
170,000
41/4
J.D
11,000
11,000
11,000
11,000
11,000
11,000
Adams Sch. Add.
Dec.
1930
70,000
4
J-D
7,000
7,000
Quincy Sch. Add.
Aug.
1931
125,000
3 1/2
F-A
12,000
12,000
12,000
No. High Add.
M'ay
1935
300,000
21/2
M-N
15,000
15,000
15,000
15,000
15,000
15,000
15,000
$15,000
$15,000
Sewer
May
1929
70,000
4 1/4
M . N
7,000
Sewer
Aug.
1929
50,000
4 1/2
F-A
5,000
Sewer
Nov.
1929
40,000
41/2
M-N
4,000
Sewer
Aug.
1930
50,000
4
F-A
5,000
5,000
Sewer
May
1931
70,000
31/2
M . N A.()
10,000
10,000
10,000
10,000
10,000
10,000
10,000 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
5,000
Sewer
June
1936
50,000
134
5,000
5,000
5,000
5,000
5,000
5,000
5,000
5,000
......
Sewer
Apr.
1937
50,000
21/2
A.O
5,000
5,000
5,000
5,000
5,000
5,000
5,000
5,000
5.000
Sewer
May
1938
50,000
11/2
M-N
5,000
5,000
5,000
5,000
5,000
5,000
5,000
5,000
5,000
Streets
June
1929
125,000
41/4
J-D
12,500
Streets
May
1930
65,000
4
M.N
6,000
6,000
16,000
8,000
Streets
July
1931
175,000
31/2
J-J
16,000
16,000
16,000
Streets
May
1934
150,000
3
M-N
15,000
15,000
15,000
15,000
15,000 17,000
15,000 17,000
10,000
Streets
Oct.
1935
100,000
2
A-O
10,000
10,000
10,000
10,000
10,000
10,000
10,000
Streets
May
1936
200,000
M-N
20,000
20,000
20,000
20,000
20,000
20,000
20,000
20,000
Streets
Apr.
1937
200,000
21/2
A.O
20,000
20,000
20,000
20,000
20,000
20,000
20,000
20,000 5,000
5,000
Streets
Dec.
1937
50,000
21/4
T-D
5,000
5,000
5,000
5,000
5,000
5,000
5,000
20,000
20,000
Sidewalks
Ang.
1934
50,000
31/4
F-A M.N
10,000
Sidewalks
Nov.
1934
50,000
2 1/4
10,000
...
Sidewalks
Dec.
1934
50,000
2
J-D
10,000
....
Sidewalks
Jan.
1935
100,000
1 3/4
J -J
20,000
20,000
Hospital Bldg.
June
1929
90,000
41/4
J-D
6,000
6,000
6,000
6,000
6,000
6,000
Operating BI.
Aug.
1930
70,000
4
F-A
7,000
7,000
"Town River
Feb.
1939
68,460
050
68,460
J -J
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
Land
Sept. 1931
140,000
M-S
14,000 5,757.91
14,000
14,000
...
Final Judgment
Sept. 1938
5,757.91
Mar.
483,717.91
$344,000
$263,000
$209,000
$209,000
$199,000
$145,000
$115,000
$85,000
4
A-O
7,000
7,000
...
...
7,000
Sewer
Oct.
1933
120,000
41/4
4
F-A
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
Streets
Dec.
1930
80,000
4
J.D
F-A
18,000
17,000
17,000
17,000
Streets
Jan.
1935
25,000
J -J
5,000
5,000
10,000
10,000
10,000
10,000
10,000
10,000
Streets
May
1935
100,000
M-N
M-N
20,000
20,000
20,000
20,000
20,000
20,000
20,000
Streets
May
1938
200,000
11/2
J -D
16,000
Streets
June
1930
160,000
4
Streets
Ang.
1934
175,000
234
134 21/4
2
...
...
...
...
........
C'en. Fire Sta.
Jan.
1938
135,000
134
....
...
.....
...
... ...
32
....
..
...
.....
....
...
...
Apr.
1930
70,000
Sewer
7,000
7,000
Sewer
Feb.
1934
60,000
..
.. .
........
8,000
20,000
CITY OF QUINCY
Totals
........
...
CITY OF QUINCY-MUNICIPAL DEBT Within the Debt Limit 1939 (Continued)
Amount Due
Purpose of Loan
Date of Issue
Amount of Issue
Rate
Int.
1948
1949
1950
1951
1952
1953
Totals
Schools
July
1923
$250,000
41/4
...
No. Jr. High School
July
1926
75,000
4
Merrymount and
May
1929
66,000
4 1/4
M-N
...
....
...
..
...
...
Montclair and
66,000
Houghs Neck Schools June
1929
170,000
41/4
J-D
14,000
Adams Sch. Add.
Dec.
1930
70,000
4
J-I)
Quincy Sch. Add.
Aug.
1931
125,000
31/2
F-A
No. Iligh Add.
May
1935
300,000
21/2
M - N
$15,000
$15,000
$15,000
$15,000
$15,000
$15,000
1954 to 1955 Inclusive $15,000 Aunually
7,000
Sewer
May
1929
70,000
41/4
M - N
Sewer
Aug.
1929
50,000
412
F-A
Sewer
Nov.
1929
40,000
41/2
M-N
Sewer
Apr.
1930
70,000
4
A-O
Sewer
Aug.
1930
50,000
4
F-A
Sewer
May
1931
70,000
31/2
M-N
Sewer
Oct.
1933
120,000
41/4
A-O
..
..
Sewer
Feb.
1934
60,000
4
F-A
Sewer
Nov.
1934
50,000
21/4
M- N
Sewer
Jan.
1935
100,000
234
J-J
5.000
5,000
5,000
5,000
5,000
1954 to 1955 Inclusive $5.000 Annually
40,000
Sewer
June
1936
50,000
134
Sewer
Apr.
1937
50,000
21/2
Sewer
May
1938
50,000
11/2
M - N
5,000
..
12,500
Streets
June
1929
125,000
41/4
J-D
......
Streets
May
1930
65,000
4
M-N
Streets
Tune
1930
160,000
4
J-D
Streets
Dec.
1930
80,000
4
J-D
Streets
July
1931
175,000
3 1/2
J -J
Streets
May
1934
150,000
3
M-N
Streets
Aug.
1934
175,000
F-A
Streets
Jan.
1935
25,000
T . J
Streets
May
1935
100,000
M-N
2
A-()
2
M- N
180,000
Streets
Apr.
1937
200,000
21/>
A-O
Streets
Dec.
1937
50,000
21/4
Streets
May
1938
200.000
11/2
M . N
20,000
Sidewalks
Aug.
1934
50,000
31/4
F-A
Sidewalks
Nov.
1934
50,000
21/4
M-N
...
Sidewalks
Dec.
1934
50.000
2.
J-D
...
Sidewalks
Tan.
1935
100,000
134
J .J
....
36,000
Hospital Bldg.
Tune
1929
90,000
Operating Bl.
Aug.
1930
70,000
4
F.A
*Town River
Feb.
1939
68,460
.050
J-J
10,000
5,000
5,000
5,000
5,000
5,000
1954 to 1955 Inclusive $5,000 Annually
42,000
Land
Sept. 1931
140.000
31/2
M -S
...
...
...
.....
...
Final Judgement
Sept. 1938
5.757.91
1/4
Mar.
........
Totals
$55,000
$25,000
$25,000
$25,000
$25,000
$25,000
1954 to 1955 Inclusive $2,282,717.91 $25,000 Annually
* Bond Anticipation Note
LEO E. MULLIN, Auditor of Accounts.
33
AUDITOR'S REPORT
70,000
Streets
Oct.
1935
100,000
160,000
Streets
May
1936
200,000
45,000
200,000
40,000
14,000
....
68,460
135,000
('en. Fire Sta.
Tan.
1938
135.000
13/4
5,757.91
...
........
15,000
6,000
Adams Shore School
36,000
255,000
5,000
4,000
14,000
10,000
21,000
70,000
40,000
30,000
85,000
45,000
50,000
32,000
16,000
48,000
90,000
103,000
10,000
23/4
70,000
1 3/4 21/4
10,000
10.000
10.000
....
...
12,000
5,000
$50,000
CITY OF QUINCY-MUNICIPAL DEBT Outside the Debt Limit 1939
Amount Due
Statutory Authority
Purpose
Date of Issue
Amount of Issue
Rate
Int.
1939
1940
1941
1942
1943
1944
1945
1946
1920 Chap.
526
High Sch. Land
Oct.
1921
$58,000
5
A-( M - N
$2,500
$2,500
$2,500
1920 Chap. 526
11. S. Building
May
1922
80,000
4
39,000
39,000
39,000 30,000
$39,000
1926 Chap. 303
So. Jr. H. S. Bldg.
July
1926
450,000
4
J - J
30,000
30,000
Montclair and
Honghs Neck Schls.
June 1929
200,000 200,000
4
J -1 A.O
13,000
13,000 13,000
13,000 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
4
M-S
5,000
5,000
5,000
5,000
1920
Chap.
526
Hospital Add.
Nov. 1922
40,000
414
M - N
2,000
2,000
2,000
2,000
........
..
1935
Chap.
404
Hospital Bldg.
Mar. 1936
90,000
21/4
M .S
5,000
5,000
5,000
5,000
5,000
5,000
5,000
$5,000
1935 Chap.
404
Municipal Gar.
Mar.
1936
60,000
21/4
M .S
3,000
3,000
3,000
3,000
3,000
3,000
3,000
3,000
1938 Chap.
50
Fire Station
Nov. 1938
32,000
1 34
M- N
4,000
4,000
11,000 4,000
11,000 4,000
4,000
11,000 3,000
3,000
3,000
G. L.
44
Storm Emerg.
Sept. 1938
50,000
.025
Mar.
50,000
1895 Chap.
279
Sewer
Apr.
1899
75,000
31/2
A.0
1,000
1902
Chap.
248
Sewer
July May
1902
60,000
31/2
J -J
1,500
1,500
1,500
1,500
...
..
..
..
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
1,000
1,000
1905 Chap.
Sewer
May
1909
30,000
31/2
M -N
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1911 Chap.
Sewer
Mar.
1912
40,000
M -S
1,000
1,000
1,000
1,000
1,000
9,000
9,000
9,000
1933 Chap. 366
Drains
Jan.
1934
128,000
31/4
J-J
5,000
5,000
5,000
5,000
4,000
4,000
4,000
4,000
1935 Chap. 188
Municipal Relief
Aug.
1935
125,000
2
F-A
15,000
15,000
10,000
10,000
10,000
10,000
10,000
1935 Chap. 188
Municipal Relief
Oct.
1935
50,000
11/2
A-(
10,000
10,000
1935 Chap.
188
Municipal Relief
Dec.
1935
60,000
11/2
J-1)
10,000
10,000
10,000
1936
Chap.
80
Municipal Relief
July
1936
200,000
11/2
T - 1
40,000
40,000
40,000
1936
Chap.
80
Municipal Relief
Dec.
1936
60,000
11/4
T-1)
15,000
15,000
1937 Chap. 107
Municipal Relief
Tuly
1937
100,000
13/4
20,000
20,000
20,000
20,000
1937
Chap. 102
Municipal Relief
May
1937
85,000
1 3/4
M-N
15,000
15.000
15,000
15,000
10,000
1938 Chap.
58
Municipal Relief
May
1938
100,000
11/2
M. N
15,000
15,000
15,000
15,000
15,000
15,000
10,000
$349,000
$295,000
$265,000
$182,500
$108,000
$95,000
$70,000
$37,000
..
........
1929 Chap. 122
1929 Chap. 122
No. Jr. H. S. Bldg.
Apr.
1930
90,000
4 14
J-D
6,000
6,000
6,000
6,000
6,000
6,000
1929 Chap.
125
Hospital Add.
June 1929
1903
70,000
31/2
M-N
1,000
1,000
1,000
1,000
1,000
....
...
CITY OF QUINCY
...
1911 Chap.
57
Sewer
Mar.
1913
40,000
4
M .S
1,000
1,000
1,000
1,000
1933
Chap. 366
Sewer
Jan.
1934
275,000
31/4
J -J
10,000
9,000
9,000
9,000
11,000
11,000
11,000
1938 Chap.
50
Nurses Home
Nov.
1938
100,000
134
M - N
12,000
11,000
1,000
1,000
1,000
1905 Chap.
151
Sewer
Apr.
1910
40,000
4
A-(
1,000
4
A-(
1,000
1005 Chap.
151
Sewer
Apr.
1907
40,000
4
151
57
1902 Chap.
248
Sewer
1,000
9,000
...
...
34
4 1/4
13,000
CITY OF QUINCY-MUNICIPAL DEBT Outside the Debt Limit 1939 (Continued)
Amount Due
Statutory Authority
Purpose
Date of Issue
Amount of Issue
Rate
Int.
1947
1948
1949
1950
1951
1952
1953
1954
1920 Chap.
526
High Sch. Land
()ct.
1921
$58,000
5
A.() M - N
1926 Chap. 303
So. Jr. H. S. Bldg.
July
1926
450,000
4
J -J
Montclair and
Houghs Neck Schls.
June
1929
200,000
414
J-D
1929 Chap. 122
No. Jr. H. S. Bldg.
Apr.
1930
200,000
4
A-O
1920 Chap. 526
Hospital Add.
Sept. 1922
100,000
4
M-S M - N
1920
Chap. 526
Hospital Add.
Nov.
1922
40,000
414
J-D
M -S
$4,000
$4,000
$4,000
$4,000
$4,000
$4,000
$4,000
1935 Chap. 404
Hospital Bldg.
Mar.
1936
90,000
21/4
M -S
3,000
3,000
3,000
3,000
3,000
3,000
3,000
1935 Chap.
50
Nurses Home
Nov.
1938
100,000
134
M - N
11,000
1938 Chap.
50
Fire Station
Nov. 1938
32,000
134
M - N
3,000
G. L.
44
Storm Emerg.
Sept. 1938
50,000
.025
Mar.
...
1895 Chap.
279
Sewer
Apr.
1899
75,000
31/2
A-O
...
1902 Chap.
248
Sewer
July
1902
60,000
31/2
J -J
1902
Chap.
248
Sewer
May
1903
70,000
31/2
M-N
1902
Chap.
248
Sewer
June
1904
50,000
4
J-O
1905 Chap. 151
Sewer
Apr.
1907
40,000
4
A-O
1,000
1905
Chap. 151
Sewer
May
1909
30,000
31/2
M-N
4
A-O
1,000
1,000
1,000
1,000
1905 Chap.
151
Sewer
Mar.
1912
40,000
4
M -S
4
M -S
9,000
9,000
9,000
9,000
9,000
9,000
9,000
9,000
1933 Chap. 366
Sewer
Jan.
1934
275,000
31/4
1 .J
4,000
4,000
4,000
4,000
4,000
4,000
4,000
4,000
1933 Chap. 366
Drains
Jan.
1934
128,000
314
1935 Chap.
188
Municipal Relief
Oct.
1935
50,000
11/2
A-(
T-1)
1935 Chap.
188
Municipal Relief
Dec.
1935
60,000
2
1936 Chap.
80
Municipal Relief
July
1936
200,000
J-J
1936 Chap.
80
Municipal Relief
Dec.
1936
60,000
11/4
1937 Chap. 107
Municipal Relief
July
1937
100,000
13/4
J-J
1937 Chap.
102
Municipal Relief
May
1937
85,000
13/4
M - N
1938 Chap.
58
Municipal Relief
May
1938
100,000
11/2
M - N
$36,000
$21,000
$21,000
$21,000
$20,000
$20,000
$20,000
$20,000
AUDITOR'S REPORT
...
1911 Chap.
57
Sewer
Mar.
1913
40,000
41/4
1929 Chap. 125
Hospital Add.
June
1929
80,000
4
1920 Chap. 526
H. S. Building
May
1922
....
..
..
..
...
...
$4,000 3,000
404
Municipal Gar.
Mar. 1936
60,000
21/4
2
F-A
1935 Chap. 188
Municipal Relief
Ang.
1935
125,000
...
..
35
...
..
...
Apr.
1910
40,000
1911 Chap.
57
Sewer
11/,
J-D
....
1929 Chap. 122
1938 Chap.
90,000
CITY OF QUINCY-MUNICIPAL DEBT Outside the Debt Limit 1939 (Continued)
Amount Due
Statutory Authority
Purpose
Date of Issue
Amount of Issue
Rate
Int.
1955
1956
1957
1958
1959
Totals
1920 Chap. 526
High Sch. Land
Oct.
1921
$58,000
5
A-O M - N
...
...
.......
...
156,000
1926 Chap. 303
So. Jr. 11. S. Bldg.
July
1926
450,000
4
J -J
........
........
........
78,000
1929 Chap. 122
No. Jr. H. S. Bldg.
Apr.
1930
200,000 200,000
4
J .D A-O
91,000
1920 Chap.
526
Hospital Add.
Sept. 1922
100,000
4
M-S
20,000
1920 Chap.
526
Hospital Add.
Nov. 1922
40,000
41/4
M-N
8,000
1929 Chap.
125
Hospital Add.
June 1929
90,000
4 14
J - D
36,000
1935
Chap. 404
Hospital Bldg.
Mar.
1936
90,000
21/4
M-S
$4,000
$4,000
80,000
1935 Chap.
404
Municipal Gar.
Mar. 1936
60,000
214
M-S
3,000
3,000
54,000
1938 Chap.
50
Nurses Home
Nov.
1938
100,000
134
M-N
...
...
50,000
1895 Chap. 279
Sewer
Apr.
1899
75,000
31/2
A.O
..
......
1,000
1902 Chap. 248
Sewer
July
1902
60,000
31/2
J-J
6,000
1902 Chap.
248
Sewer
May
1903
70,000
3 1/2
M -N
5,000
1902 Chap. 248
Sewer
June
1904
50,000
J-O
6,000
1905 Chap. 151
Sewer
Apr.
1907
40,000
4
A-O
..
1,000
1905 Chap.
Sewer
Apr.
1910
40,000
4
A-O
4
M-S
........
....
.....
5,000
1933 Chap.
366
Sewer
Jan.
1934
275,000
31/4
J-J
9,000
9,000
$9,000
$9,000
235,000
1933 Chap. 366
Drains
Jan.
1934
128,000
314
J -J
4,000
4,000
4,000
4,000
$9,000 1960 to 1964 Inclusive $9,000 Annually 4,000 1960 to 1964 Inclusive $4,000 Annually
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