Inaugural address of the mayor, with the annual report of the officers of the city of Quincy for the year 1938, Part 3

Author: Quincy (Mass.)
Publication date: 1938
Publisher:
Number of Pages: 520


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 3


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108,000


1935 Chap. 188


Municipal Relief


Aug.


1935


125,000


2


F.A


....


........


1935 Chap. 188


Municipal Relief


Oct.


1935


50,000


11,2


A-()


11 2


J.D


..


..


...


..


...


..


...


..


.


80,000


1937 Chap. 102


Municipal Relief


May


1937


85,000


13/4


M-N


.....


...


1960 to 1964 Inclusive $13,000 Annually


100,000


1938 Chap.


58


Municipal Relief


May


1938


100,000


11/2


M-N


.....


...


$20,000


$20,000


$13,000


$13,000


$13,000


$65,000


$1,724,500.00


LEO E. MULLIN, Auditor of Accounts.


36


CITY OF QUINCY


4,000


1911 Chap.


Sewer


Mar.


1913


40,000


4


M.S


11/2


J -J


1936 Chap.


80


30,000


1937 Chap.


107


Municipal Relief


July


1937


100,000


134


J -J


...


........


...


30,000


1936 Chap.


80


Municipal Relief


Dec.


1936


60,000


J-D


..


....


...


20,000


1935 Chap. 188


Municipal Relief


Dec.


Municipal Relief


July


1936


200,000


120,000


1905 Chap. 151


Sewer


May


1909


30,000


3 1/2


M-N


..


12,000


1911 Chap.


57


Sewer


Mar.


1912


40,000


100,000


1938 Chap.


50


Fire Station


Nov. 1938


32,000


134


M-N


32,000


G. L.


44


Storm Emerg.


Sept. 1938


50,000


.025


Mar.


1920 Chap. 526


11. S. Building


May


1922


80,000


4


........


...


...


90,000


Montclair and


1929 Chap. 122


Houghs Neck Schls.


June 1929


414


....


......


...


.. .


4


9,000


151


57


80,000


1935


60,000


70,000


$7,500


CITY OF QUINCY-WATER DEBT-1939


Amount Due


Statutory Authority


Date of Issue


Amount of Issue


Rate


Int.


1939


1940


1941


1942


1943


1944


1945


1946


1947


1948


Totals


1907 C'hap.


182 May


1909


$40,000


31/2


M -N


$1,000


........


1907 Chap. 182 Mar.


1910


30,000


4


M-S


1,000


$1,000


Statutes


Apr.


1926


600,000


4


A-()


40,000


40,000


$40,000


Statutes


Oct.


1933


30,000


4


A-()


5,000


Statutes


Aug.


1934


50,000


3


F.A


10,000


5,000


5,000


$5,000


$5,000


$5,000


$5,000


36,000


Statutes


May


1936


72,000


11/4


M-N


18,000


18,000


10,000


Statutes


Sept. 1936


30,000


1


M-S


10,000


5,000


5,000


5,000 5,000


5,000 5,000


5,000 5,000


$5,000 5,000


$5,000 5,000


$5,000


50,000


Statutes


May


1938


50,000


11/2


M. N.


5,000


5,000


5,000 5,000


5,000


Totals


$100,000


$74,000


$55,000


$15,000


$15,000


$15,000


$15,000


$10,000


$10,000


$5,000


$314,000


AUDITOR'S REPORT


35,000


Statutes


July


1935


50,000


2


J -J


5,000


45,000


Statutes


Apr.


1937


50,000


21/2


A-O


5,000


37


$1,000


2,000


120,000


5,000


10,000


38


CITY OF QUINCY TEMPORARY LOANS


In Anticipation of Revenue


Outstanding Jan. 1, 1938


$1,500,000


Date


Due


Sold to


Rate Discount


Amount


Jan


27 Nov.


4, 1938 Natl. Shawmut Bank


..


.38


$250,000


Jan


27 Dec.


6, 1938 Natl. Shawmut Bank


.38


250,000


Feb.


3 Nov.


10, 1938 Natl. Shawmut Bank


.38


200,000


Mar.


19


Dec.


15, 1938 Natl. Shawmut Bank ..


.45


200,000


Apr.


12 Nov.


23, 1938 Natl. Shawmut Bank ..


.61


250,000


Apr.


12 Dec.


23, 1938 Natl. Shawmut Bank .


.61


250,000


Apr.


25


Apr.


24, 1939 Merchant's Natl. Bank


.60


50,000


May


5 Nov.


23, 1938 Natl. Shawmut Bank


.45


300,000


May


5 Feb.


28, 1939 Natl. Shawmut Bank


.45


100,000


May


5 Mar.


31, 1939 Natl. Shawmut Bank


.45


100,000


June


21


Mar.


23, 1939 Natl. Shawmut Bank


.37


100,000


June


21 Mar.


31, 1939 Natl. Shawmut Bank ..


.37


250,000


Sept.


27


Dec.


29, 1938 Second National Bank


.249


200,000


Sept.


27


June


29, 1939 Second National Bank


.249


100,000


Nov.


27


Feb.


28, 1939 |Natl. Shawmut Bank ..


.249


150,000


Nov.


27


Apr.


24, 1939 Natl. Shawmut Bank ..


.129


100,000


Nov.


27 June


29, 1939 Natl. Shawmut Bank ..


.129


50,000


Nov.


27


Aug. 24, 1939 Natl. Shawmut Bank ..


.129


200,000


Dec.


21 |Sept. 20, 1939 Natl. Shawmut Bank


..


.20


100,000


Total Issued


$3,200,000


$4,700,000


Total Notes Paid


3,400,000


Outstanding December 31, 1938


$1,300,000


39


AUDITOR'S REPORT


SUSPENDED ACCOUNTS


December 31, 1938


Apportioned sewer assessments not due $71,492 08 Apportioned sewer assessments due in 1939 $14,688 01


Apportioned sewer asseesments due in 1940 12,953 42


Apportioned sewer assessments due in 1941 10,633 87


Apportioned sewer assessments due in 1942 8,883 20


Apportioned sewer assessments due in 1943 6,576 96


Apportioned sewer assessments due in 1944 5,743 15


Apportioned sewer assessments due in 1945 4,573 22


Apportioned sewer assessments due in 1946 4,177 64


Apportioned sewer assessments due in 1947 3,262 61


Apportioned street betterments not due $51,164 84


Apportioned street betterments due in 1938 $ 106 31


Apportioned street betterments due in 1939 19,075 99


Apportioned street betterments due in 1940 12,250 09


Apportioned street betterments due in 1941 8,861 82


Apportioned street betterments due in 1942 3,238 42


Apportioned street betterments due in 1943 2,532 29


Apportioned street betterments due in 1944 2,337 87


Apportioned street betterments due in 1945 2,337 87


Apportioned street betterments due in 1946 205 63


Apportioned sidewalk betterments not due $ 4,371 71


Apportioned sidewalk betterm'ts due in 1939 $2,301 60


Apportioned sidewalk betterm'ts due in 1940 1,600 93


Apportioned sidewalk betterm'ts due in 1941 440 12


Apportioned sidewalk betterm'ts due in 1942 29 06


40


CITY OF QUINCY


TRUST FUNDS


December 31, 1938


Cash and Securities in Custody of Treasurer


$ 387,042 86


Children's Ward Fund $ 261 15


Student Nurses' Loan Fund


141 55


Post Graduate Nurses' Fund


116 91


Hospital Trust Fund


9,453 25


Mary C. Parker Fund


5,000 00


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


William S. Williams Fund


400 00


Alfred G. Dell Fund


200 00


Minnie P. Bent


250 00


Perpetual Care Fund


238,755 24


Retirement Fund


120,589 76


Cash and Securities in Custody of Trustees $ 792,602 15


Adams Temple and School Fund


$359,101 46


Woodward Fund


358,892 91


Library Funds


74,607 78


Total


$1,179,645 01


41


AUDITOR'S REPORT


TAX COMMITMENTS Summary of Transactions During 1938


Due January 1


Charges


Sold City


Abated & Adjusted


Collections


Due December 31


1931


$25 44


$25.44


1932


12


$179. 90


$164 45


269 37


$2 00


1933


411 92


145 56


$2 22


208 70


339 52


7 04


1934


3,757 63


663 80


158 16


3,294 11


750 41


218 75


1935


5,302 70


4,383 18


178 02


7,612 23


1,645 12


250 51


1936


10,863 30


7,352 75


456 12


9,659 62


4,765 87


3,334 44


1937


1,257,466 51


5,386 24


273,577 85


13,359 36


966,450 50


9,465 04


Excise


1931


5 21


5 21


1932


4,312 51


18 26


4,230 17


48 17


52 43


1933


2,296 67


2,172 17


114 76


9 74


1934


2,004 15


4 00


1,978 02


27 16


2 97


1935


2,804 71


2,318 17


473 28


13 26


1936


5,366 47


4 00


1,613 44


1,251 61


2,505 42


1937


21,807 53


1,504 14


1,253 31


17,849 49


4,208 87


Old Age 1932


1 00


1 00


2 00


$1,316,681 87


$19,642 83


$274,372 37


$47,863 95


$994,010 70


$20,077 68


1938 Commitments


Polls


46,808 00


20 00


1,068 00


38,312 00


7,448 00


Personal


298,371 76


401 80


1,315 28


273,664 05


23,794 23


Real


Estate 3,718,344 12


1,399 88


1,907 32


34,612 26


2,629,225 24


1,053,999 18


Motor


Excise


147,655 49


1,930 31


.........


6,807 65


137,777 56


5,000 59


$4,211,179 37


$3,751 99


$1,907 32


43,803 19 $3,078,978 85 $1,090,242 00


42


CITY OF QUINCY


ESTIMATED AND ACTUAL RECEIPTS 1938


Estimated


Actual


Income Tax


$376,378 81


$376,459 75


Corporation Tax


106,004 58


115,652 50


Motor Vehicle Excise


144,400 00


155,435 39


Licenses


74,500 00


75,506 50


Fines


2,800 00


1,207 71


Special Assessments


69,400 00


47,289 55


General Government


16,300 00


13,693 14


Protection of Persons and Property


4,600 00


5,543 89


Health and Sanitation


47,200 00


47,448 13


Highways


600 00


283 65


Charities


85,600 00


116,798 77


Old Age Assistance


62,600 00


102,527 62


Soldiers'


Benefits


3,900 00


3,820 75


Schools


34,800 00


35,725 39


Libraries


2,800 00


2,927 32


Cemeteries


20,600 00


20,798 64


Interest on Taxes and Assessments


81,211 73


60,722 20


Hospital


221,701 00


221,308 45


Miscellaneous Items


8,100 00


8,114 23


Total Receipts


$1,363,495 12


$1,411,263 58


Assessors' Estimate


1,363,495 12


Surplus


$47,768 46


43


AUDITOR'S REPORT


WATER RATES 1938


Commitments


$412,241 77


Recommitments


183 60


$412,425 37


Collections


$365,119 82


Abatements and Adjustments


2,118 72


Water Liens to Tax Collector


42,282 84


409,521 38


Outstanding December 31, 1938


$ 2,903 99


WATER RATES 1937 AND PRIOR


Outstanding January 1, 1938


$ 10,265 43


Recommitments


106 11


$ 10,371 54


Collections


$ 7,495 51


Abatements and Adjustments


834 81


Water Liens to Tax Collector


114 16


8,444 48


Outstanding December 31, 1938 $ 1,927 06


WATER SERVICE CONNECTIONS


Outstanding January 1, 1938


$ 3,032 83


Commitments


12,490 75


Collections


$ 11,258 04


Abatements


736 76


Water Liens to Tax Collector


594 15


12,588 95


Outstanding December 31, 1937 $ 2,934 63


WATER LIENS


Outstanding January 1, 1938


$ 62,402 42


Commitments


44,860 65


Adjustments


473 64


$107,736 71


Collections


$ 34,357 24


Abatements


2,467 30


Tax Titles


74 52


Adjustments


35 91


36,934 97


$ 70,801 74


WATER RESERVE


Water Collections


$383,873 37


Surplus - 1937


3,293 83


Water Lien Collections


34,357 24


Adjustments


110 43


Balance 1938 Appropriations


7,634 73


$429,269 60


Appropriations


$217,866 50


State Assessments


197,883 30


Adjustments


480 72


Council Transfers


10,335 00


Surplus as of December 31, 1937


426,565 52 $ 2,704 08


$15,523 58


44


TABULATION SHOWING STATE, COUNTY AND OTHER ASSESSMENTS


Year


State


County


Metropolitan Water


Metropolitan Sewer


Parks


Charles River Basin


Neponset Bridge


County Hospital


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 10


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


1937


226,135 00


110,347 13


211,680 14


102,928 97


58,457 71


13,057 89


5,836 76


31,944 75


1938


322,150 00


115,786 19


197,883 30


87,223 56


62,851 42


12,167 99


5,651 46


44,031 98


CITY OF QUINCY


AUDITOR'S REPORT


45


MUNICIPAL FINANCES ILLUSTRATED


The following diagram shows how the revenue of 1938, derived from taxes and ordinary receipts excluding all money borrowed, is expended.


6 60 CENTS


COUNTY 2 92 CENTS


OVERLAY 150 CENTS


GENERAL GOVERNMENT


3 91 CENTS


AND


INTEREST DEBT


15.31 CENTS


CITY OF QUINCY $


OTHER 11.06 CENTS


ONE DOLLAR


HIGHWAYS 902 CENTS


UNCLASSIFIED 2.71 CENTS


#


HOSPITAL 752 CENTS


×1938%


CHARITIES 883 CENTS


LIBRARY 110 CENTS


SCHOOLS 2333 CENTS


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 in- cludes Maintenance, Repairs, Street Lighting, and W. P. A. Ac- count, Unclassified includes Parks, Cemeteries and Miscellaneous. State includes Metropolitan Assessments.


LEO E. MULLIN, Auditor of Accounts.


STATE


SCHOOLS 4.25 CENTS


PROTECTION OF LIFE AND PROPERTY 1157 CENTS


HEALTH AND SANITATION 568 CENTS


AUDITOR'S AND TREASURER'S STATEMENT FOR DECEMBER, 1938


Purpose


Bal. 1937


Appro.


Receipts


Add Transf.


Less Transf.


Total Credits


Expended


Balance


Legislative


Salaries


$7,296 00


$275 40


$7,020 60 1,425 40


$7,017 75 1,125 75


$2 85


Expense


1,250 00


$175 40


299 65


Executive


Salaries


9,940 00


9,940 00


9,889 98


50 02


Expense


1,550 00


1,550 00


1,512 57


37 43


Property Manager


528 71


1,225 00


32 00


1,721 71


1.672 03


49 68


Auditor of Accounts


Salaries


7,925 00


$5,013 15


375 00


13,313 15


13,313 15


Expense-New Equipment


1,300 00


4 00


1,296 00


1,249 79


46 21


Treasurer


Salaries


13,182 00


330 00


13,512 00


13,512 00


Expense


7,562 95 500 00


832 00


1,332 00


1,316 75


15 25


Collector


Salaries


16,356 00


330 00


16,686 00


16,677 08


8 92


Expense


8,184 00


8,184 00


7,968 98


215 02


Assessors


Salaries


19,867 00


925 00


55 59


20,736 41


20,730 41


6 00


Expense


3,650 00


55 59


3,705 59


3,657 15


48 44


New Equipment


$975 00


975 00


975 00


Law


Salaries


2,700 00


300 00


3,000 00


3,000 00


Expense


2,500 00


5,000 00


7,500 00


7,471 05


28 95


Awards and Claims


5,000 00


2,800 00


7,800 00


7,644 83


155 17


City Clerk


Salaries


6,738 00


300 00


7,038 00


7,038 00


Expense


225 00


225 00


168 01


56 99


Vital Statistics


500 00


500 00


275 64


224 36


Dog Officer


1,200 00


1,200 00


1,051 94


148 06


City Messenger-Salary


..


800 00


800 00


800 00


579 10


Management of Property Expense ..


961 15


300 00


8,224 10


7,645 00


CITY OF QUINCY


46


City Engineer


Salaries and Wages Pensions


20,600 00 903 00 1,600 00 1,100 00


40 00 120 00


20,840 00 903 00 1,640 00 1,220 00


20,513 31 903 00 1,590 52 1,219 30


49 48


Auto Main. and Oper.


70


Board of Registrars


Salaries


2,075 00


2,075 00


2,075 00


Election Officers


8,280 00


300 00


7,980 00


7,948 50


31 50


Expense


8,400 00


100 00


1,000 00


7,500 00


7,108 12


391 88


Board of Survey


25 00


25 00


25 00


Planning Board


25 00


25 00


25 00


License Commission


378 00


378 00


365 12


12 88


Purchasing Dept.


Salaries


5,275 50


5,275 50


4,869 59


405 91


Expense


1,500 00


1,500 00


1,275 97


224 03


Supply Account


1,000 00


1,000 00


554 54


445 46


New Equipment


1,000 00


1,000 00


855 44


144 56


Retirement Board


Salary


1,200 00


1,200 00


1,200 00


Expense


1,350 00


1,350 00


1,188 10


161 90


Civil Service Registration


175 00


50 00


225 00


225 00


Municipal Buildings


Salaries and Wages.


6,736 20


200 00


6,936 20


6,920 70


15 50


Maintenance and Operation ..


19,264 06


19,264 06


19,240 17


23 89


Protection of Persons & Property


Police Department


Salaries


275,130 00


360 00


500 00


274,990 00


274,695 71


294 29


Pensions


8,250 00


850 00


7,400 00


7,350 01


49 99


Station and General Expense.


7,000 00


7,000 00


6,780 46


219 54


Radio Maintenance


2,000 00


125 00


2,125 00


2,118 06


6 94


Auto Maintenance


5,500 00


600 00


6,100 00


6.061 13


38 87


Prisoners Expense


400 00


400 00


381 60


18 40


Traffic


Liquor Law


50 00


50 00


50 00


Travelling Expense


500 00


500 00


447 62


52 38


Travel Outside State ..


100 00


100 00


63 23


36 77


New Equipment


4,500 00


125 00


4,375 00


4,357 28


17 72


AUDITOR'S REPORT


47


400 00


160 00


326 69


Expense


AUDITOR'S AND TREASURER'S STATEMENT FOR DECEMBER, 1938-Continued


Purpose


Bal. 1237


Appro.


Receipts


Add Transf.


Less Transf.


Total Credits


Expended


Balance


48


Fire Department


Salaries ...


243,159 00


660 00


625 00


243,194 00


243,181 88


12 12


Pensions


12,020 00


700 00


11,320 00


11,315 45


4 55


Station and General Expense.


11,750 00


460 00


11,290 00


11,278 44


11 56


Equipment, Maint. and Operation ..


6,650 00


175 00


6,825 00


6,723 48


101 52


llose


1,800 00


1,800 00


1,797 02


2 98


New Equipment


Fire and Police Signals Salaries and Wages


11,250 00


11,250 00


11,243 17


6 83


Power and Light


2,100 00


2,100 00


2,099 12


88


Maintenance and Operation.


9,500 00


84 00


9,416 00


9,379 11


36 89


Auto Maintenance & Operation


200 00


200 00


196 08


3 92


New Equipment


1,200 00


1,200 00


1,199 00


1 00


Sealer of Weights and Measures


Salaries


4,450 00


70 00


4,380 00


4,366 00


14 00


Expense


200 00


40 00


240 00


219 49


20 51


Auto Maintenance and Operation ....


150 00


30 00


180 00


173 98


6 02


Inspector of Wires


Salaries


3,200 00


3,200 00


3,200 00


Expense


250 00


250 00


246 12


3 88


Auto Maintenance and Operation ....


200 00


200 00


197 27


2 73


Inspector of Buildings


Salaries


3,900 00


3,900 00


3,900 00


Expense


275 00


275 00


237 75


37 25


Auto Maintenance


300 00


300 00


257 47


42 53


Protection of Persons and Property ....


Gypsy Moth


Salaries and Wages ....


16,500 00


1,850 00


14,650 00


14,641 96


8 04


Supplies and Expense.


2,500 00


2,500 00


2,322 45


177 55


1,250 00


1,250 00


1,099 09


150 91


Equipment, Maint. and Operation .. New Equipment


1,000 00


1,000 00


947 35


52 65


HEALTH AND SANITATION


Board of Health


5,850 00


700 00


6,550 00


6,548 58


1 42


Pensions


800 00


800 00


800 00


Expense


1,870 00


1,870 00


1.814 80


55 20


Auto Maint. and Operation.


1,572 00


1,572 00


1,155 55


386 45


Contagious Diseases


41,600 00


15,000 00


1,700 00


54,900 00


54,029 99


870 01


Undernourished Children


2,000 00


2,000 00


2,000 00


CITY OF QUINCY


Administration-Salaries


Dispensary-Salaries and Wages ....


4,850 00


4,850 00


4,850 00


Expense


400 00


400 00


384 67


15 33


Child Welfare -- Salaries


4,900 00


4,900 00


4,517 68


382 32


Expense


1,784 00


1,784 00


1,773 80


10 20


Dental Clinic


3,310 00


825 00


4,135 00


3,978 92


156 08


Expense


65 00


65 00


62 95


2 05


New Equipment


40 00


40 00


14 20


25 80


Public Works Administration


Salaries ...


14,964 00


1,070 00


200 00


15,834 00


15,673 85


160 15


Expense-Highway


300 00


300 00


271 71


28 29


Sewer


200 00


200 00


195 61


4 39


Garage and Stable Expense.


3,000 00


5,000 00


500 00


7,500 00


7,365 80


134 20


Sanitary Division


Salaries and Wages


108,600 00


10,750 00


119,350 00


119,064 86


285 14


Pensions


6,181 75


750 00


5,431 75


5,389 25


42 50


Equipment Rental


3,000 00


1,000 00


4,000 00


3,999 64


36


Equipment, Maintenance


8,700 00


750 00


9,450 00


9,415 57


34 43


New Equipment


2,000 00


2,000 00


1,934 95


65 05


Care of Dumps


7,000 00


2,000 00


9,000 00


8,931 47


68 53


Sewer Division


Maintenance


14,500 00


14,500 00


14,496 47


3 58


Pensions


3,292 68


3,292 68


3,094 68


198 00


Equipment, Maintenance


800 00


800 00


796 80


3 20


Particular Sewers


15,000 00


2,500 00


17,500 00


17,494 56


5 44


"Sewer Construction


227 99


50,000 00


32,000 00


82,227 99


79,543 30


2,684 69


*Sewer Cons., P.W.A., No. 2051


454 54


454 54


454 54


and No. 2051


14,468 52


HIGHWAYS


Highways


General Maintenance


225,000 00


8,000 00


233,000 00


232,158 16


841 84


Street Lighting


113,000 00


113,000 00


112,722 30


277 70


Pensions


12,496 00


500 00


11,996 00


11,946 79


49 21


Miscellaneous Activities


25.000 00


25,000 00


24,984 90


15 10


New Equipment


10,000 00


8,000 00


2,000 00


1,127 76


872 24


Storm Emergency


50,000 00


3,000 00


53,000 00


51,870 13


1,129 87


W. P.A .- Salaries & Administration Expense


48 58


350 00


398 58


186 98


211 60


W.P.A. Account


15 28


90,000 00


100,000 00


190,015 28


185,509 91


4,505 37


Land Takings, Hilda & Adams Sts.


508 50


508 50


* Non-Revenue Account


49


AUDITOR'S REPORT


Sewer Construction


42,000 00


41,950 00


50 00


50 00


*U. S. Grant Project No. 1985


14,468 52


12,000 00


2,468 52


15,389 97


15,389 97


15,312 71


77 26


Health Division-Salaries


7,050 00


7,050 00


7,050 00


..


Sewer New Equipment


AUDITOR'S AND TREASURER'S STATEMENT FOR DECEMBER, 1938-Continued


Purpose


Bal. 1937


Appro.


Receipts


Add Transf.


Less Transf.


Total Credits


Expended


Balance


Land Damages, School St.


50 00


50 00


Palmer St.


77 39


77 39


New Streets, 1926


23 76


23 76


New Streets, 1930 ...


158 44


158 44


Street Construction


32,000 00


32,000 00


Land Takings


Special Judgment


" Accepted


Streets,


1926


1 22 87


122 87


* Accepted


Streets,


1927


2,168 69


2,168 69


* Accepted


Streets, 1928


1,408 11


608 11


800 00


800 00


* Accepted


Streets, 1929


18 13


18 13


** Accepted


Streets,


1930.


1,397 05


1,397 05


* Accepted


Streets,


1931


78 09


78 09


7 03


7 03


" Street Construction


25,104 50


200,000 00


13,771 11


32,000 00


270,875 61


270,865 33


10 28


* Land Taking, Streets


449 62


5,297 05


5,746 67


4,723 21


1,023 46


* Sidewalk Construction


294 27


94,750 00


94,750 00


94,750 00


CHARITY AND SOLDIERS' BENEFITS


Public Welfare


Salaries


22,540 00


22,540 00


21,842 59


697 41


Expense


4,000 00


4,000 00


3,694 97


305 03


Anto Maintenance and Operation ...


2,700 00


400 00


3,100 00


3,097 70


2 30


New Equipment


2,000 00


2,000 00


1,997 20


2 80


City Home


9,000 00


7,400 00


6,948 66


451 34


Mothers' Aid


63,000 00


3,000 00


66,000 00


64,967 65


1,032 35


Mothers' Aid Salaries


2,350 00


2,350 00


2,350 00


Mothers' Aid Expense


300 00


300 00


298 30


1 70


Mothers' Aid Auto Maintenance ..


185 00


185 00


108 22


76 78


Mothers' Aid New Equipment.


600 00


600 00


599 65


35


Mothers' Aid Federal Grant.


813 08


14,332 32


15,145 40


13,990 90


1,154 50


Outside Aid


149 62


286,000 00


50 31


19,900 00


266,299 93


265,633 44


666 49


()ld Age Assistance Adm ..


3,100 00


3,100 00


3,071 95


28 05


()ld Age Assistance.


163,000 00


10,000 00


173,000 00


172,987 76


12 24


Old Age Assistance Adm. Fed. Gr.


561 25


4.750 96


5,312 21


4,865 83


446 38


Old Age Assistance Fed. Grant ...


660 17


142,529 89


143,190 06


143,160 86


29 22


Soldiers' Benefits


State Aid


2,500 00


2,065 00


2,065 00


Soldiers' Relief


50,000 00


15,000 00


135 00


65,135 00


65,106 18


28 82


Military Aid


3,000 00


3,000 00


2,999 00


1 00


Soldiers' Burials


400 00


400 00


400 00


50


CITY OF QUINCY


* Non-Revenue Accounts


..


...


5,757 91


8 00


8 00 5,757 91


5,757 91


Accepted


Streets, 1932


7 03


294 27


291 27


Highway Fund C 500 Act 1938


1,600 00


8 00


EDUCATION


Schools


1,252,772 00


6,000 00


1,258,772 00


1,258,621 20


150 80


Instruction


989,022 34


General Control


22,194 46


Co-ordinate and Auxiliary Agencies


27,828 54


Plant Maint. and Operation.


152,454 75


Equipment


12,560 46


Miscellaneous


2,921 58


Evening School


2,299 15


Americanization


1,762 74


Trade School


44,498 60


Co-operative Work


517 61


Out of City Industrial


1,148 23


Travel Outside State


79 40


Evening School Extention


1,333 34


Smith-Hughes Fund


1,964 20


1,850 67


3,814 87


1,964 20


1,850 67


Geo. Ellsey Fund


Geo. Deen Fund


3,527 50


3,527 50


3,027 50


500 00


Library


Salaries and Wages


35,679 28


6,370 72


460 01


160 00


42.350 01


42,350 01


Expense


11,500 00


700 00


10,800 00


10,799 06


94


Books and Periodicals


13,000 00


13,000 00


12,999 06


94


Anto Maint. and Operation


350 00


80 00


270 00


257 42


12 58


New Equipment


Parks


Administration Expense


100 00


100 00


98 17


1 83


Maintenance


Salaries and Wages


27,280 00


400 00


300 00


27.380 00


27.343 57


36 43


Supplies and Expense.


6,750 00


400 00


400 00


6,750 00


6,746 23


3 77


Equipment Maintenance


1,100 00


300 00


1,400 00


1,388 13


11 87


Fore River Club


3,260 00


55 00


3,205 00


3,204 49


51


New Equipment


1,100 00


45 00


1.055 00


1,053 53


1 47


ENTERPRISES


Hospital


Salaries and Wages


235.000 00


7,500 00


175 00


242.325 00


241,623 44


701 56


Expense


148,000 00


4,800 00


152,800 00


152,238 11


561 89


Pensions


2,002 00


175 00


2.177 00


2,168 25


8 75


New Equipment


7,000 00


7,000 00


6,874 09


125 91


Travel out of State


225 00


225 00


219 55


5 45


Rest and Nurses Rooms


8,000 00


8,000 00


7,753 54


246 46


Children's Ward


200 00


200 00


200 00


51


AUDITOR'S REPORT


Special Equipment


12,000 00


12,000 00


12.000 00


Continuation School


AUDITOR'S AND TREASURER'S STATEMENT FOR DECEMBER, 1938-Continued


Purpose


Bal. 1937


Appro.


Receipts


Add Transf.


Less fransf.


Total Credits


Expended


Balance


Cemetery


Salaries


31,000 00


8,431 35


39,431 35


37,880 50


1,550 85


Supplies and Expense


2,600 00


200 00


2,400 00


2,397 37


2 63


Equip. Maint. and Operation.


700 00


200 00


900 00


892 69


7 31


New Equipment


600 00


600 00


591 27


8 73


UNCLASSIFIED


C'elebrations


1,475 00


1,475 00


1,470 25


4 75


Veterans' Rent


3,000 00


3,000 00


2,950 00


50 00


G. A. R. Memorial


25 42


500 00


525 42


412 06


113 36


llarbor Master


450 00


450 00


450 00


Annual Report


2,000 00


2,000 00


1,798 00


202 00


Printing City Ordinances


332 30


332 30


256 68


75 62


Workmen's Compensation


13,000 00


2,400 00


10,600 00


10,258 48


341 52


Annuities


3,800 00


3,800 00


3,800 00


Mosquito Control


2,750 00


2,750 00


2,750 00


Parking Rent


2,300 00


2,300 00


2,300 00


Quincy Retirement System-Pensions


19,857 18


19,857 18


19,857 18


Moving Fire Alarm Building.


2,000 00


2,000 00


432 40


1,567 60


Deficit Bills


24,626 96


84 00


24,710 96


24,701 67


9 29


4 00


3,462 34


3,462 34


Special Judgment and Court ...


500 00


861 20


1,361 20


1,361 20


6 90


Sea Wall Houghs Neck


16,000 00


16,000 00


16,000 00


*Quincy Town River Improvement ..


68,460 00


68,460 00


68,460 00


*Hospital Administration Building ...


633 87


633 87


633 87


*Central Fire Station


146,094 53


2,500 00


148,594 53


121,350 46


4,511 03


*Land


86 02


86 02


8,368 09


8,368 09


Municipal Relief


100,000 00


100,000 00


150 00


100 00


50 00


* Nurses Home. Docket 1518F


100,000 00


100,000 00


51 39


99,948 61


*Fire Station, W. O. Docket 1521F.


32,000 00


32,000 00


1,565 78


30,434 22


Totals


$218,721 18


4,778,911 15


$340,196 32


$246,660 06


224,773 05


$5,359,715 66


$5,038,245 74


$321,469 92


Total Appropriations


9,828 23


4,322,693 24


323,925 21


177,363 01


220,294 09


4,613,515 60


4,469,132 92


144,382 68


Total Non-Revenue ..


208,892 95


456,217 91


16,271 11


69,297 05


4,478 96


746,200 06


569,112 82


177,087 24


Totals


$218,721 18


4,778,911 15


$340,196 32


$246,660 06


224,773 05


5,359,715 66


$5,038,245 74


$321,469 92


..


*Non-Revenue Accounts


52


CITY OF QUINCY


27,344 07


*Grant to Retire Garage Bonds


7,511 03


7,511 03


3,000 00


*Grade Crossing-Water St.


8,368 09


Nat'l Guard Day-Stad. Dedication.


150 00


...


..


2.500 00


35 01


2,464 99


2,109 81


355 18


Rifle Range


Land Taking-Playgrounds


3,458 34


Administration Building-Hospital.


6 90


Water Department


20,990 00


335 00


125 00


21,200 00


20,793 96 3,914 00


406 04 35 00


Pensions


3,824 00


125 00 125 00


125 00


3,875 00 49,875 00


2,839 70


1.035 30


Genl. Maintenance


50,000 00


3,654 87


Equip. Maint. and Operation.


3,500 00


3,500 00


2,986 38


513 62


Meters


3,500 00


3,500 00


3,422 19


77 81




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