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 1940 > Part 3
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$4,014,500.00
Sewer Loans
Debt Accounts · · side Debt Limit: School Loans 316,000.00 390,000.00
33
.
AUDITOR'S REPORT
57,758.26
Street Loans
1,132,000.00
Hospital Loans
24,000.00
Other Loans
129,000.00
.
Outside Debt Limit :
School Loans
227,500.00
Sewer Loans .
346,000.00
Hospital Loans
108,000.00
Tax Title Loan ..
121,000.00
Municipal Relief Loans
725,000.00
State Tax Funding Loan
68,000.00
Other Loans
228,000.00
1,823,500.00
Water Debt
200,000.00
$4,014,500.00
$4,014,500.00
Trust Funds
Cash & Securities in Custody of Treas. $ 492,877.83
Hospital
21,347.24
Welfare
2,000.00
Schools
714,708.57
Library
11,373.27
11,373.27
Cemetery
263,066.20
Retirement System
205,464.39
$1,217,959.67
$1,217,959.67
3-4
1,991,000.00
CITY OF QUINCY
Cash & Securities in Custody of Trustees: Adams Temple and School Funds 357,538.56 Woodward Fund 356,170.01
Library Funds
!
CITY OF QUINCY-MUNICIPAL DEBT Within the Debt Limit 1941
Amount Due
Purpose of Loan
Date of Issue
Amount of Issue
Rate
Int.
1941
1942
1943
1944
1945
1946
1947
1948
1949
Schools
July
1923
250,000
414
J -J
10,000
10,000
10,000
No. Jr. High School
July
1926
75,000
4
J -J
5,000
Montelair and
June
1929
170,000
414
J-I)
11,000
11,000
11,000
11,000
Quincy School Addition
Aug.
1931
195.000
31/2
1-A
12,000
North High Addition
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
May
1931
70,000
312
M-N
7,000
10,000
10,000
10,000
10,000
Sewer
Feb.
134
60,000
4
F-A
5,000
5,000
5 000
5,000
5 000
5 000
..
Sewer
Nov.
1934
50,000
214
M-N
5,000
5,000
5 000
5 000
Sewer
.Jan.
1935
100,000
234
J -J
5,000
5,000
5 000
5 000
5 000
5 000
5 000
5 000
5 000
Sewer
June
1936
50,000
144
J-1)
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
Sewer
Apr.
1939
50.000
1
A-(
5,000
5,000
5 000
5,000
5,000
5 000
5 000
5 000
5 000
Sewer
Nov.
1940
8,000
1
F
8,000
Streets
July
1931
175.000
312
.J - J
16,000
15 000
15.000
15,000
Streets
Aug.
1934
175 000
234
F-A
17.000
17,000
17,000
17,000
Streets
May
1935
100.000
214
M-N
10,000
10,000
10,000
10.000
10,000
Streets
Oct.
1935
100,000
2
A-O
10.000
10,000
10,000
10.000
10,000
Streets
May
1936
200,000
2
M-N
20,000
20,000
20,000
20,000
20,000
20,000 20,000
Streets
Dec.
1937
50.000
214
J-1)
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
20,000
Streets
Dec.
1939
35,000
3/4
J-I)
7,000
7,000
7,000
7,000 25,000
25,000
20,000
20,000
20,000
20,000
Hospital Building
June
1929
90.000
41/4
J - D
6,000
6,000
6,000
6,000
C'entral Fire Station
Jan.
1938
135,000
1 34
J -J
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
5 000
Land
Sept.
1931
140,000
31/2
M-S
14,000
Totals
343,000
276 000
276,000
266,000
195,000
160,000
130 000
100,000
70,000
Sewer
May
1938
50,000
11/2
M-N
5,000
5,000
5 000
5 000
5 000
5 000
5 000
Sewer
Nov.
1939
10 000
1
M-N
Sewer
Маг.
1940
50.000
1
MI
5,000
Streets
May
1934
150.000
3
M-N
A-0
20,009
20,000
20,000
20,000
20,000
20,000 5 000
Streets
May
1939
200,000
114
M-N
20,000
20,000
20,000
20,000
20,000
20,000
20,000
..
Streets
Mar.
1940
225,000
1
25,000
25,000
25,000
Streets
Apr.
1937
200.000
21/2
10,000
10,000
10,000
10,000
Sewer
Oct.
1933
120.000
414
A-0
10,000
AUDITOR'S REPORT
.
.
.
.
35
Houghs Neck Schools
15 000
CITY OF QUINCY-MUNICIPAL DEBT Within the Debt Limit 1941 (Continued)
36
Purpose of Loan
Date of Issue
Amount of Issue
Rate
Int.
1950
1951
1952
1953
1954
1955
1956
Schools
July
1923
250,000
41/4
J-J
30,000
No. Jr. High School
July
1926
75,000
4
J-J
5,000
Houghs Neck Schools
June
1929
170,000
414
J-D
44,000
Quincy School Addition
Aug.
1931
125,000
31/2
F-A
12,000
North High Addition
May
1935
300,000
21/2
M-N
15,000
15,000
15,000
15,000
15,000
15,000
225,000
Sewer
May
1931
70,000
31/2
M-N
7,000
Sewer
Oct.
1933
120,000
414
A-O
50,000
Sewer
Feb.
134
60,000
4
F-A
30,000
Sewer
Nov.
1934
50,000
21/4
M-N
20,000 75,000
Sewer
June
1936
50,000
14
J-D
30.000
Sewer
Apr.
1937
50,000
21/2
A-O
35 000
Sewer
May
1938
50,000
11/2
M-N
40,000
Sewer
Apr.
1939
50,000
1
A-O
40,000
Sewer
Nov.
1939
10 000
1
M-N
5,000
Sewer
Mar.
1940
50,000
1
M
.
50,000
Sewer
Nov.
1940
8,000
1
F
5 000
8 000
Streets
.July
1931
175,000
31/2
J-J
16.000
Streets
May
1934
150,000
3
M-N
60,000
Streets
Ang.
1934
175 000
2 34
F-A
68,000
Streets
May
1935
100,000
2 1/4
M-N
50,000
Streets
Oct.
1935
100,000
2
A-O
50,000
Streets
May
1936
200,000
2
M-N
120,000
Streets
Apr.
1937
200,000
21/2
A-O
140.000
Streets
Dec.
1937
50,000
21/4
J-D
35,000
Streets
May
1938
200,000
1 1/2
M-N
160,000
Streets
May
1939
200,000
1 1/4
M-N
180,000
Streets
Dec.
1939
35,000
3/4
J -D
28,000
Streets
Mar.
1940
225,000
1
20,000
225,000
Hospital Building
June
1929
90,000
41/4
J-D
24 000
Central Fire Station
Jan.
1938
135,000
13%
J-J
5 000
5 000
5 000
5 000
5 000
5 000
115,000
Land
Sept.
1931
140,000
31/2
M-S
14,000
Totals
50,000
25 000
25 000
25 000
25 000
25 000
1,991 000
LEO E. MULLIN, Auditor of Accounts.
CITY OF QUINCY
. .
.
.
. .
5 000
5 000
Sewer
Jan.
1935
100,000
234
J-J
5 000
5 000
5 000
. .
Montclair and
Amount Due
Totals
5 000
CITY OF QUINCY-MUNICIPAL DEBT Outside the Debt Limit 1941
Statutory Authorlty
Purpose
Date of Issue
Amount of Issue
Rate
Int.
1941
1942
1943
1944
1945
1946
1947
1948
1920
Chap.
52€
lflgh School Land
Oct.
1921
58,000
5
A-O
2,500
1920
Chap.
526
lligh School Bullding
May
1922
800,000
1
M-N
39,000 30,000
39,000
1929
Chap.
122
Montelair and
Houghs Neck Schools
June
1929
200,000 200,000
414
J-D
13,000 13,000
13 000 13 000
13,000 13,000
13,000 13,000
13,000
1920
Chap.
526
Hospital Addlt lon
Sept.
1922
100,000
4
M-S
5,000
5,000
1920
Chap.
526
Hospital Addition
Nov.
1922
40,000
M-N
2,000
2,000
1929
Chap.
125
Hospital Addition
June
1929
90,000
414
J-D
6,000
6,000
6,000
6,000
1935
Chap.
404
Hospital Bullding
Mar.
1936
90,000
214
M-S
5,000
5,000
5.000
5,000
5,000
5,000
4,000
4,000
1935
Chap.
104
Munlelpal Garage
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
Nurses Ilome
Nov.
1938
100,000
14
M-N
11,000
11,000
11,000
11,000
11,000
11.000
11,000
1938
Chap.
502
Fire Station
Nov.
1938
32,000
1%
M-N
4,000
4,000
4,000
3,000
3,000
3,000
3,000
1939
Chap.
126
Storm Emergency
May
1939
50,000
1
M-N
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
1939
Chap.
265
Town River
Feb.
1939
52 000
1
F-A
13 000
13,000
13,000
1902
Chap.
248
Sewer
July
1902
60,000
31/2
J-J
15,000
1,500
1902
Chap.
248
Sewer
May
1903
70,000
31/2
M-N
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
1905
Chap.
151
Sewer
Apr.
1907
40,000
4
A-0
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
9,000
9,000
9,000
9,000
9,000
3,000
1933
Chap. 366
Dralns
Jan.
1934
128,000
31/4
J -J
5,000
5,000
4,000
4.000
4,000
4,000
4,000
4,000
1935
Chap.
188
Munlelpal Relief
Aug.
1935
125,000
2
F-A
10,000
10,000
10,000
10,000
10,000
1935
Chap.
188
Munl-lpal Relief
Dec.
1935
60,000
11/2
J-D
10,000
1936
Chap.
80
Munlelpal Relief
July
1936
200,000
11/2
J-J
40,000
1937
Chap.
107
Municipal Relief
July
1937
100,000
14
J-J
20,000
20,000
1937
Chap.
102
Munlelpal Relief
May
1937
85,000
1%
M-N
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
10,000
1939
Chap.
Municipal Relief
May
1939
250,000
11/4
M-N
25,000
25,000
25,000
25,000
25,000
25,000
£5,000
25,000
1939
Chap.
72
Munlelpal Relief
Apr.
1940
250,000
1
A-O
25,000
25,000
25,000
25,000
25,000
25,000
25,000
25,000
Totals
355,000
272,500
198,000
172 000
120,000
87,000
86 000
71,000
1926
Chap.
303
So. Jr. High School Bldg.
July
1926
450,000
1
J-J
1929
Chap.
122
No. Jr. Hlgh Sch. Bldg.
Apr.
1930
4
A-O
AUDITOR'S REPORT
1911
Chap.
57
Sewer
Mar.
1913
40,000
4
M-S
1 000
1 000
1933
Chap.
366
Sewer
Jan.
1934
275,000
314
J-J
9,000
9,000
17,000
37
Amount
Due
38
CITY OF QUINCY-MUNICIPAL DEBT Outside the Debt Limit 1941 (Continued)
Amount Due
Statutory Authority
Purpose
Date of Issue
Amount of Issue
Rate
Int.
1949
1950
1951
1952
1953
1954
1955
1956
1920
Chap.
52€
High School Land
Oct.
1921
58,000
5
A-O
1920
Chap.
52€
High School Building
May
1922
800,000
4
M-N
1926
Chap.
303
So. Jr. High School Bldg.
July
1926
450,000
4
J -J
1929
Chap.
122
Montclair and
Houghs Neck Schools
June
1929
200,000 200,000
414 4
A-0
1920
Chap.
526
Hospital Addition
Sept.
1922
100,000
4
M-S
1920
Chap.
526
Hospital Addition
Nov.
1922
40,000
41/4
M-N
1929
Chap.
125
Hospital Addition
June
1929
֏0,000
414
J-D
1935
Chap.
404
Hospital Building
Mar.
1936
90,000
214
M-S
1935
Chap.
404
Municipal Garage
Mar.
1936
60,000
214
M-S
1938
Chap.
50
Nurses Home
Nov.
1938
100,000
134
M-N
1938
Chap.
502
Fire Station
Nov.
1938
32,000
134
M-N
1939
Chap.
126
Storm Emergency
May
1939
50,000
1
M-N
1939
Chap.
294
State Tax Ref.
Sept.
1939
$5,000
11/2
M-S
1939
Chap.
265
Toun River
Feb.
1939
52 000
1
F-A
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
1905
Chap.
151
Sewer
Apr.
1910
40,000
4
1 000
1 000
1911
Chap.
57
Sewer
Mar.
1912
40,000
4
M-S
1911
Chap.
57
Sewer
Mar.
1913
40,000
4
M-S
1933
Chap.
366
Sewer
Jan.
1934
275,000
31/4
J-J
9,000
9,000
9.000
9,000
9,000
9,000
9.000
9,000
1933
Chap.
36€
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
Dec.
1935
60,000
11/2
J-D
1936
Chap.
80
Municipal Relief
July
1936
200,000
11/2
J-J
1937
Chap.
107
Municipal Relief
July
1937
100.000
134
J-J
1937
Chap.
107
Municipal Relief
May
1937
85,000
134
M-N
1938
Chap.
58
Municipal Relief
May
1938
100,000
11/2
M-N
1939
Chap.
72
Municipal Relief
May
1939
250,000
11/4
M-N
25,000
1939
Chap.
72
Municipal Relief
Apr.
1040
250,000
1
A-0
25,000
25,000
Totals
71,000
46,000
20,000
20,000
20,000
20,000
20,000
20,000
1929
Chap. 122
No. Jr. High Sch. Bldg.
Apr.
1930
4,000 3,000
4,000 3.000
4,000 3,000
4,000 3,000
4,000 3.000
4,000 3,000
4,000 3,000
4,000
3,000
CITY OF QUINCY
A-O
J-D
CITY OF QUINCY-MUNICIPAL DEBT Outside the Debt Limit 1941 (Continued)
Statutory Authority
Purpose
Date of Issue
Amount of Issue
Rate
Int.
1957
1958
1959
1 1960
Totals
1920
Chap.
526
lligh School Land
Oct.
1921
58,000
5
A-O
1920
('hap.
526
High School Building
May
1922
800,000
4
M-N
1926
Chap.
303
So. Jr. High School Bldg.
July
1926
450,000
4
J -J
1929
Chap.
122
Montclair and
Houghs Neck Schools
June
1929
200,000
414
J-D
1929
Chap. 122
No. Jr. High Sch. Bldg.
Apr.
1930
200,000
4
A-O
1920
Chap.
526
Hospital Addition
Sept.
1922
100,000
4
M-S
1920
Chap.
526
Hospital Addition
Nov.
1922
40,000
41/4
M-N
1929
Chap.
125
Hospital Ad Ition
June
1929
90,000
414
J -D
1935
Chap.
404
Hospital Building
Mar.
1936
90,000
21/4
M-S
1933
Chap.
101
Municipal Garage
Mar.
1936
60,000
21/4
M-S
77,000
1938
Chap.
50
Nurses Home
Nov.
1938
100,000
134
M-N
24 000
1938
Chap.
502
Fire Station
Nov.
1938
32,000
134
M-N
40,000
1939
Chap.
126
Storm Emergency
May
1939
50,000
1
M-N
68,000
1939
Chap.
294
State Tax Ref.
Sept.
1939
85,000
11/2
M-S
1939
Chap.
265
Town River
Feb.
1939
52 000
1
F-A
1902
Chap.
218
Sewer
July
1902
60,000
31/2
J-J
1902
Chap.
248
Sewer
May
1903
70,000
31%
M-N
1902
Chap.
248
Sewer
June
1904
50 000
4
J-O
1905
Chap.
151
Sewer
Apr.
1907
40,000
4
A-O
1905
Chap.
151
Sewer
Apr.
1910
40,000
4
A-O
2,000
1911
Chap.
5%
Sewer
Mar.
1912
40,000
4
M-S
1911
Chap.
57
Sewer
Mar.
1913
40,000
4
M-S
Jan.
1934
275,000
31/4
J-J
9,000
9,000
9,000
9,000
1933
Chap.
366
Sewer
1933
Chap
366
Drains
Jan.
1934
128,000
314
J-J
4,000
4,000
4,000
4,000
1961 to 1964 Inclusive 4000 Annually
1935
Chap.
188
Municipal Relief
Aug.
1935
125,000
2
F-A
1935
Chap
188
Municipal Relief
Dec.
1935
60,000
11/2
J-D
1936
Chap.
SO
Munlelpal Relief
July
1936
200,000
11/2
J-J
1937
Chap. 107
Municipal Relief
July
1937
100,000
13%
J -J
40,000
1937
Chap.
102
Municipal Relief
May
1937
85,000
M-N
70,000
1938
Chap.
58
Municipal Rellef
May
1938
100,000
11/2
M-N
1939
Chap.
72
Municipal Relief
May
1939
250,000
11/4
M-N
1939
Chap.
72
Municipal Relief
Apr.
1940
250,000
1
A-O
.
13,000
13,000
13,000
13,000
52,000
1,702 500
Totals
LEO E. MULLIN, Auditor of Accounts.
39
AUDITOR'S REPORT
3,000
1961 to 1964 Inclusive 9000 Annually
216,000
98,000
50,000
10,000
40,000
40,000
225 000
250,000
Amount Due
2,500
78,000
30,000
52,000
65,000
10,000
4,000
24,000
70 000
48,000
39,000
3,000
3,000
4,000
7,000
10,000
40
CITY OF QUINCY-WATER DEBT-1941
Amount Due
Statutory Authority
Purpose
Date of Issue
Amount of Issue
Rate
Int.
1941
1942
1943
1944
1945
1946
1947
1948
1949
Totals
Statutes
Water
Apr.
1926
600,000
4
A-0
40,000
5,000
5,000
5.000
5,000
5,000
Statutes
Water
Apr.
1937
50,000
21/2
A-0
5,000
5,000
5,000
5,000
5,000
5,000
5,000
35,000
Statutes
Water
May
1938
50,000
1 1/2
M-N
5,000
5,000
5,000
5,000
5,000
5.000
5.000
5.000
40,000
Statutes
Water
Apr.
1939
25,000
1
A-O
5,000
5.000
5,000
5,000
Statutes
Water
Mar.
1940
35,000
1
M-S
5,000
5,000
5,000
5,000
5.000
5,000
5,000
35,000
Statutes
Water
Nov.
1940
5,000
.10
F
5,000
5,000
Totals
70,000
25,000
25,000
25,000
20,000
15 000
15 000
5,000
200,000
Statutes
Water
July
1935
50,000
2
J-J
25 000
40,000
LEO E. MULLIN, Auditor of Accounts.
CITY OF QUINCY
20,000
TEMPORARY LOANS In Anticipation of Revenue
Due
Sold to
Rate Disc.
Amount
May 21, 1940 Feb.
29, 1940 Nat'l Shawmut Bank ...
25
250,000
May 21, 1940 Mar.
29, 1940 First Nat'l Bank ...
25
250,000
Apr. 11, 1939 Miay
23, 1940 Nat'l Shawmut Bank ...
.179
250,000
Apr. 11,
1939 June
20, 1940 Nat'l Shawmut Bank ...
.154
250,000
May 23,
1939 Sept.
26, 1940 Nat'l Shawmut Bank ...
.08
100,000
June 21,
1939 Nov.
7. 1940 Nat'l Shawmut Bank. . .
.08
500,000
Dec.
12, 1939 Nov.
22, 1940 Nat'l Shawmut Bank ...
.08
250,000
Jan.
16,
1940 Dec.
6, 1940 Nat'l Shawmut Bank ...
.08
500,000
Jan. 16,
1940 Dec.
20, 1940 Nat'l Shawmut Bank ...
.08
250,000
Jan.
16, 1940 Nov.
28, 1940 Quincy Trust Co ..
.07
100,000
Jan.
16, 1940 Fcb.
27, 1941| Nat'l Shawmut Bank ...
.24
250,000
Feb. 5,
1940 Mar.
27, 1941 Nat'l Shawmut Bank ...
.24
250,000
May 21, 1940 Apr.
15, 1941 Second Nat'l Bank ..
.25
250,000
May 21, 1940 Way
15, 1941 Second Nat'l Bank. . .
.25
250,000
$3,700,000
Outstanding January 1, 1910 Notes Issued
$1,100,000
2,600,000
Total
$3,700,000
Notes Paid
2,700,000
Outstanding January 1, 1941
$1,000,000
..
. .
..
AUDITOR'S REPORT
41
42
CITY OF QUINCY
SUSPENDED ACCOUNTS
December 31, 1940
Apportioned sewer assessments not due $ 57,758.26
Suspended
Apportioned sewer assessments due 1941 $ 953.54
12,164.05
Apportioned sewer assessments due 1942
10,434.03
Apportioned sewer assessments due 1943
8,206.79
Apportioned sewer assessments due 1944
7,407.00
Apportioned sewer assessments due 1945
6,307.16
Apportioned sewer assessments due 1946
5,737.69
Apportioned sewer assessments due 1947
4,621.66
Apportioned sewer assessments due 1948
1,352.77
Apportioned sewer assessments due 1949
573.57
Apportioned street betterments not due
$ 24,337.58
Suspended
993.42
Apportioned street betterments due 1941
8,746.49
Apportioned street betterments due 1942
3,476.75
Apportioned street betterments due 1943
2,868.33
Apportioned street betterments due 1944
2,693.30
Apportioned street betterments due 1945
2,693.30
Apportioned street betterments due 1946 849.38
Apportioned street betterments due 1947
657.77
Apportioned street betterments due 1948
681.93
Apportioned street betterments due 1949
676.91
Apportioned sidewalk betterments not due
$ 458.53
Apportioned sidewalk betterments due 1941 .. 429.47
Apportioned sidewalk betterments due 1942 .. 29.06
43
AUDITOR'S REPORT
TRUST FUNDS
December 31, 1940
Cash and Securities in Custody of Treasurer $492,877.83
Children's Ward Fund
274.44
Student Nurses' Loan Fund
148.74
Post Graduate Nurses' Fund
120.07
Hospital Trust Fund
9,453.25
Mary C. Parker Fund
5,000.00
D. L. Jewell Fund
5,000.00
Richard E. Raycroft Fund
1,350.74
C. C. Johnson Turkey Fund
2,000.00
Wilson Tucker Fund
400.00
C. E. French Cemetery Fund
3,000.00
C. C. Johnson Cemetery Fund
150.00
Alfred A. Dell Fund
200.00
George E. Pierce Fund
200.00
Alex Nugent Fund
125.00
William S. Williams Fund
400.00
Minnie P. Bent Fund
250.00
Abraham Rich Flower Fund
176.00
Rock Island School Fund
1,000.00
Perpetual Care Fund
258,165.20
Retirement Fund
205,464.39
Cash and Securities in Custody of Trustees $725.081.84
Adams Temple and School Fund
$357,538.56
Woodward Funds
356,170.01
Library Funds
11,373.27
Total $1,217,959.67
TAX COMMITMENTS Summary of Transactions During 1940
Due January 1
Charges
Sold City
Abated & Adjusted
Collections
Due December 31
1932
$ 2.00
1933
$ 8.00
1934
222.75
$ 222.75
1935
258.00
258.00
1936
1,704.96
60.53
1,368.05
78.00
319.44
1937
4,024.03
3,579.8S
$ 120.24
6,453.31
525.40
504.96
1938
13,440.20
7,574.28
120.54
13,175.14
5,955.45
1,763.35
1939
1,042,913.77
14,051.12
121,652.66
23,207.98
903,450.90
8,653.35
Excise
1931
5.21
15.27
20.48
1932
23.50
5.92
4.39
25.03
1933
9.74
2.67
2.00
10.41
1934
2.97
1.21
4.18
1935
6.73
26
6.47
1936
1,264.69
.71
692.21
272.43
300.76
1937
2,333.35
14.17
1,311.22
375.72
660.58
1938
1,796.81
3.50
925.98
359.49
514.84
1939
5,711.65
1,115.12
1,028.72
5,032.43
765.62
Old Age 1932
2.00
1.00
2.00
1.00
$1,073,728.36
26,427.38
$ 121,893.44
$ 48,172.87
$ 916,069.86
14,019.57
1940 Commitments
Polls
50,758.00
40.00
3,856.00
44,154.00
2,788.00
Personal
279,820.81
22.61
906.03
270,610.73
8,326.66
Real Estate 3,640,474.10
2,460.76
51,176.34
2,759,309.89
832,448.63
Excise
173,276.59
Motor
1,546.61
5,129.30
163,976.58
5,717.32
$4,144,329.50
4,069.98
$ 61,067.67
$3,238,051.20
!
$ 849,280.61
CITY OF QUINCY
44
2.00
8.00
45
AUDITOR'S REPORT
ESTIMATED AND ACTUAL RECEIPTS 1940
Estimated
Actual
Income Tax
$ 310,375.81
$ 310,370.34
Corporation Tax
100,228.40
115,091.19
Highway Fund C504 Acts 1939
167,927.41
167,927.41
Motor Excise
150,125.00
168,222.74
Licenses
75,950.00
78,257.50
Fines
1,825.00
1,870.28
Special Assessments
45,700.00
34,369.59
General Government
13,450.00
12,251.53
l'rotection of Persons and Property
6,575.00
6,818.83
llealth and Sanitation
45,925.00
47,892.00
Highways
200.00
479.59
Welfare
94,525.00
72,582.03
Old Age Assistance
121,350.00
123,854.94
Soldiers' Benefi.s
3,950.00
3,259.25
Schools
31,100.00
31,395.11
Libraries
3,025.00
3,251.75
Cemeteries
19,375.00
18,942.24
Interest on Taxes and Assessm'ts
50,575.00
37,290.60
Hospital
265,500.00
302,581.02
Miscellaneous
3,100.00
4,764.13
Public Utilities
3,956.49
Total Receipts
$1,514,738.11
$1,541,472.07
Assessor,' Estimate
1,514,738.11
Surplus
$ 26,733.96
46
CITY OF QUINCY
WATER RATES 1940
Commitments
$428,476.97
Recommitments
72.61
Adjustment
6.35
$428,555.93
Collections
$387,684.88
Water Liens to Tax Collector
34,585.45
Abatements
2,226.96
424,497.29
Outstanding December 31, 1940
4,058.64
WATER RATES 1939 AND PRIOR
Outstanding December 31, 1940
5,616.46
Recommitments
115.23
5,731.69
Collections
3,735.52
Water Liens to Tax Collector
528.48
Abatements
908.95
5,172.95
Outstanding December 31, 1940
558.74
WATER SERVICE CONNECTIONS
Outstanding December 31, 1940
3,597.78
Commitments
14,335.48
17,933.26
Collections
14,463.33
Water Liens to Tax Collector
789.26
Abatements
210.44
15,463.03
Outstanding December 31, 1940
2,470.23
WATER RESERVE
Surplus January 1, 1940
44,786.52
Collections
440,615.62
T. T. Credit
2,770.86
Audit Adjustment
436.70
Appropriation balances
3,687.24
492,296.94
47
AUDITOR'S REPORT
Appropriations
1,887,877.50
State Assessment
187,598.82 41,000.00
Council Transfers Adjustments
39.44 417,515.76
Surplus December 31, 1940 74,781.18
WATER LIENS
Outstanding January 1, 1940
$ 55,330.74
Commitments
37,409.19
Adjustments
314.44
$ 93,054.37
Collections
34,731.89
Tax Title Credits
4,426.41
Abatements
1,590.49
Audit Adjustment
436.70
41,185.49
Outstanding Decffember 31, 1940
51,868.88
TABULATION SHOWING STATE, COUNTY AND OTHER ASSESSMENTS
Year
State
County
Metro- politan Water
Metro- politan Sewer
Parks
Charles River Basin
Neponset Bridge
County Hospital
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
17,943.76
1926
155,280.00
129,498.10
110,385 95
77,273.97
61,368.45
S,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
133,989.19
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
91,090.10
80.075.28
10,773.12
10,190.29
35.086 89
1933
162.270.00
130,646.71
186,941.74
105,393.10
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
4+ 031.98
1939
341,100.00
118,257.29
177,883.30
96,631.86
51,708.85
12.118.16
5.466.17
43,005.24
1940
303.200.00
115,376.34
187,515.12
76,448 75
51,077.86
12,487.32
5,280.83
43,352.60
CITY OF QUINCY
43
·
.
·
AUDITOR'S REPORT
49
MUNICIPAL FINANCES ILLUSTRATED
The following diagram shows how the revenue of 1940 derived from taxes and ordinary receipts excluding all money borrowed, is expended.
PROTECTION OF LIFE AND PROPERTY = 11 76 CENTS
GENERAL GOVERNMENT
4.32 CENTS
5.51 CENTS
CHARITIES=7.01 CENTS
118
CITY
OF QUINCY
$
HOSPITAL= 8 32 CENTS
ONE DOLLAR
UNCLASSIFIED=2.17 CENTS
STATE = 8 22 CENTS
15.13 CENTS
DEBT AND INTEREST
OVERLAY=0.96 CENTS
SCHOOL 3.29 CENTS
OTHER 11 84 CENTS
General Government includes offices in City Hall, Protection of Persons and Property includes Police, Fire, Gypsy Moth, Seal- er of Weights, Building Inspector and Wire Inspector, Highway includes Maintenance, Repairs, Street Lighting and W.P.A. Account, Unclassified includes Parks, Cemeteries and Miscellaneous. State includes Metropolitan Assessments.
LEO E. MULLIN
Auditor of Accounts
HIGHWAY = 8 30 CENTS
LIBRARY : 1 38 CENTS
SCHOOLS =2285 CENTS
$
~1940+
COUNTY= 289 CENTS
HEALTH AND SANITATION
SOLDIERS BENEFITS CENTS
AUDITOR'S AND TREASURER'S STATEMENT FOR DECEMBER, 1940
Purpose
Bal. 1939
Appro.
Receipts
Add Transf.
Less Transf.
Total Credits
Expended
Balance
Legislative
Salaries
7,296.00
7 296.00
7,296.00
Expense
1,100.00
1,100.00
1,060.18
39.82
Executive
10 040.00
10 040.00
10,040.00
Expense
1,750.00
1,075.00
2,825.00
2,818.12
6.88
Auditor of Accounts
Salaries
9 150.00
9,150.00
9,150.00
Expense-New Equipment
1,250.00
100.00
1,350.00
1,300.60
49.40
Treasurer
Salaries
14,200.00
14,200.00
14.200.00
Expense
8,000.00
1,474.25
74.25
9,400.00
9,133.50
266.50
Property Manager
1,820.00
1,820.00
1 :69.58
650.42
Management of Property Expense
1,400.00
1,400.00
884.77
515.23
Collector
Salaries
18,710.00
307.50
18,402.50
18,251.37
151.13
Expense- New Equipment
113.82
7,275.00
157.50
200.00
7,346.32
7 102.81
243.48
Assessors
Salaries
21,100.00
100.00
21,200.00
21.127.75
72.25
Expense
3,450.00
100.00
3,350.00
3,299.89
50.11
New Equipment
Law
Salaries
3,000.00
3,000.00
3.000.00
Expense
5,000.00
5,000.00
4,993.67
6.33
Awards and Claims
3,500.00
3 500.00
3,375.60
124.40
City Clerk
Salaries
7,750.00
7,750.00
7,750.00
Expense and New Equipment
200.00
£00.00
183.86
16.14
Vital Statistics
360.14
825.00
1 185.14
454.50
730.64
Dog Officer
1 500.00
1.500.00
1,499 95
.05
.
CITY OF QUINCY
50
Salaries
AUDITOR'S AND TREASURER'S STATEMENT FOR DECEMBER, 1940 (Continued)
Purpose
Bal. 1939
Appro.
Receipts
Add Transf.
Less Transf.
: Total Credits
Expended
Balance
City Messenger- Salary and Expense .. . .
800.00
200.00
1.000.00
1,000.00
City Engineer
Salaries and Wages
22,280.50
1,099.00
1,099.00
Pensions
1 099.00
2.580.00
2,476.88
103.12
Expense- New Equipment
2.400.00
1.300.00
1,269.70
30.30
Auto Main. and Operation
1.300.00
Hoard of Registrars
Salaries
2,075.00
1,925.00
8,425.00
2,075.00 7 900.00
525.00
Election
Officers
10,350.00
9,325.00
9,533.74
291.26
Expense-Police Listing
9,825.00
Board of Survey
25.00
25.00
25.00
Planning
Board
150.00
353.00
323.62
29.38
License Commission
353.00
Purchasing Dept.
Salaries
6,000.00
83.48
83.48
6.083.48 1.016.52
6,083.48 931.70
84.82
Expense
1.100.00
Supply Account
200.00
200.00
198.56
1.44
New Equipment
Retirement Board
Salary
1,200.00
150.00
1.350.00
1,350.00
Expense
1,200.00
1.200.00
1,139.95
60.05
Civil Service Registration
225.00
225.00
220.00
5.00
Municipal Buildings
Salaries and Wages
7,540.00
218.32
7 758.32
7,687.82
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