Inaugural address of the mayor, with the annual report of the officers of the city of Quincy for the year 1942, Part 2

Author: Quincy (Mass.)
Publication date: 1942
Publisher:
Number of Pages: 442


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 1942 > Part 2


Note: The text from this book was generated using artificial intelligence so there may be some errors. The full pages can be found on Archive.org (link on the Part 1 page).


Part 1 | Part 2 | Part 3 | Part 4 | Part 5 | Part 6 | Part 7 | Part 8 | Part 9 | Part 10 | Part 11 | Part 12 | Part 13 | Part 14 | Part 15 | Part 16 | Part 17 | Part 18 | Part 19 | Part 20 | Part 21 | Part 22 | Part 23 | Part 24 | Part 25 | Part 26 | Part 27 | Part 28


Motor Vehicle Excise 1940


4,685,835.00


Net valuation Real and Personal 1941


123,604,988.00


Motor Vehicle Excise 1941


5,911,401.00


Net valuation Real and Personal 1942


125,307,846.00


Motor Vehicle Excise 1942


4,919,119.00


$383,009,665.0


Three years average


$127,669,888.33


21/2 per cent thereof


3,191,747.21


Debt within debt limit January 1, 1943


2,316,000.00


Borrowing margin as of January 1, 1943


$875,747.21


Debt maturing in 1943 which will increase borrowing margin:


January


$15,000.00


February


5,000.00


March


30,000.00


April


85,000.00


May


115,000.00


June


33,000.00


July


10.000.00


August


27,000.00


September


40,000.00


October


35,000.00


November


5,000.00


December


12,000.00


$412,000.00


CONDENSED BALANCE SHEET, DECEMBER 31, 1942 Revenue Accounts


ASSETS


LIABILITIES


Cash .$ 598,873.25


Temporary Loans


Accounts Receivable :


Taxes 1941 and Prior .$ 5,016.03


State of Massachusetts


58


Taxes 1942


478,379.03


Appropriation Balances


114,488.22


Trust Fund Inc.


12,260.51


Revenue Reserved until Collected :


Motor Vehicle 1941 and


Motor Vehicle Excise ........ $ 4,766.44


Prior


$ 52.85


Special Assessments 18,173.31


Tax Titles


182,585.30


Water Liens ..


35,304.83


Special Assessments :


Sewer


$ 8,631.86


Street Betterments ..


8,396.52


Sidewalks


102.55


Committed Interest


1,042.38


Special Deposits :


Cesspool


.$ 41.00


Water


50.00


Hospital


1,180.00


Water Liens


35,304.83


Water Rates 1942


.. 5,998.49


1,746.00


Hunting License, State


87.25


Dog License, County


154.20


Scavenger


$ 346.88


Health


31,159.52


Excess Tax Title Sales 297.02


Particular Sewers


2,095.46


Pay Roll Tailings


1,824.97


Water Revenue ..


8,292.88


Departmental 328,131.75


Tax Possession 166,814.62


744,069.13


..


..


18,173.31


Tax Titles


182,585.30


Tax Possessions


475.00


...


5,998.49


Water Service Connections Department Bills :


2,294.39


4,700.00


Federal Commodity Stamp Plan Sale of Land


4,450.00


25


AUDITOR'S REPORT


Bills Payable


$ 500,000.00 4,283.00


483,395.06


Motor Vehicle 1942


4,713.59


4,766.44


Highways ....


368.20


Schools


710.62


707.47


Welfare


10,228.02


Tax Titles Reserved


2,663.91


Old Age Assistance


1,577.11


Reserve for Cash Shortage 5,107.84


State Aid


10.00


Excess and Deficiency 267,838.39


Hospital


280,706.26


Overlay 1942


628.02 5,792.67


Gypsy Moth


261.43


Water Reserve


176,397.55


328,131.75


Cash Shortage


5,107.84


Tax Possessions


166,814.62


Overlay Deficit 1941 and Prior


11,849.00


State of Massachusetts


4,350.71


$1,847,644.99


$1,847,644.99


Non-Revenue Accounts


Cash


.$ 423,223.19


Appropriation Balances Unexpended ........ $ 445,723.19


Loan Authorized unissued


22,500.00


$445,723.19


Deferred Revenue Accounts


Apportioned Assessments not due :


Deferred Special Assessments ....


.$ 83,105.19


Street Betterments $ 31,252.73


Sewer


50,541.99


Sidewalks


1,310.47


.


$83,105.19


CITY OF QUINCY


26


Trusteed Accounts .. Unidentified Receipts


148.26


Cemetery


668.25


Final Judgment


..


$445,723.19


$83,105.19


Bonded Debt


$3,794,000.00


Inside Debt Limit:


School Loans


.$ 227,000.00


Sewer Loans


491,000.00


Street Loans


1,093,000.00


Hospital Loans


12,000.00


Other Loans


493,000.00


$2,316,000.00


Outside Debt Limit:


School Loans


$ 65,000.00


Sewer Loans ..


303,000.00


Hospital Loans


92,000.00


Tax Title Loan


63,000.00


Municipal Relief Loans


.. 590,000.00


State Tax Funding Loan 34,000.00 ..


Other Loans


196,000.00


Water Debt


$1,343,000.00 135,000.00


$3,794,000.00


$3,794,000.00


Trust Funds


Cash and Securities in Custody of


Hospital


.$ 21,336.12


Treasurer


.$ 599,878.47


Welfare


2,000.00


Cash and Securities in Custody of Trustees :


Schools


707,819.86


Library ..


12,083.14


Adams Temple and School Funds


356,289.20


Woodward Fund


350,530.66


Library Funds


12,083.14


...


Retirement System


289,131.59


$1,318,781.47


$1,318,781.47 LEO E. MULLIN, Auditor of Accounts.


27


-


...


Cemetery


286,410.76


AUDITOR'S REPORT


Debt Accounts


28


CITY OF QUINCY


TEMPORARY LOANS


In Anticipation of Revenue


Issued 1941


Due


Sold to


Rate Disc.


Amount


May


8 Feb.


26, 1942 Nat'l Shawmut Bank


.19


$250,000.00


May


8 Mar.


26, 1942 Nat'l Shawmut Bank


.19


250,000.00


June 20 May


27, 1942 Nat'l Shawmut Bank


.14


250,000.00


1942


Jan.


29 Nov.


27, 1942 Quincy Trust Company


.243


100,000.00


Jan.


29 Nov.


6, 1942 Nat'l Shawmut Bank


.243


250,000.00


Jan.


29 Nov. 20, 1942 Nat'l Shawmut Bank


.243


250,000.00


Jan.


29 Nov.


27, 1942 Nat'l Shawmut Bank


.243


250,000.00


Jan.


29 Dec.


9, 1942 Nat'l Shawmut Bank


.243


250,000.00


Mar. 16 Dec.


16, 1942 Nat'l Shawmut Bank


.47


250,000.00


Mar. 16 Dec.


16, 1942 Nat'l Shawmut Bank


.47


250,000.00


May 12 Feb.


26, 1943 Nat'l Shawmut Bank


.51


250,000.00


May 12 April 30, 1943 Nat'l Shawmut Bank


.51


250,000.00


$2,850,000.00


Outstanding January 1, 1942


750,000.00


Notes Issued


2,100,000.00


Total


$2,850,000.00


Notes Paid


2,350,000.00


Outstanding January 1, 1943


$500,000.00


29


AUDITOR'S REPORT


TRUST FUNDS


December 31, 1942


Cash and Securities in Custody of Treasurer:


Children's Ward Fund $ 285.56


Student Nurses' Loan Fund


154.76


Post Graduate Nurses' Fund


122.47


Hospital Trust Fund


9,453.25


Mary C. Parker Fund


5,000.00


D. L. Jewell Fund


5,000.00


Richard E. Raycroft Fund


1,320.08


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


Willliams 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


281,509.76


Retirement Fund


289,131.59


Cash and Securities in Custody of Trustees


$599,878.47


Adams Temple and School Fund $ 356,289.20


Woodward Funds


350,530.66


Library Funds


12,083.14


718,903.00


Total


$1,318,781.47


30


CITY OF QUINCY


TAX COMMITMENTS Summary of Transactions during 1942


Due January 1


Charges


Sold City


Abated & Adjusted


Collections


Due Dec. 31


1934


$222.75


...


...


$222.75


1935


258.00


$128.79


$128.79


258.00


1936


262.00


218.40


$4.00


218.40


258.00


1937


156.92


45.42


1938


188.73


82.00


257.61


13.12


......


1939


4,350.94


275.41


823.10


27.64


3,775.60


1940


3,411.99


3,091.99


$256.82


3,961.79


2,325.38


40.01


1941


658,824.19


4,038.28


69,328.41


10,895.76


582,142.03


496.27


Excise


1931


20.48


...


.......


52.81


126.40


54.81


1937


247.73


198.72


49.01


2.00


1939


186.91


172.74


14.17


1940


1,359.36


......


...


...


1,258.34


101.04


.02


1941


5,907.38


819.86


2,495.65


4,232.64


1.05


$675,779.73


$8,707.53


$69,585.23


$20,519.62


$589,313.53


$5,068.88


1942 Commitments


Poll


$52,436.00


$22.00


$6,894.00


$44,418.00


$1,146.00


Personal


252,819.72


63.74


..


929.23


247,142.46


4,811.77


Real Estate


3,668,681.48


6,019.88


22,980.60


36,019.02


3,143,280.48


472,421.26


Motor Excise


184,090.89


751.35


4,740.12


175,388.53


4,713.59


$4,158,028.09


$6,856.97


$22,980.60|


$48,582.37| $3,610,229.47


$483,092.62


...


.....


1938


218.51


216.01


4.50


20.48


1932


25.03


25.03


1933


10.41


10.41


1936


128.40


...


109.50


2.00


31


AUDITOR'S REPORT


ESTIMATED AND ACTUAL RECEIPTS 1942


Estimated


Actual


Income Tax


$348,895.98


$409,173.60


Corporation Tax


147,555.63


207,972.09


Gas Tax (Acts 1942 C420)


184,135.41


184,135.41


Meal Tax


2,517.74


Motor Vehicle


221,950.00


178,917.33


Licenses


75,875.00


77,358.00


Fines


3,125.00


4,856.40


Special Assessments


36,100.00


28,562.18


General Government


13,500.00


9,627.83


Protection of Persons and Property


7,325.00


7,430.11


Health and Sanitation


53,050.00


49,567.73


Highways


2,375.00


1,064.09


Charities


47,825.00


47,168.97


Old Age Assistance


133,250.00


171,553.47


Sodiers' Relief


3,400.00


4,102.25


Libraries


3,450.00


3,996.76


Cemetery


22,275.00


25,992.28


Interest on Taxes and Assessments


55,075.00


24,664.61


Hospital


383,525.00


465,972.57


Miscellaneous


5,175.00


4,915.14


Total Receipts


$1,777,487.02


$1,940,619.33


Assessors' Estimate


1,777,487.02


Surplus


.......


$163,132.31


...


Schools


29,625.00


31,070.77


32


CITY OF QUINCY


WATER RATES 1942


Commitments


$468,771.68 12.23


Recommitments


$468,783.91


Collections


$439,342.31


Water Liens to Tax Collector


21,516.34


Abatements


1,926.77


462,785.42


Outstanding December 31, 1942


$5,998.49


WATER RATES 1939 AND PRIOR


Outstanding January 1, 1942


$2,119.41


Collections


$2,043.50


Water Liens to Tax Collector


75.91


2,119.41


WATER SERVICE CONNECTIONS


Outstanding January 1, 1942


$3,319.63


Commitments Recommitments


1.60


Collections


$14,689.20


Water Liens to Tax Collector


480.87


Abatements


327.32


15,497.39


Outstanding December 31, 1942


$2,294.39


WATER RESERVE


Surplus January 1, 1942


$59,556.86


Collections


483,275.78


Appropriation Balances


10,260.60


$553,093.24


Appropriations


$170,217.00


State Assessments


181,379.74


Council Transfers


25,000.00


Adjustments


98.95


$376,695.69


Surplus December 31, 1942


$176,397.55


WATER LIENS


Outstanding January 1, 1942


$41,525.08


Commitments


23,756.12


Adjustments


174.04


Collections


$27,200.77


Tax Title Credits


2,486.29


Abatements


463.35


Outstanding December 31, 1942


$65,455.24


$30.150.41 $35,304.83


14,470.55


$17,791.78


AUDITOR'S REPORT


33


SCHEDULE OF RECEIPTS


GENERAL REVENUE


Current Year:


Poll


$ 44,418.00


Personal


247,142.46


Real Estate


3,143,280.48


Motor Vehicle Excise Tax


175,388.53


$3,610,229.47


Previous Years :


Poll


$ 390.00


Personal


7,380.81


Real Estate


577,086.55


Motor Vehicle Excise Tax


4,456.17


Tax Titles Redeemed


63,394.63


$652,708.16


From State:


Corporation Tax Business


$ 207,972.09


Income Tax 1942:


State Valuation


318,720.00


Education


90,453.60


$617,145.69


Licenses:


Liquor


$ 62,700.00


All Others


14,396.27


$77,096.27


Permits:


Marriage


$ 2,694.00


Plumbing


1,727.75


Alcohol


139.50


Garbage


31.00


$4,592.25


Court Fines and Forfeits


$4,856.40


GRANTS AND GIFTS


From State:


Industrial School (Smith-Hughes and George Deen Funds) $ 5,257.71


Quincy Trade School


21,466.85


Vocational Education of Defense Workers


52,408.97


Highway District Fund Chapter 420


184,135.41


Excess Interest on Tax Titles


719.02


Meal Tax


2,517.74


Refund Metropolitan District Division


14.18


Gas, Electricity


22.05


Americanization


694.82


$267,236.75


34


CITY OF QUINCY


From County : Dog Licenses


6,128.17


COMMERCIAL REVENUE


Gypsy Moth


$ 1,726.86


Street Betterments


9,714.78


Sidewalks


445.17


Main Sewers


18,481.05


$30,367.86


DEPARTMENTAL REVENUE


City Treasurer, Costs


$ 729.00


City Collector, Costs


4,744.52


City Clerk, Recording


1,594.55


$7,068.07


Tax Collector-Cash Advance


200.00


PROTECTION OF PERSONS AND PROPERTY


Police Department:


Care of Prisoners $ 16.00


Miscellaneous


488.50


504.50


Fire Department :


Miscellaneous


44.08


State:


Gas Tax Refunds


425.21


Sealer of Weights:


Fees


909.31


Building Inspector:


Fees


1,880.50


Engineering :


Fees


518.50


Wire Inspector:


Fees


1,846.36


Dog Officer


101.63


HEALTH AND SANITATION


Contagious


$ 905.00


Tuberculosis


17,481.57


Sanitation :


Particular Sewers-labor and materials ....


16,374.66


Refuse and Garbage:


Scavenger


$ 1,377.25


Garbage


11,465.00


$18,386.57


12,842.25


35


AUDITOR'S REPORT


HIGHWAYS


Sale of Materials


$ 20.00


Trench Repairs


139.57


Tar Patching


415.61


Gas and Oil


3.23


Drains


5.00


Gypsy Moth


25.00


Repairs to Fence


97.00


Miscellaneous


358.68


From State:


Street Construction


4,952.92


$6,017.01


CHARITIES


Reimbursements for Relief :


Outside Aid:


Individuals


$ 368.14


Cities and Towns


3,001.43


State


12,994.79


$16,364.36


Mothers' Aid:


State


$ 28,046.67


Federal Grant


27,449.96


Cities and Towns


2,757.94


58,254.57


Old Age Assistance:


Cities and Towns


$ 8,515.29


State


163,038.18


Federal Grant


194,241.93


365,795.40


Soldiers' Benefits:


State Aid


$ 1,958.00


Military Aid


1,844.25


Soldiers' Burials


300.00


4,102.25


HOSPITAL


Received from Patients


$ 462,772.57


Endowments


3,200.00


$465,972.57


EDUCATION


School Department:


Other Tuition


$ 555.94


Sale of Books and Supplies


1,749.07


Rents


1,151.87


$3,456.88


Industrial School: Sale of Products $ 5,089.41


$5,089.41


Industrial School Revenue:


Receipts from Cities and Towns ......


362.81


362.81


36


CITY OF QUINCY


LIBRARY


Fines


$ 3,801.67


Miscellaneous


195.09


$3,996.76


UNCLASSIFIED


Unidentified Receipts


$ 56.21


Returned Premiums


39.09


Damages


177.00


Sale of Material


607.24


Rent of Schools


1,500.00


Sale of Land


300.00


Miscellaneous


264.11


Sale of Tax Possessions


12,195.00


Income from Tax Possessions


1,261.90


$16,400.55


WATER SERVICE ENTERPRISE


Water Department:


Water Rates 1942


$ 439,342.31


Previous Years


2,043.50


Water Service Connections


14,689.20


Water Liens


27,200.77


$483,275.78


CEMETERIES


Burial Department:


Sale of lots and graves $ 10,625.00


Care of lots and graves


1,331.00


Opening graves


10,828.00


Foundation and grading


3,208.28


$25,992.28


INTEREST


Interest on taxes


$ 15,467.37


Interest on tax titles


4,286.88


Interest on Assessments


4,920.58


$24,674.83


Interest on Trust Funds:


Perpetual Care Funds


$ 9,441.75


Retirement Fund


10,078.34


Charity Funds


655.91


School Funds


20.10


Cemetery Funds


32.14


$20,228.24


Accrued Interest on Bonds $ 162.32


Premium on Bonds


1,638.85


1,801.17


AUDITOR'S REPORT


37


MUNICIPAL INDEBTEDNESS


Temporary Loans 1942


$2,100,000.00


General Loans


250,000.00


Tax Title Loans


11,000.00


$2,361,000.00


REFUNDS


Departmental:


Welfare


$41.50


AGENCIES AND TRUST


Deposits


$ 20,600.00


Hunters' Licenses


3,587.00


Deposit on Sales of Tax Possessions


2,609.00


Raycroft Trust Fund


153.00


Tailings Fund


64.64


Perpetual Care Fund


12,790.00


Hospital Nurses Breakage Deposits


491.00


Retirement Fund


25,742.33


For County-Dogs


6,897.60


Federal Surplus Commodity Stamp Plan


24,767.00


Blood Bank


1,006.90


Hospital Project


12,500.00


$111,208.47


Grand Total


$9,305,497.50


38


CITY OF QUINCY


SCHEDULE OF PAYMENTS


REVENUE ACCOUNTS


General Government CITY COUNCIL


Salaries


$5,300.00


Expense


1,315.59


Travel Out of State


185.60


$6,801.19


EXECUTIVE


Salaries


$10,400.00


Expense


1,535.70


Use of Car


276.43


Travel Out of State


125.00


$12,337.13


AUDITOR


Salaries


$9,338.47


Expense


1,149.39


Legal Services


250.00


$10,737.86


CITY TREASURER


Salaries


$13,908.16


Expense


7,957.79


Legal Services


450.00


$22,315.95


MANAGEMENT OF PROPERTY


Expense


$335.70


TAX COLLECTOR


Salaries


$18,026.30


Extra Services


1,000.00


Expense


5,557.38


Replacement of Equipment


73.56


$24,657.24


ASSESSORS


Salaries


$21,141.83


Expense


3,131.63


$24,273.46


LAW


Salaries


$3,000.00


Expense


3,842.34


Awards and Claims


2,136.00


$8,978.34


39


AUDITOR'S REPORT


CITY CLERK


Salaries


$7,900.00


Expense


149.43


Vital Statistics


528.50


Dog Officer


1,627.16


$10,205.09


CITY MESSENGER


Salary


$800.00


CITY ENGINEER


Salaries and Wages


$23,932.35


Pensions


1,095.50


Expense


1,256.41


Auto Maintenance and Operation


489.79


$26,774.05


BOARD OF REGISTRARS


Salaries


$3,119.96


Election Officers


7,696.50


Expense


8,478.17


$19,294.63


BOARD OF SURVEY


Expense


$11.80


PLANNING BOARD


Expense


$387.94


LICENSE COMMISSION


Salaries


$153.00


Expense


102.01


$255.01


PURCHASING DEPARTMENT


Salaries


$6,476.13


Expense


827.54


Purchasing Dept .- Supply Account Credit


$7,303.67 $522.75


RETIREMENT BOARD


Salaries


$1,349.19


Expense


1,207.15


$2,556.34


CIVIL SERVICE REGISTRATION


Salaries


$200.00


Expense


19.48


$219.48


40


CITY OF QUINCY


MUNICIPAL BUILDINGS


Salaries and Wages $7,919.62


Maintenance and Operation


21,909.65


$29,829.27


PROTECTION OF PERSONS AND PROPERTY Police


Salaries


$274,752.89


Pensions


9,833.69


Station Expense :


Fuel and Light


$1,995.00


Station Equipment


750.05


Other Expenses


5,076.71


7,821.76


Radio Maintenance


1,588.08


Auto Maintenance


7,898.15


Prisoners' Expense


299.90


Travelling Expense


852.03


New Equipment


4,401.67


$307,448.17


Fire


Salaries


$267,169.35


Pensions


18,265.00


Station Expense :


Fuel and Light


$4,856.04


Station Expense


1,781.20


Other Expense


4,527.72


11,164.96


Equipment Maintenance and Operation ..


6,258.35


Hose


3,988.34


Fire Prevention


300.00


$307,146.00


FIRE AND POLICE SIGNALS


Salaries and Wages


$12,102.50


Power and Light


1,545.19


General Maintenance


9,864.16


Auto Maintenance and Operation


547.33


Convention Expenses


75.00


$24,134.18


SEALER OF WEIGHTS AND MEASURES


Salaries


$4,500.00


Expense


172.56


Auto Maintenance and Operation


77.52


$4,750.08


INSPECTOR OF WIRES


Salaries


$3,286.90


Expense


248.93


Auto Maintenance and Operation


300.00


$3,835.88


41


AUDITOR'S REPORT


INSPECTOR OF BUILDINGS


Salaries


$4,100.00


Acting Inspector


50.00


Expense


210.81


Auto Maintenance


300.00


$4,660.81


GYPSY MOTH


Salaries and Wages


$17,146.17


Supplies and Expense


1,917.29


Arsenate of Lead


779.76


Equipment Maintenance and Operation


936.74


Pensions


782.50


Trees


927.95


Gypsy Moth


4,805.43


$27,295.84


HEALTH AND SANITATION Board of Health


Administration :


Salaries


. ... $8,151.25


Pensions


1,000.52


Expense


1,567.95


Auto Maintenance and Operation


1,194.17


Contagious Diseases:


Salaries


2,310.00


Expense


5,523.32


T. B. Contagious


30,391.63


Undernourished Children


1,560.00


Dispensary:


Salaries and Wages


4,850.00


Expense


339.88


Child Welfare:


Salaries


5,631.47


Expense


606.67


Dental Clinic:


Salaries


3,645.60


Expense


399.65


Health Division:


Salaries


8,050.00


Expense


29.65


New Equipment


247.40


$75,499.16


Public Works Administration


Salaries


$15,617.50


Highway Expense


328.89


Sewer Expense


196.55


Garage and Stable Expense


$16,142.94 $7,163.85


42


CITY OF QUINCY


Sanitary Division


Salaries and Wages


$147,990.31


Pensions


5,387.00


Equipment Rental


3,500.00


Equipment Maintenance


13,747.94


Care of Dumps


14,996.09


$185,621.34


Sewer Division


Maintenance


$19,610.41


Pensions


1,808.08


Equipment Maintenance


596.70


New Equipment


33.57


Particular Sewers


19,572.23


$41,620.99


Highways


General Maintenance


$208,176.43


Street Lighting


104,985.49


Pensions


13,207.28


Miscellaneous Activities


20,081.37


Use of Commissioner's Car


300.00


Conversion of Heating Plants


620.00


$347,370.57


W. P. A. Administration:


Salaries


$6,889.48


Office Expense


154.73


Equipment Maintenance


444.31


$7,488.52


W. P. A. Account


$22,939.14


Public Building Construction (Squantum Fire Station)


$11,703.15


Clay Street Assessment Refund


$555.71


Public Welfare


Salaries


$14,866.41


Expense


2,746.94


Auto Maintenance


1,450.22


City Home:


Salaries


3,217.23


Expense


5,142.17


New Equipment


295.00


Mothers' Aid


65,000.00


Mothers' Aid Administration


2,633.84


Mothers' Aid Federal Grant


32,187.39


Mothers' Aid Federal Grant Adminis- tration


1,267.58


Outside Aid


61,785.49


Old Age Assistance Administration


5,213.74


Old Age Assistance


229,926.97


Old Age Assistance Administration Federal Grant


5,199.26


Old Age Assistance Federal Grant


181,425.00


$612,357.24


43


AUDITOR'S REPORT


Food Stamp Plan:


Salaries


$3,120.00


Expense


929.93


$4,049.93


Soldiers' Benefits


State Aid


$1,615.00


Soldiers' Relief


33,036.10


Military Aid


2,385.00


Soldiers' Burials


100.00


SCHOOLS


Salaries


$1,041,154.33


Expenses


173,982.95


New Equipment


3,015.74


Smith-Hughes Fund


1,651.85


George Deen Fund


2,357.52


Quincy Vocational Education of Defence Workers


50,744.35


LIBRARY


Salaries and Wages


$55,330.21


Expense


13,438.20


Books and Periodicals


7,498.08


Auto Maintenance and Operation


193.93


New Equipment


236.51


Grading


50.40


Convention Expense


99.00


$76,846.33


PARK


Administration :


Salaries


$3,400.00


Expense


96.22


Maintenance :


Salaries and Wages


34,442.63


Supplies and Expense


7,925.76


Equipment Maintenance


2,386.23


Fore River Club


2,100.03


Supervisors and Instructors


4,320.50


Promotional and Miscellaneous


217.70


$54,889.07


HOSPITAL


Salaries and Wages


$319,132.31


Living Out


7,935.00


Expense


215,615.04


Pensions


3,141.61


New Equipment


4,247.28


Medical Library-Raycroft Fund


153.00


Blood Bank


1,006.90


Diagnostic Clinic


$551,231.14 $857.86


44


CITY OF QUINCY


CEMETERY


Salaries and Wages


$46,026.51


Supplies and Expense


1,936.02


Equipment Maintenance and Operation ..


548.54


Sub-Soil and Loam for New Land


1,120.00


$49,631.07


UNCLASSIFIED


July 4th Celebration


$29.15


Celebrations


1,167.46


Veterans' Rent


2,850.00


G. A. R. Memorial


499.15


Harbor Master


450.00


Annual Report


1,214.08


Workmen's Compensation


10,889.17


Annuities


1,800.00


Sewer Pollution Survey


4.00


Mosquito Control


2,000.00


Rifle Range


12.00


Quincy Retirement System-Pensions


29,326.58


Care of Historical Places


2,337.83


Architects' Fees-Hospital


5,000.00


George Deen Fund (Fire)


285.00


Special Compensation-(Perm. Emp.)


159,756.08


Veterans' Memorial


55.32


Robbery and Burglary Insurance


340.13


Boiler Insurance


1,919.42


Special Judgment


2,893.51


Squadron Colors


175.00


$223,003.88


WATER


Salaries


$22,079.02


Pensions


4,591.77


Office Expense


1,924.15


General Maintenance


47,894.18


Equipment Maintenance and Operation


2,244.71


Meters


4,360.41


New Equipment


366.00


Service Connections


28,175.48


Special Compensation-


Permanent Employees


5,312.14


$116,947.86


BONDS AND INTEREST


General Debt


$685,500.00


Water Debt


40,000.00


General Interest


70,230.89


Water Interest


2,350.00


'Temporary Loan Interest


4,818.28


Premium on Bonds


896.60


$803,795.77


45


AUDITOR'S REPORT


AGENCY AND TRUST ACCOUNTS


Perpetual Care Income


$251.37


Cemetery Trusts Income


32.51


Retirement Fund Income


10,078.34


Food Stamp Plan


18,700.00


Tax Collector's Cash Advance


200.00


Tax Possessions Deposits


2,619.00


Hospital Trust Fund


38.38


Departmental Refund


46.00


Tax Refunds


13,348.53


Collections for State


3,499.75


Collections for County


6,969.00


Perpetual Care Funds


12,790.00


Retirement Board


25,742.33


Trusteed Accounts


60.55


Cesspool and Vault Deposits


1,341.00


Particular Sewer Deposits


15,000.00


Water Deposits


5,245.00


Hospital Deposits


281.00


Court Judgment


393.94


Temporary Loans


2,350,000.00


Tax Title Loans


74,000.00


STATE OF MASSACHUSETTS


State Tax


$298,950.00


Charles River Basin:


Interest


$4,034.27


Maintenance


6,356.96


Bonds


387.95


Sinking Fund


578.28


11,357.46


Serial No. 1 Metropolitan Parks:


Fund


$1,043.49


Interest


2,484.67


Maintenance


22,425.02


Bonds


77.59


26,030.77


Serial No. 2 Metropolitan Parks:


Fund


$536.50


Interest


1,636.56


Bonds


2,698.68


4,871.74


Nantasket


2,585.22


Metropolitan Sewer:


Interest


$16,829.05


Maintenance


29,426.31


Bonds


16,368.94


Metropolitan Water:


Fund


$811.90


Interest


63,187.26


Maintenance


51,217.08


Bonds


60,239.52


Brookline credit


5,923.98


62,624.30


181,379.74


46


CITY OF QUINCY


Auditing Municipal Accounts


$78.80


Smoke Inspection


1,382.81


Mass. State Guard


394.22


Neponset Bridge


5,002.94


Corporation Tax


3,956.49


$598,614.49


Norfok County Hospital Tax


41,975.14


Norfolk County Tax


124,653.50


Total


$8,712,460.50


NON-REVENUE ACCOUNTS


Sewer Construction


$93,338.14


Defense Council


67,799.27


Sidewalks


38,847.14


Street Construction


78,667.47


Special Land Takings


1,766.34


Quincy Point Fire Station


16,166.44


Hospital Building-Foundation


8,748.43


Hospital Building-Super Structure


1,383.06


Water Construction


31,768.02


Total


$338,484.31


REPORT OF TREASURER


47


REPORT OF THE TREASURER


January 2, 1943


HON. CHARLES A. Ross, Mayor Quincy, Massachusetts


Dear Sir:


I submit, herewith, the report of the Treasurer of the City of Quincy for the year ending December 31, 1942.


Respectfully, HAROLD P. NEWELL, City Treasurer.


TREASURER'S STATEMENT


Receipts


Cash on hand January 1, 1942


$766,035.39


General Revenue


Taxes 1942


3,434,840.94


Taxes Previous Years


584,857.36


Taxes-Motor Excise


179,844.70


Tax Titles Held by City-Redeemed.


63,394.63


Licenses


74,599.00


Permits


2,759.00


Court Fines


4,856.40


Grants and Gifts (Dog Licenses)


6,128.17


State of Massachusetts


830,818.01


Special Assessments


Sewer Assessments


18,481.05


Sidewalks


445.17


Street Betterment


9,714.78


General Government


Tax Collector and Treasurer-Costs


5,473.52


City Clerk


4,162.45


Police Dept.


504.50


Fire Dept.


44.08


Sealer of Weights and Measures


909.31


Building Inspector


1,880.50


Engineering-Grade Fees


518.50


Wire Inspector


1,846.36


Gypsy Moth


1,726.86


Board of Health-Con. Diseases


905.00


Con. Dis. T. B.


17,481.57


Plumbing Inspector


1,727.75


Milk Licenses


236.50


Scavenger


1,377.25


Garbage Disposal


11,465.00


Highways


1,064.09


Welfare Dept.


16,364.36


Welfare-Dependent Children


30,804.61


48


CITY OF QUINCY


Welfare-Old Age Assistance


171,553.47


O.A.A. Fed. Grant


194,241.93


Dependent Children Fed. Grant


27,449.96


Hospital Dept.


465,972.57


School Dept.


3,456.88


Trade School Receipts


362.81


School Accounts, Rec.


5,089.41


Smith Hughes and Deen Funds


5,257.71


Voc. Edu. of Defense Workers-Federal


52,408.97


Library Fines, etc.


3,996.76


Miscellaneous City


3,568.86


Particular Sewer Receipts (Treas.)


16,374.66


Departmental Refund Account


41.50


Sale of Tax Possessions


12,195.00


Income from Tax Possessed Property


1,261.90


Public Services


Water Rates 1942


439,342.31


Water Rates prior


2,043.50


Water Liens-Tax Collector and Treasurer


27,200.77


Water Service Connections


14,698.20


Cemetery-Care and Sale of Lots


22,784.00


Cemetery Foundations


3,208.28


Interest


Tax Collector-Taxes and Assessments


20,387.95


City Treasurer-On Tax Titles


4,286.88


Perpetual Care Fund


9,441.75


Other Trust Accounts


10,786.49


Accrued Interest on Bonds


162.32


Premium on Bond Sale


1,638.85


Municipal Indebtedness


Temporary Loans 1941


2,100,000.00


Loan on Tax Titles


11,000.00


General Loans


250,000.00


Agency, Trust & Deposits


City Clerk-Dog Licenses (County)


6,897.60


-Hunters' Licenses (State)


3,587.00


Perpetual Care Fund


12,790.00


Other Trust Funds


217.64


Deposits-Scavenger


1,275.00


Particular Sewer


14,400.00


Water


4,925.00


Hospital Nurses Tax Possessed Property


491.00


2,609.00


Retirement System


25,742.33


Fed. Sur. Commodity Stamp Plan.


24,767.00


Hospital Project Mass. 19.150


12,500.00


Street Construction-State


4,952.92


Hospital Blood Bank


1,006.90


Total


$10,071,532.89


Transfers


138,500.00


$10,210,032.89


..


-


49


REPORT OF TREASURER


Payments


Paid out on Mayor's Warrants 1942




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