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 1939 > Part 2
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445 46
Municipal Buildings
Salaries and Wages $ 7,290 00
Maintenance and Operation 19,000 00
19
AUDITOR'S REPORT
Police
Salaries and Wages
$281,800 00
Pensions
7,200 00
Station and General Expense 6,800 00
Radio Maintenance
2,500 00
Auto Maintenance and Operation
5,500 00
Prisoners' Expense
400 00
Traveling Expense
450 00
New Equipment
4,500 00
Fire
Salaries and Wages
$243,952 00
Pensions
12,016 00
Station and General Expense
9,700 00
Equipment Maintenance
6,200 00
Hose
1,750 00
New Equipment
2,100 00
Fire and Police Signals
Salaries and Wages $ 11,500 00
Power and Light ..
1,500 00
General Maintenance
8,750 00
Auto Maintenance
500 00
New Equipment (Communication System)
1,400 00
Sealer of Weights and Measures
Salaries
$ 4,350 00
Expense 225 00
Auto Maintenance
200 00
Inspector of Wires
Salaries
$ 3,200 00
Expense
250 00
Auto Maintenance
275 00
Inspector of Buildings
Salaries
$ 3,900 00
Expense 250 00
Auto Maintenance
300 00
Gypsy Moth
Salaries and Wages
$ 14,840 00 Supplies
2,500 00
Equipment Maintenance
1,100 00
20
CITY OF QUINCY
BOARD OF HEALTH
Administration
Salaries .$ 7,515 00
Pensions
800 00
Expense
1,800 00
Auto Maintenance
1,500 00
Contagious Diseases
Contagious Diseases $ 40,000 00
Child Welfare
Salaries
$ 4,900 00
Expense
1,709 00
Dental Clinic
3,965 00
Dispensary
Salaries
$ 6,500 00
Expense
400 00
Undernourished Children
2,000 00
Deficit Bills
92 00
Inspection
Salaries
$ 6,650 00
Expense
65 00
New Equipment
1,000 00
PUBLIC WORKS
Administration
Salaries
$ 16,046 00
Expense-Highway
275 00
Expense-Sewer ..
200 00
Sanitary
Salaries and Wages
$107,000 00
Pensions
5,382 00
Equipment Rental
3,000 00
Equipment Maintenance
6,500 00
Care of Dumps
7,500 00
Sewer
General Maintenance
$ 14,500 00
Pensions
2,418 00
Equipment Maintenance
800 00
Particular Sewers
15,000 00
New Equipment
150 00
Garage and Stable
7,000 00
21
AUDITOR'S REPORT
Highway
Pensions
$ 10,808 20
General Maintenance
150,000 00
Street Lighting
115,000 00
Miscellaneous Activities
22,000 00
W. P. A. Administration
Salaries
$ 13,854 00
Expense
200 00
Auto Maintenance
1,200 00
CHARITIES
Welfare
Administration Salaries $ 19,280 00
Expense
4,400 00
Auto Maintenance
2,900 00
New Equipment
790 00
City Home
7,500 00
Mothers' Aid
Administration Salaries $ 1,187 70
Expense
250 00
Auto Maintenance
185 00
Mothers' Aid
50,000 00
Outside Aid
185,000 00
Old Age Assistance
Administration 5,616 00
Assistance
150,000 00
Soldiers' Benefits
Soldiers' Relief
$ 65,000 00
State Aid
2,500 00
Military Aid
3,000 00
Soldiers' Burials
400 00
SCHOOLS
General
$1,245,000 00
LIBRARY
Salaries and Wages $ 38,494 77
Expense 12,700 00
Books and Periodicals
15,000 00
Auto Maintenance
200 00
New Equipment
700 00
22
CITY OF QUINCY
RECREATION
Parks
Administration
Salaries
$ 150 00
Expense
100 00
Maintenance
Salaries and Wages $ 31,808 00
Supplies and Expense
7,000 00
Equipment Maintenance
1,300 00
Fore River Club
2,560 00
New Equipment
1,100 00
HOSPITAL
Salaries and Wages
$250,000 00
Supplies and Expense
160,000 00
Pensions
2,457 00
New Equipment
8,000 00
Rent and Nurses' Rooms
4,400 00
CEMETERY
Salaries and Wages
$ 31,729 50
Supplies and Expense
2,400 00
Equipment Maintenance
900 00
UNCLASSIFIED
Celebrations
$ 1,225 00
Veterans' Rent
3,000 00
G. A. R. Memorial
500 00
Harbor Master Harbor Master Expense
50 00
Annual Report
2,000 00
Workmen's Compensation
10,000 00
Annuities
3,800 00
Rifle Range
1,800 00
Mosquito Control
2,750 00
Boiler Insurance
1,862 00
Maturing Debt
$725,249 39
General Interest
107,374 00
Temporary Loan Interest
11,000 00
Grand Total
$4,604,048 34
400 00
AUDITOR'S REPORT
23
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 Re- ceipts :
WATER DEPARTMENT
Salaries
$ 21,000 00
Pensions
3,949 00
Office Expense
2,800 00
General Maintenance
48,000 00
Equipment Maintenance
3,250 00
Service Connections
25,000 00
Meters
3,500 00
New Equipment
1,500 00
Debt
100,000 00
Interest
7,765 00
$216,764 00
Passed to be ordained April 24, 1939 Attest :- Emery L. Crane, Clerk of Council
Approved April 26, 1939. THOMAS S. BURGIN, Mayor.
A true copy. Attest :-
EMERY L. CRANE,
City Clerk.
24
CITY OF QUINCY
Additional Appropriations
Original Budget
$4,604,048 34
Council Order No.
3 Land Damages
$ 3 00
11 Town River Improvement
10,000 00
13 Health Pensions 1,005 00
22 Quincy Retirement System
22,416 93
42 Deficit Bills
929 33
43 Auditor's Salaries
900 00
67
Sewer Construction
32,000 00
90
Highway Pensions
660 00
81
Central Fire Station
1,000 00
82 Central Fire Station Grading
4,000 00
133 Police Pensions
776 42
103 Sanitary New Equipment
15,000 00
124 W. P. A. Materials
15,000 00
167 Police Pensions
575 14
237 Highway Pensions
405 00
266
Convention Expenses City Employees.
400 00
267
Quincy City Hospital-Oil Burners
8,000 00
295
Park Salaries and Wages
1,000 00
296
Travel Outside State (Schools)
105 00
278
Land Takings
32,000 00
279
Hospital Rent Nurses
Rooms
1,500 00
281
Park Fence (Kendall Park)
1,000 00
301
Library Grading
10,000 00
303
New Equipment-Fire Department
20,000 00
304 Fire Pensions
513 45
304
Fire Station and General Expense
750 00
$179,939 27
Grand Total
$4,783,987 61
25
AUDITOR'S REPORT
DEBT STATEMENT
Total Debt January 1, 1939
$4,321,217 91
Additions during 1939 Within Debt Limit :
Streets $235,000 00
Sewers
60,000 00
$295,000 00
Outside Debt Limit :
Municipal Relief
$250,000 00
Water
25,000 00
Emergency Storm 50,000 00
State Tax Refunding .. 85,000 00
Town River
52,000 00
$462,000 00
$5,078,217 91
Retirements during 1939 Within Debt Limit:
Schools
$66,000 00
Sewers
75,000 00
Streets
181,500 00
Sidewalks 50,000 00
Hospital 13,000 00
Town River
16,460 00
Central Fire Station
10,000 00
Land
14,000 00
Court Judgment
5,757 91
Bond Anticipation Loan
$431,717 91 52,000 00
Outside Debt Limit :
Schools
$97,500 00
Sewers
24,500 00
Hospitals 30,000 00
Municipal Relief 140,000 00
Municipal Garage
3,000 00
Emergency Loan
50,000 00
Fire Station 4,000 00
Water
100,000 00
$449,000 00
$932,717 91
Net Long-term Debt December 31, 1939 $4,145,500 00
Tax Title Loans
Outstanding January 1, 1939
$130,000 00
Issued during 1939 215,000 00
$345,000 00
Retired
210,000 00
Outstanding December 31, 1939
$135,000 00
26
CITY OF QUINCY
Funded Debt as of January 1, 1939
Schools
$701,000 00
Sewers
773,500 00
Streets
1,102,000 00
Sidewalks
20,000 1):)
Hospital
163,000 00
Water
239,000 00
Land
28,000 00
Garage
51,000 00
Emergency Storm
50,000 00
Fire Station West Quincy
28,000 00
Fire Station
125,000 00
Nurses Home
88,000 00
Town River
52,000 00
Municipal Relief
640,000 00
State Refunding
85,000 00
$4,145,500 00
Tax Titles
135,000 00
Total
$4,280,500 00
BORROWING CAPACITY FOR 1940
General Laws, Chapter 44, Section 10
"Except as otherwise authorized by law, a city shall not author- ize indebtedness to an amount exceeding 212 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 1937 $120,935,487 00
Motor vehicle excise 4,153,740 00
Net valuation real and personal 1938 120,734,123 00
Motor vehicle excise 3,903,393 00
Net valuation real and personal 1939 120,850,800 00
Motor vehicle excise 4,157,561 00
$374,735,104 00
Three years' average
124,911,701 33
212 per cent thereof
3,122,792 52
Debt within limit January 1 $2,094,000 00
Debt authorized but unissued 220,000 00
2,314,000 00
Borrowing margain as of January 1, 1940
$808,792 52
27
AUDITOR'S REPORT
Debt maturing in 1940 which will increase the borrowing margin:
January
$ 54,000 00
February
18,000 00
March
11,000 00
April
107,000 00
May
231,000 00
June
58,000 00
July
127,500 00
August
56,000 00
September
36,000 00
October
32,500 00
November
42,000 00
December
52,000 00
$825,000 00
CONDENSED BALANCE SHEET, JANUARY 1, 1940 Revenue Accounts
ASSETS
LIABILITIES
Cash .$ 273,332 34
Accounts Receivable :
Bills Payable
17,357 96
Taxes 1938 and Prior $ 19,657 94
Taxes 1939 1,042,913 77
Old Age Asst. Tax 1932
Motor Vehicle 1938 and Prior 5,443 00
Motor Vehicle 1939
5,711 65
11,154 65
Special Assessments :
Gypsy Moth
3 00
Sewer
21,815 28
Street Betterments
14,326 29
Sidewalks
1,027 09
Committed Interest
2,997 90
'Tax Titles
Cesspool
289 00
Sewer
325 00
Water
145 00
Hospital
635 00
Water Service Connections.
Department Bills :
Scavenger
786 73
Health
33,148 15
Particular Sewers
2,639 06
Unidentified Receipts
260 41
Overlay 1939
14,061 02
Excess and Deficiency
42,418 40
Welfare
120,180 46
State Assessments
17,413 72
Water Reserve ..
44,786 52
Parks ...
40 00
Cemetery
1,015 25
Gypsy Moth
725 22
Property for Sale.
Overlay Deficit 1938 and Prior .. ... 10,750 05
...
$1,996,450 42
$1,996,450 42
28
State of Massachusetts 449 00
Norfolk County 189 00
Appropriation Balances
93,176 08
Trust Funds Income
10,620 90
Revenue Reserved until Collected : Motor Vehicle Excise. $ 11,154 65
Special Assessments 40,169 56
Tax Titles ..
218,459 12
Water Liens
55,330 74
Water Revenue
9,214 24
Departmental 182,788 24
Property for Sale. 132,677 77
649,794 32
Special Deposits:
Water Liens
Water Rates 1938 and Prior .. 817 47
Water Rates 1939
4,798 99
5,616 46 3,597 78
1,394 00
Sale of Land
250 00
Excess Tax Title Sales
297 02
Pay Roll Tailings .. Trusteed Accounts
3,152 82
318 63
Highways 217 54
Schools 5,627 60
Old Age Assistance.
18,408 23
Tax Titles Reserved 510 62
182,788 24 132,677 77
Temporary Loans $1,100,000 00
1,062,571 71 2 00
40,169 56 218,459 12 55,330 74
CITY OF QUINCY
Cash Loan Authorized
..
Non-Revenue Accounts .$ 21,691 21 220,000 00
Appropriation Balances Unexpended. .... $241,691 21
$241,691 21
$241,691 21
Deferred Revenue Accounts
Apportioned Assessments not due :
Street Betterments
$ 30,827 28
Sewer
62,560 06
Sidewalks
2,030 64
$95,417 98
$95,417 98
Debt Accounts
Bonded Debt
$4,280,500 00
Bonded Debt .$4,280,500 00
Inside Debt Limit:
School Loans $ 376,000 00
Sewer Loans
406,000 00
Street Loans
1,102,000 00
Sidewalk Loans
20,000 00
Hospital Loans
37,000 00
Other Loans
153,000 00
-$2,094,000 00
Outside Debt Limit:
School Loans
.$ 325,000 00
Sewer Loans
367,500 00
Hospital Loans
126,000 00
Tax Title Loan
135,000 00
Municipal Relief Loans
640,000 00
State Tax Funding Loan .... 85,000 00
Other Loans
269,000 00
Water Debt
239,000 00
Bonded Debt
$4,280,500 00
Trust Funds
Cash and Securities in Custody of Treas- urer CA 436,427 09
Hospital
$ 19,984 69
Welfare
2,000 00
Schools
714,201 96
Library ..
21,000 76
Woodward Fund 356,153 92
Cemetery
253,191 20
Retirement System
160,251 20
$1,170,629 81
$1,170,629 81
AUDITOR'S REPORT
29
Cash and Securities in Custody of Trustees Adams Temple and School Funds 357,048 04
. ..
....
Library Funds 21,000 76
Deferred Special Assessments $95,417 98
1,947,500 00
CITY OF QUINCY-MUNICIPAL DEBT Within the Debt Limit 1940
Amount Due
Purpose of Loan
Date of Issue
Amount of Issue
Rate
Int.
1940
1941
1942
1943
1944
1945
1946
1947
1948
Schools
July
1923
$250,000
41/4
J-J
10,000
$10,000
$10,000
$10,000
No. Jr. High School
July
1926
75,000
4
J -J
5,000
5,000
Montclair and
Houghs Neck Schools June
1929
170,000
41/4
J .D
11,000
11,000
11,000
11,000
$11,000
Adams Sch. Add.
Dec.
1930
70,000
4
J-D
7,000
Quincy Sch. Add.
Aug.
1931
125,000
31/2
F-A
12,000
12,000
No. High Add.
May
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
Apr.
1930
70,000
4
A·O
7,000
Sewer
Aug.
1930
50,000
4
F-A
5,000
Sewer
May
1931
70,000
31/2
M-N
7,000
7,000
10,000
10,000
10,000
10,000
10,000
5,000
...
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
13/4
J-D
5,000
5,000
5,000
5,000
5,000
5,000
5,000
5,000
5,000
Sewer
Apr.
1939
50,000
1
A-O
10,000
10,000
10,000
10,000
10,000
Sewer
Nov. 1939
10,000
1
M-N
5,000
5,000
Streets
May
1930
65,000
4
M-N
6,000
Streets
Tune
1930
160,000
4
J-D
16,000
Streets
Dec.
1930
80,000
4
J-D
8,000
Streets
July
1931
175,000
3 1/2
J-J
15,000
15,000
15,000 17,000
15,000 17,000
15,000 17,000
Streets
Jan.
1935
25,000
13/4
J-J
5,000
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
20,000
Streets
Dec.
1937
50,000
21/4
T-D
5,000
5,000
5.000
5,000
5,000
5,000
5,000
5,000
Streets
May
1938
200,000
11/2
M-N
20,000
20,000
20,000
20,000
20,000
20.000
20,000
20,000
20,000
Streets
May
1939
200,000
11/4
M-N
200,000
20,000
20,000
20,000
20,000
20,000
20,000
20,000
20,000
Streets
Dec.
1939
35,000
3/4
J-D
7,000
7,000
7,000
7,000
7,000
Sidewalks
Jan.
1935
100,000
13/4
J-J
20,000
Hospital Bldg.
June
1929
90,000
4 1/4
J-D
6,000
6,000
6,000
6,000
6,000
Operating B1.
Aug. 1930
70,000
4
F-A
7,000
Cen. Fire Sta.
Jan.
1938
135,000
13/4
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
31/2
M-S
14,000
14,000
...
...
.
Totals
$386,000
$305,000
$246,000
$246,000
$236,000
-
$165,000
$135,000
$105,000
$75,000
.
...
...
...
..
Sewer
Oct.
1933
120,000
41/4
A·O
F-A
5,000
5,000
5,000
5,000
5,000
5,000
Sewer
Jan.
1935
100,000
23/4
J-J
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
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
Streets
May
1934
150,000
3
M-N F-A
M-N
A-O
10,000
10,000
10,000
10,000
10,000
10,000
Streets
Apr.
1937
200,000
21/2
A-O
20,000
20,000
20,000
20,000
20,000
20,000
Streets
Aug.
1934
175,000
23/4
17,000
17,000
Streets
May
1935
100,000
Streets
Oct.
1935
100,000
21/4 2
...
CITY OF QUINCY
..
...
...
........
...
...
Sewer
Feb.
1934
60,000
4
10,000
Sewer
...
.....
.......
30
10,000
16,000
16,000
CITY OF QUINCY-MUNICIPAL DEBT Within the Debt Limit 1940 (Continued)
Amount Due
Purpose of Loan
Date of Issue
Amount of Issue
Rate
Int.
1949
1950
1951
1952
1953
1954
1955
Totals
Schools
July
1923
$250,000
414
J-J
$40,000
No. Jr. High School July
1926
75,000
4
J-J
..
..
...
..
..
..
10,000
Montclair and
Houghs Neck Schools June
1929
170,000
4 1/4
J-D
....
........
..
........
........
55,000
Adams Sch. Add.
Dec.
1930
70,000
4
J-D
7,000
Quincy Sch. Add.
Aug.
1931
125,000
31/2
F-A
24,000
Ño. High Add.
May
1935
300,000
21/2
M-N
$15,000
$15,000
$15,000
$15,000
$15,000
$15,000
15,000
240,000
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
...
...
...
...
...
...
.. .
14,000
Sewer
Oct.
1933
120,000
414
A-O
60,000
Sewer
Feb. 1934
60,000
4
F-A
...
...
...
...
25,000
Sewer
Jan.
1935
100,000
23/4
J-J
5,000
5,000
5,000
5,000
5,000
5,000
5,000
80,000
Sewer
June
1936
50,000
134
J-D
Sewer
Apr.
1937
50,000
21,5
A-(
40,000
Sewer
May
1938
50,000
11/2
M - N
45,000
Sewer
Apr.
1939
50,000
AO
50,000
Sewer
Nov. 1939
10,000
1
M - N
Streets
May
1930
65,000
4
M1- N
Streets
June
1930
160,000
4
Streets
Dec.
1930
80,000
4
J-D
8,000
Streets
July
1931
175,000
31/2
32,000
Streets
May
1934
150,000
3
175,000
23/4
85,000
Streets
Jan.
1935
25,000
13/4
J - T
Streets
May
1935
100,000
60,000
Streets
Oct.
1935
100,000
2
AO
60,000
Streets
May
1936
200,000
2
M-N
140,000
Streets
Apr.
1937
200,000
215
A-O
Streets
Dec.
1937
50,000
21/4
T-D
40,000
Streets
May
1938
200,000
11/2
M-N
180,000
Streets
May 1939
200,000
11/4
M -N
200,000
Streets
Dec. 1939
35,000
3/4
J-D
35,000
Sidewalks
Jan.
1935
100,000
13/4
J -J
...
...
20,000
Hospital Bldg. .
June
1929
90,000
414
T-D
...
Operating B1.
Aug. 1930
70,000
4
F-A J-J
5,000
5,000
5,000
5,000
5,000
5,000
5,000
125,000
Land
Sept. 1931
140,000
31/2
M -S
........
.....
* Bond Anticipation Note
LEO E. MULLIN, Auditor of Accounts.
31
Totals
$45,000
$25,000
$25,000
$25,000
$25,000
$25,000
$35,000
$2,094,000
...
..
...
...
..
35,000
Sewer
Nov.
1934
50,000
21/4
M - N
..
...
........
...
....
...
7,000
Cen. Fire Sta.
Jan.
1938
135.000
1 3/4
M- N F-A
75,000
Streets
Aug.
1934
5,000
214
M - N
AUDITOR'S REPORT
6,,000
16,000
....
...
........
...
...
..
10,000
...
...
30,000
28,000
..
7,000
5,000
35,000
1
160,000
20,000
CITY OF QUINCY-MUNICIPAL DEBT Outside the Debt Limit 1940
Amount Due
Statutory Authority
Purpose
Date of Issue
Amount of Issue
Rate
Int.
1940
1941
1942
1943
1944
1945
1946
1947
1920 Chap. 526
High Sch. Land
Oct.
1921
$58,000
5
$2,500
$2,500
1920 Chap. 526
H. S. Building
May
1922
800,000
4
A-O M-N J-J
39,000
39,000
$39,000
..
........
..
1929
Chap. 122
Houghs Neck Schls.
June 1929
200,000
4 1/4
J-D A-O
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
...
...
...
1929
125
Hospital Add.
June
1929
90,000
4 1/4
J-D
6,000
6,000
6,000
6,000
6,000
5,000
$5,000
$4,000
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. 502
Fire Station
Nov. 1938
32,000
134
M-N
4,000
4,000
4,000
4,000
3,000
3,000
3,000
3,000
1939
Chap. 126
Storm Emerg.
May 1939
50,000
1
M-N
10,000
10,000
10,000
10,000
10,000
1939
Chap. 294
State Tax Ref.
Sept. 1939
85,000
11/2
M-S
17,000
17,000
17,000
17,000
17,000
1939 Chap. 265
Town River
Feb. 1939
52,000
1
F-A
13,000
13,000
13,000
13,000
1902 Chap. 248
Sewer
July
1902
60,000
31/2
J-J
1,500
1,500
1,500
.......
...
May
1903
70,000
31/2
M-N
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
....
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
Sewer
Apr.
1910
40,000
4
A-O
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1911 Chap.
57
Sewer
Mar.
1912
40,000
4
M-S
1,000
1,000
1,000
1,000
9,000
9,000
9,000
9,000
1933 Chap. 366
Drains
Jan.
1934
128,000
31/4
J-J
5,000
5,000
5,000
4,000
4,000
4,000
4,000
4,000
1935 Chap.
188
Municipal Relief
Aug.
1935
125,000
F-A
15,000
10,000
10,000
10,000
10,000
10,000
1935 Chap.
188
Municipal Relief
Oct.
1935
50,000
A-O
10,000
........
1935 Chap.
188
Municipal Relief
Dec.
1935
60,000
11/2
J-D
10,000
10,000
...
...
1936 Chap.
80
Municipal Relief
July
1936
200,000
11/2
J-J J-D
15,000
J-J.
20,000
20,000
20,000
...
...
..
1937
Chap.
102
Municipal Relief
Nov. 1937
85,000
134
M-N
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
10,000
.....
.....
1939 Chap. 105
Municipal Relief
May 1939
250,000
11/4
M-N
25,000
25,000
25,000
25,000
25,000
25,000
25,000
25,000
Totals
$360,000
$330,000
$247,500
$173,000
|$147,000
$95,000
$62,000
$61,000
...
...
.......
1926 Chap. 303
So. Jr. H. S. Bldg.
July
1926
450,000
4
30,000
30,000
1929 Chap. 122
No. Jr. H. S. Bldg.
Apr.
1930
200,000
4
21/4
M-S
5,000
5,000
5,000
5,000
5,000
11,000
11,000
11,000
1938
Chap.
50
Nurses Home
Nov.
1938
100,000
13/4
M-N
11,000
11,000
11,000
11,000
11,000
1935
Chap. 404
Hospital Bldg.
Mar.
1936
90,000
41/4
M-N
2,000
2,000
2,000
1920 Chap. 526
Hospital Add.
Nov. 1922
40,000
...
CITY OF QUINCY
...
1911 Chap.
57
Sewer
Mar.
1913
40,000
4
M-S
1,000
1,000
1,000
1933 Chap. 366
Sewer
Jan.
1934
275,000
31/4
J-J
9,000
9,000
9,000
9,000
1936
Chap.
80
Municipal Relief
Dec.
1936
60,000
11/4
1937 Chap. 107
Municipal Relief
July 1937
100,000
134
40,000
40,000
1905 Chap.
151
Sewer
1902 Chap. 248
Sewer
...
2 11/2
..
32
...
Montclair and
13,000
Chap.
CITY OF QUINCY-MUNICIPAL DEBT Outside the Debt Limit 1940 (Continued)
Amount Due
Statutory Authority
Purpose
Date of Issue
Amount of Issue
Rate
Int.
1948
1949
1950
1951
1952
1953
1954
1955
1920 Chap. 526
High Sch. Land
Oct.
1921
$58,000
5
A-O M-N
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
41/4
J-D
1929 Chap. 122
No. Jr. H. S. Bldg.
Apr.
1930
200,000
4
A-O
M-S
...
..
1920
Chap. 526
Hospital Add.
Nov.
1922
40,000
41/4
M-N
1929
Chap. 125
Hospital Add.
June
1929
90,000
41/4
J-D
1935
Chap. 404
Hospital Bldg.
Mar.
1936
90,000
21/4
M-S
$4,000
$4,000
$4,000
$4,000
$4,000
$4,000 3,000
$4,000 3,000
1935
Chap. 404
Municipal Gar.
Mar.
1936
60,000
21/4
M-S
3,000
3,000
3,000
3,000
3,000
1938
Chap.
50
Nurses Home
Nov.
1938
100,000
134
M-N
1938
Chap. 502
Fire Station
Nov. 1938
32,000
13/4
M-N
M-N
M-S
1939 Chap. 265
Town River
Feb. 1939
52,000
1
F-A
..
..
..
..
1902
Chap.
248
Sewer
July
1902
60,000
31/2
J -J M-N
4
J-O
4
A-O
1,000
1,000
1,000
1911
Chap.
57
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
Drains
Jan.
1934
128,000
31/4
J-J
4,000
4,000
4,000
4,000
4,000
4,000
4,000
4,000
1935 Chap. 188
Municipal Relief
Aug.
1935
125,000
2
F-A
1935 Chap.
188
Municipal Relief
Oct.
1935
50,000
11/2
A-O
1935 Chap.
188
Municipal Relief
Dec.
1935
60,000
11/2
T-D
1936
Chap.
80
Municipal Relief
July
1936
200,000
11/2
J-J
1936
Chap.
80
Municipal Relief
Dec.
1936
60,000
11/4
1937
Chap.
107
Municipal Relief
Tuly
1937
100,000
13/4
I-J
..
..
..
..
..
...
1937
Chap.
102
Municipal Relief
May
1937
85,000
134
M-N
........
........
1938
Chap.
58
Municipal Relief
May
1938
100,000
11/2
M-N
1939 Chap. 105
Municipal Relief
May
1939
250,000
114
M-N
25,000
25,000
$46,000
$46,000
$21,000
$20,000
$20,000
$20,000
$20,000
$20.000
AUDITOR'S REPORT
1902
Chap.
248
Sewer
May
1903
70,000
31/2
1902 Chap.
248
Sewer
June
1904
50,000
1905
Chap. 151
Chap. 151
Sewer
Apr.
1910
40,000
4
...
1911
Chap.
57
Sewer
Mar.
1913
40,000
Jan.
1934
275,000
31/4
J-J
T-D
..
..
..
..
..
..
1920 Chap. 526
H. S. Building
May
1922
800,000
4
..
..
..
1920
Chap. 526
Hospital Add.
Sept. 1922
100,000
4
..
....
1939
Chap.
126
Storm Emerg.
May 1939
50,000
1
1939
Chap. 294
State Tax Ref.
Sept. 1939
85,000
11/2
...
..
.. .
1905
Sewer
Apr.
1907
40,000
...
.......
......
.. .
...
..
....
..
...
.....
..
33
...
....
..
...
..
....
..
..
...
...
..
..
....
1933 Chap. 366
Sewer
........
....
........
Totals
...
...
Montclair and
..
...
...
A-O
$4,000 3,000
CITY OF QUINCY-MUNICIPAL DEBT Outside the Debt Limit 1940 (Continued)
Amount Due
Statutory Authority
Purpose
Date of Issue
Amount of Issue
Rate
Int.
1956
1957
1958
1959
Totals
1920 Chap. 526
High Sch. Land
Oct.
1921
$58,000
5
$5,000
1920 Chap. 526
H. S. Building
May
1922
800,000
4
117,000
1926 Chap. 303
So. Jr. H. S. Bldg.
July
1926
450,000
4
60,000
1929 Chap. 122
Houghis Neck Schls.
June
1929
200,000
414
J-D
65,000
1929 Chap. 122
No. Jr. H. S. Bldg.
Apr.
1930
200,000
4
A.O
78,000
1920 Chap.
526
Hospital Add.
Sept. 1922
100,000
4
M -S
15,000
1920 Chap. 526
Hospital Add.
Nov. 1922
40,000
414
M-N
6,000
1929 Chap. 125
Hospital Add.
June 1929
90,000
414
J-D
30,000
1935 Chap.
404
Hospital Bldg.
Mar. 1936
90,000
214
M-S
$4,000
75,000
1935 Chap. 404
Municipal Gar.
Mar. 1936
60,000
21/4
M-S
3,000
51,000
1938 Chap.
Nurses Home
Nov. 1938
100,000
134
M-N
88,000
1938 Chap. 502
Fire Station
Nov. 1938
32,000
134
M -N
...
..
50,000
1939
Chap. 294
State Tax Ref.
Sept. 1939
85,000
11,2
M-S
85,000
1939 Chap. 265
Town River
Feb. 1939
52,000
1
F-A
..
1902 Chap. 248
July
1902
60,000
31/2
J -J
1902
Chap. 248
Sewer
May 1903
70,000
312
M -N
1902
Chap. 248
Sewer
June
1904
50,000
4
JO
5,000
1905 Chap. 151
Sewer
Apr.
1907
40,000
4
A-O
8,000
1905 Chap. 151
Sewer
Apr.
1910
40,000
4
A-O
M-S
4
MS
4,000
1933 Chap. 366
Sewer
Jan.
1934
275,000
31/4
J -J
9,000
$9,000
$9,000
$9,000
225,000
1933 Chap. 366
Drains
Ja11.
1934
128,000
314
J-J
4,000
4,000
4,000
4,000
1960 to 1964 Inclusive $9,000 Annually 1960 to 1964 Inclusive $4,000 Annually
103,000
1935 Chap. 188
Municipal Relief
Aug.
1935
125,000
2
F-A
...
1935 Chap. 188
Municipal Relief
Oct.
1935
50,000
112
A O
10,000
. 1935
Chap. 188
Municipal Reliet
Dec.
1935
60,000
20,000
1936 Chap.
80
Municipal Relief
July
1936
200,000
11/2
J-J
80,000
1936 Chap.
80
Municipal Relief
Dec.
1936
60,000
11/4
J-D
15,000
1937 Chap. 107
Municipal Relief
July
1937
100,000
134
J-J
60,000
1937 Chap. 102
Municipal Relief
Nov. 1937
85,000
1 3/4
M-N
55,000
1938 Chap.
58
Municipal Relief
May 1938 May 1939
250,000
11/4
M -N
250,000
Totals
$20,000
$13,000
$13,000
$13,000
$65,000
$1,812,500
LEO E. MULLIN, Auditor of Accounts.
34
CITY OF QUINCY
11,000
1911 Chap. 57
Sewer
Mar. 1912
40,000
4
3,000
1911 Chap.
57
Sewer
Mar. 1913
40,000
1939 Chap.
126
Storm Emerg.
May 1939
50,000
1
M-N
..
...
50
28,000
52,000
Sewer
4,500
4,000
..
..
85,000
1939 Chap. 105
Municipal Relief
100,000
11/2
M-N
...
A-O M-N J -J
Montclair and
....
65,000
J-D
CITY OF QUINCY-WATER DEBT-1940
Amount Due
Statutory Authority
Purpose
Date of Issue
Amount of Issue
Rate
Int.
1940
1941
1942
1943
1944
1945
1946
1947
1948
Totals
1907 Chap. 182
Water
1910
4
M-S A-O J-J M-N
$1,000 40,000 5,000
$40,000 5,000
$5,000
$5,000
$5,000
........ $5,000
..... ...
..
18,000
Statutes
Water
Apr.
1937
50,000
21/2
5,000
5,000
5,000
5,000
5,000
5,000
$5,000 5,000
$5,000 5,000
$5,000
45,000
Statutes
Water
Apr.
1939
25,000
11/2 1
A-O M-N A-O
5,000
5,000
5,000
5,000
5,000
......
$10,000
$10,000
$5,000
$239,000
...
........
........
...
$1,000-
Statutes
Water
July
1935
50,000
2
30,000
Statutes
Water
May 1936
72,000
11/4
18,000
40,000
Statutes
Water
May
1938
50,000
5,000
5.000
5,000
5,000
5,000
5,000
25,000
Totals
$79,000
$60,000
$20,000
$20,000
$20,000
$15,000
...
........
......
80,000
Statutes
Water
Mar. Apr.
1926
$30,000 600,000
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