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 1944 > Part 4
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Highway Department
BENNETT, WILLIAM, Army
DUGGAN, WILLIAM G., Navy
FOWLER, LYLE H., Navy
GENTILE, LOUIS, Army
GREGORY, FRED. Army
GUSTAFSON, GEORGE, Army
KEEGAN, FRANCIS J., Army
MacKAY, GEORGE, Army
MARINI, STEPHEN, Army
MORAN, JOHN. Army PEECE, ALFRED. Army
QUINTILIANO. SOVVERSO, Army
TOBIN, FREDERICK, Army WHALEN, JOHN J., Navy
Quincy City Hospital
AMRHEIN, LEO F., M.D.
ANDERSON, ASTRID, R.N.
ANDERSON, SELMA. R.N.
BAGDON, RUTH. R.N.
BAILEY, KATHRYN, R.N.
BALL, THELMA. R.N.
BELL, GERTRUDE, R.N.
BLYTH, HENRY H. A., M.D.
BOUDREAU, FLORENCE, R.N.
BROWN, LOUISE, R.N.
BUCKLEY, BARBARA, R.N.
Quincy City Hospital, continued
BURRIS, MARY, R. N.
CAPOBIANCO, ANTHONY CAREY, EDMUND, M.D.
CASE, HELEN, R.N. CHINENELLO, CARMEN, R.N.
CHIMINELLO, FRANK J., M.D.
COONEY, ROBERTA, R.N.
COSTANZA, FRED P., M.D.
CWIKLA, JOHN, R.N. D'AMBROSIO, PAULINE, R.N.
DiANGELO, ELEANOR, R.N.
DJERF, CHARLES, M.D.
DOHERTY, KATHERYN, R.N.
DONOVAN, ANASTASIA, R.N.
DUFFY, GRACE, R.N. DUNLEAVY, MARY, R.N.
EKO, GERTRUDE. R.N.
FOSTELLO, ETHEL, R.N.
FOX, THELMA, R.N.
FREDERICKSON, VIVIAN. R.N.
FRENCH, BARBARA, R.N.
FRENCH, RICHARD
GALLAGHER, HELEN, R.N.
GALLO, SANDRA, R.N.
GARDEN, FRANCES, R.N.
GAROFALO, MARIE, R.N.
GOULD, MARION, R.N.
GOWELL, LEAH, R.N ..
GUNNING, MARGUERITE, R.N.
GURHEY, CECILIA, R.N.
HALEY, MARIE, R.N.
HARCOURT, EVELYN, R.N.
HASLE, LILLIAN, R.N.
HAY, ELIZABETH, R.N.
HAYDEN, FLORENCE, R.N.
HEIKKILA, HELMI, R.N.
HELFRICH, WILLIAM, M.D.
HORGAN, EILEEN, R.N.
HOWE, ANNE, R.N.
HOYT, CHARLES, JR.
HOYT, GEORGE
HUDGINS, DOROTHEA, R.N.
HUNT, MARGARET
HUOVINEN, ELLEN, R.N.
HUSSEY, LILLIAN. R.N.
JESSE, MARIE, R.N.
JOHNSON, SYLVIA, R.N.
KARP, DAVID, M.D.
KELLEY, ARTHUR
KING, FRANCIS, M.D.
KOWALSKI, LEONA, R.N.
LEGGETT, MARGARET, R.N.
LUNDBERG, HILDA, R.N.
LUNDY, CONSTANCE, R.N.
LYONS, HELEN, R.N.
McASKILL, BERNADETTE, R.N.
McCAUSLAND, WILLIAM A., M.D. MCCLINTOCK, WALTER L., M.D. McDONALD, ANN
Above list compiled to December 31, 1944 * Died in the Service.
48 - City of Quincy
*
**
onar Roll
****
Quincy City Hospital, continued
McGOWAN, JOHN M., M.D. MacKINNON, GEORGE L., M.D. MCLAUGHLIN, ELEANOR, R.N. McLEOD, ELAINE, R.N. MAHN, GERTRUDE, R.N. MAHONEY, ALFRED V., M.D. MERRICK, BLANCHE, R.N. MILLER, AGNES, R.N. MOHAN, JOSEPHINE, R.N.
MOSHER, HELEN, R.N.
NICHOLSON, FLORENCE, R.N. NICKERSON, MARGARET, R.N. NORRIE, JEAN, R.N. NUGENT, JOHN L., M.D.
O'BRIEN, WALTER M., M.D. RAPPEPORT, ARTHUR, M.D.
RACCUIA, JOSEPHINE, R.N.
RANDALL, MARGARET, R.N.
READ, EMERSON, M.D.
RICH, ELINOR RIORDAN, ELLA, R.N.
ROBERTSON, MARY, R.N.
RONKA, ENSIO K., M.D.
ROTHMAN, MAURICE S., M.D.
ROWE, LEONARD
SARGENT, MORGAN, M.D.
SHAW, ARTHUR, R.N.
SIMPSON, WILLIAM SIMS, BERYL, R.N.
SPRUNK, ALOYSIUS STEIN, MAX, M.D.
SULLIVAN, FRANK SWORD, EDITH, R.N.
THOMAS, MARTHA, R.N.
TOCCI, ANTHONY
TORVI, TYYNE, R.N.
TYRELL, COLETTE. R.N.
VAN RAALTE, LESLIE H., M.D. VINING, ELLIOT
VOCI, MINNIE, R.N.
WARD, ELIZABETH, R.N. WEBSTER. PRISCILLA, R.N. YOUNG, MARY, R.N.
Park Department
PERETTE, ARTHUR J., Navy REID, JOHN, Navy (Seabees)
Police Department
BARRON, WILLIAM J., Navy BYRNE, JAMES C., Seabees CASAGRANDE, JOSEPH L., Army DOLAN, JOHN J., Army EDGAR, ROBERT J., Navy FAY, JAMES W., Army FERRAZZI, CHARLES L., Army GENEREAU, EDMUND F., Army GRIFFIN, EDWARD J., Army HATFIELD, RALPH H., Army KNASAS, ALFRED, Army LaHIVE, PAUL, Army McNAMARA, FRANCIS, Army MULLOY, JAMES, JR., Navy ROGERS, HOWARD, Army ROGERS, LEIGHTON, Army
Police Department, continued SCANLON, THOMAS J., Army SFORZA, TULLIO, Army TUPPER, LOUIS P., Army
Public Welfare Department DeNICOLA, ROMULUS, Army McCABE, VINCENT, Army
School Department
ANDERSON, LELAND H., Army BEEDE, HARRY A., Navy
BRIDGES, FRANK L., Army
BUCKINGHAM, BURDETTE H., Army
COLLINS, MARIE E., Navy
COLLINS, MAURICE, Army
DESCHENES, EDGAR A., Army
DiNARDO, V. JAMES, Army DRAKE, EARLE A., Navy EVANS, JOHN A., Army FREDETTE, M. ENA, WAVES HALLISEY, JAMES O., Army HANLON, LAWRENCE J., Army HOFFERTY, JOHN S., Army HUDSON, H. KENNETH, Navy JOHNSON, HELENE D., WAVES LUNDSGAARD, JOHN E., Marines
MacDONALD, DONALD E., Army MacLEAN, MUNROE, Navy MCGRATH, LUCY G., WAVES McKEOWN, EDWARD J., Army MANNING (Curtis), ELINOR S .. WAC
MEEHAN, JOHN K., Army
MILLARD, LESLIE' C., Army MITCHELL, FRANKLIN B., Army MULLARKEY, JOHN J., Army NELSON, ARTHUR W., JR., Navy PATERSON, HENRY F., Army PERKINS, H. PORTER, Navy
PHILLIPS, EDGAR H., Army RAYNER, RUSSELL I., Navy REYNOLDS, MARTHA, WAVES RICCIO, ANGELO P., Army SHEA, DOROTHEA, WAC STEELE, RICHARD W., Navy SULLIVAN, WILLIAM J., Navy SUMMERVILLE, GEORGE H., Army
VanDUSEN, EDWARD B., Navy WILSON, ELLIOT T., Army WOOD. THOMAS E., Army YOUNG, GEORGE C., Army
Thomas Crane Public Library
GERMAIN, CLAIRE, WAC PHILIP, CAROL, U. S. Marine Corps Women's Reserve WHITE, LESTER A., Navy
Water Department
COOK, MARTIN, Army HOKKANEN, HELEN, U. S. Marine Corps Women's Reserve KELLIHER, PHILIP, Army LEWIS, MILLICENT, WAC SNOW, CLARA, WAVES
Above list compiled to December 31, 1944
Annual Report
***
*****
49
BOARD OF ASSESSORS
CHARLES F. A. SMITH Chairman NEIL A. MCDONALD ARNOLD O. EASTMAN Employees - 9 1944 Budget Expenditure. $25.046.18
The following is respectfully submitted as the report of the Assessing Department for the year 1944:
VALUATION
Value of Buildings
Value of Land
$86,933,125.00 35415,550.00
Value of Land and Buildings
$122,348,675.00
Value of Personal
8.085,700.00
Total Valuation of the City as determined January 1, 1944
$130,434,375.00
TAX RATE $30.00
Amount to be raised by taxation
$3.913,031.25
The valuation was increased by omitted assessments levied in December
$12,400.00
Net valuation of Automobiles December 31, 1944
$2,361.374.00
Total Valuation of the City including Automobiles for 1944 was
$132,808,149.00
Amount to be raised on Poll Taxes $42,546.00
RECAPITULATION BUDGET FOR 1944
City Appropriations
Budget
$4,524,833.17
City Debt
612,000.00
General Interest
47,250.00
Temporary Loan Interest
7,800.00
Deficit Overlay
5,900.47
Appropriations from Available Funds
96,975.87
Water Appropriations
165,149.00
Overlay (current)
91,131.06
$5.551.039.57
State Assessments
State Tax
245,630.00
Charles River Basin
9.960.85
Metropolitan Parks
21,973.84
Nantasket Beach
2,395.99
Boulevards
3.621.74
Metropolitan Sewerage
60,605.98
Metropolitan Water
204.174.34
State Audit
5,520.38
Smoke Inspection
1,376.61
Underestimates in 1944
30,853.93
$586,113.66
City of Quincy
50
County Assessments County Tax County Hospital Underestimates in 1944
.........
143.610.74 45,609.95
14,987.39
Total Expense .. ...
$204,208.08 $6.341,361.31
ESTIMATED RECEIPTS FOR 1944
Income Tax
$370,172.58
Corporation Tax
282,800.67
Gasoline Tax
128,645.46
Motor Vehicle and Trailer Excise
112,000.00
Licenses
73,450.00
Fines
3,700.00
Special Assessments
26,500.00
General Government
7,460.61
Protection of Persons and Property
6.000.00
Health and Sanitation
45,000.00
Highways
2,000.00
Charities
59,000.00
Old Age Assistance
158,025.39
Old Age Tax (Meals)
7437.48
Soldiers' Benefits
6,000.00
Schools
38,030.00
Libraries
4,350.00
Water
397,238.83
Cemeteries
27,000.00
Interest on Taxes
17,000.00
Hospital
500,000.00
Miscellaneous
5,000.00
Interest on Tax Titles
600.00
Recreation
500.00
Overestimates of Previous Years
367.17
Available Funds
96,975.87
$2,375,254.06
BOARD OF ASSESSORS - Left to right: Mr. McDonald, Mr. Smith, Chairman, Mr. Eastman.
TAX COLLECTION
FREDERICK C. SMAIL Collector Employees - 12 1944 Budget Expenditure $23,821.36
xxxx LLLLLL
The amount of cash collected on the tax for the various years is as follows:
REAL ESTATE OF 1937
Cash Received
Amount uncollected January 1, 1944
$18.74
Amount collected during year 1944
18.74
$18.74
REAL ESTATE OF 1939
Amount uncollected January 1, 19.44
$3,818.43
Charges
19.44
3,837.87
Amount collected during year 1944
3.24
3.24
Amount uncollected January 1, 1945
3,83.1.63
.59
REAL ESTATE OF 1910
Charges
$19.38
Amount collected during year 1944
3.23
3.23
Amount uncollected January 1, 1945
16.15
.. 17
REAL ESTATE OF 1941
Amount uncollected January 1, 1944
$61.62
Charges
18.72
Less abatements
46.02
34.32
Amount collected during year 1944
18.72
18.72
Amount uncollected January 1, 1945
15.60
Amount of interest collected
.35
REAL ESTATE OF 1942
Amount uncollected January 1, 1944
$5,031.85 46.50
Charges
5,078.35
Credits
185.69
4,892.66
Less abatements
1,767.78
3,124.88
- City of Quincy
52
Amount of interest collected
Amount of interest collected
80.34
Cash Received
Abatement refunds
1,461.65
Amount collected during year 1944
4,543.13
4,543.13
Amount uncollected January 1, 1945
43.40
Amount of interest collected
289.64
PERSONAL TAX OF 1942
Amount uncollected January 1, 1944
$86.80
Less abatements
34.10
52.70
Amount collected during year 1944
52.70
52.70
MAIN SEWER APPORTIONMENTS OF 1942
Amount uncollected January 1, 1944
$5.33
Amount collected during year 1944
5.33
5.33
COMMITTED INTEREST ON MAIN SEWER APPORTIONMENTS OF 1942
Amount uncollected January 1, 1944
$1.33
Amount collected during year 1944
1.33
1.33
WATER LIENS ON 1942 TAX BILLS
Amount uncollected January 1, 1944
$96.69
Amount collected during year 1944
96.69
96.69
REAL ESTATE TAX OF 1943
Amount uncollected January 1, 1944
$373,075.72 868.06
Charges
$373,943.78 43443.51
330,500.27
Less abatements
10,552.00
319,948.27
Abatement refunds
6,756.70
326,704.97 60.00
Tax Title abatements
326,764.97
Amount collected during year 1944
326,536.48
326,536.48
Amount uncollected January 1, 1945
228.49
Amount of interest collected
7,083.75
Annual Report
53
Credits
4,586.53
Cash Received
PERSONAL TAX OF 1943
Amount uncollected January 1, 1944 Credits
$4,013.97 670.25
Less abatements
3,313.72 887.32
2,456.40
Amount collected during year 1944
2,441.40
2,441.40
Amount uncollected January 1, 1945
.... 15.00
MAIN SEWER APPORTIONMENTS OF 1913
Amount uncollected January 1, 1944
$1,946.17 488.04
Credits
1,458.13
Amount collected during year 1944
1,458.13
1458.13
SIDEWALK APPORTIONMENTS OF 1943
Amount uncollected January 1, 1944
24.58
Credits
13.96
10.62
Amount collected during year 1944
10.62
10.62
STREET BETTERMENT APPORTIONMENTS OF 1943
Amount uncollected January 1, 1944
$919.25
Credits
204.76
714.49
Amount collected during year 1944
487.71
187.71
Amount uncollected January 1, 1945
226.78
COMMITTED INTEREST ON BETTERMENT APPORTIONMENTS OF 1944
Amount uncollected January 1, 1944
$748.42
Credits
172.00
576.42
Amount collected during year 1944
444.16
444.16
Amount uncollected January 1, 1945
132.26
WATER LIENS ON 1943 TAX BILLS
Amount uncollected January 1, 1941
$7,044.43
Charges
49.82
7,094.25
Credits
1,149.12
5,945.13
Amount collected during year 1944
5,945.13
5,945.13
54 City of Quincy
Cash Received
REAL ESTATE TAX OF 1944
Total amount committed by Assessors
$3,670,794.75 882.06
Charges
Credits
3,671,676.81 520.50
Less abatements
3,671,156.31 26,206.32
Abatement refunds
3,644,949.99 4,435-37
Amount collected during year 1944
3,649,385.36 3,198,096.42 3,198.096.42
Amount uncollected January 1, 1945 .... 451,288.94
Amount of interest collected
883.22
PERSONAL TAX OF 1944
Total amount committed by Assessors
$242,608.50 15.00
Charges
242,623.50 1,165.50
Less abatements
241,458.00
PERSONAL TAX OF 1944
Abatement refunds
29.25
241,487.25
Amount collected during year 1944
238,781.75
238,781.75
Amount uncollected January 1, 1945
2,705.50
MAIN SEWER APPORTIONMENTS OF 1944
Total amount committed by Assessors
$9,343.65
Credits
5.38
Less abatements
9,338.27 8.64
9,329.63
Amount collected during year 1944
7,529.51
7,529.51
Amount uncollected January 1, 1945
1,800.12
SIDEWALK APPORTIONMENTS OF 1944
Total amount committed by Assessors
$176.40
Amount collected during year 1944
176.40
176.40
STREET BETTERMENT APPORTIONMENTS OF 1944
Total amount committed by Assessors ....... 4,220.55
$4,976.65
Amount collected during year 1944
4,220.55
Amount uncollected January 1, 1945
756.10
Annual Report
55
Cash Received
COMMITTED INTEREST ON BETTERMENTS OF 1944 Total amount committed by Assessors $3,210.08 1.08
Credits
Less abatements
3,209.00 11.42
Amount collected during year 1944
2,668.51
2,668.51
Amount uncollected January 1, 1945
529.07
WATER LIENS ON 1941 TAX BILLS
Total amount committed by Assessors
$17,005.22 159.14
17,164.36
Less abatements
30.00
17,134.36
Amount collected during year 1941
11,914.02
11,914.02
Amount uncollected January 1, 1915
5,220.34
Total amount committed by Assessors
$53,882.00
Charges
6.00
53,888.00
Less abatements
13,580.00
40,308.00
POLL TAX OF 1911
Abatement refunds
14.00
40,322.00
Amount collected during year 1944
39,608.00
39,608.00
Amount uncollected January 1, 1945
714.00
POLI. TAX OF 1943
$802.00
Charges
2.00
804.00
Credits
4.00
800.00
Less abatements
640.00
160.00
Abatement refunds
2.00
162.00
Amount collected during year 1944
162.00
162.00
POLL TAX OF 1942
Charges
$16.00
Amount collected during year 1944
16.00
16.00
- City of Quincy
56
Amount uncollected January 1, 1944
POLL TAX OF 1941
Charges
3,197.58
Cash Received
MOTOR EXCISE TAX OF 1944
Total amount committed by Assessors Charges
$84,655.27 3.94
Less abatements
84,659.21 1,657.08
Abatement refunds
83,002.13 849.50
83,851.63
Amount collected during year 1944
81,743.54
81,743.54
Amount uncollected January 1, 1945
2,108.09
Amount of interest collected
50.46
MOTOR EXCISE TAX OF 1943
Amount uncollected January 1, 1944
$2,783.37
Warrants by Assessors
128.00
2,911.37
Less abatements
1,007.51
1,903.86
Abatement refunds ........
14.84
1,918.70
Amount collected during year 1944
1,918.70
1,918.70
Amount of interest collected
15.11
MOTOR EXCISE TAX OF 1942
Amount uncollected January 1, 1944
$9.84
Charges
16.61
Amount collected during year 1944
26.45
26.45
Amount of interest collected
.52
MOTOR EXCISE TAX OF 1941
Amount uncollected January 1, 1944
$20.48
Amount collected during year 1914
20.48
20.48
MAIN SEWER
Amount collected on Sewer Construction
2,903.91
Amount of interest collected
3.82
STREET BETTERMENT
Amount collected on Street Betterment
815.02
SIDEWALK
Amount collected on Permanent Sidewalks
248.24
WATER LIENS
Amount collected on Water Liens previous
284.84
Amount of costs collected during year 1944
3,410.15
Total amount collected during year 1944 .... $3,944,939.16
Annual Report
57
26.45
RETIREMENT BOARD
GEORGE H. BONSALL. .......... Chairman LEO E. MULLIN JOHN J. KEEFE Employees - 1 1944 Budget Expenditure $2,699.76
STATEMENT OF CASH RECEIPTS AND PAYMENTS For the Year Ending December 31, 1944
RECEIPTS
Cash on hand January 1, 1944
Members' contributions
$5,093.21 30,096.46
Appropriations by City:
Pension Fund
$36,731.79
Pension Fund Special
1,187.56
Expense Fund
2,699.76
40,619.11
Bonds sold or called
106,360.94
Income from Investments:
Interest on Bonds
15,125.57
Total
$197,295.29
PAYMENTS
Refunds of Contributions:
On account of resignations and dismissals
$5,057.50
On account of death in service
1,353.64
$6,411.14
Pension payments
10,490.45
Bonds purchased
173,283.29
Accrued interest on bonds purchased
848.67
Expenses:
Secretarial
$1,449.76
Actuarial
900.00
Printing
154.70
Postage and supplies
70.80
Bonds
75.00
Miscellaneous
49.50
2,699.76
Total
$193,733.31
Cash Balance as of December 31, 1944
3,561.98
Total
$197,295.29
58 City of Quincy
INCOME ACCOUNT - 1944
Cash Interest received
Interest accrued but not due December 31, 1944
$15,125.57 4,842.34
$19,967.91
Less:
Accrued Interest January 1, 1944
$4,129.61
Interest paid on bonds purchased
848.67
Premiums on bond amortized out of income
942.57
5,920.85
Net Interest earned
$14,047.06
4% Credited on Average Funds:
Annuity Savings Fund
$6,368.00
Annuity Savings Fund Special
9.14
Annuity Reserve Fund
322.23
Pension Accumulation Fund
8,775.54
Pension Accumulation Fund Special
72.22
$15,547.13
Deficiency to be made up by City
$1,500.07
BALANCE SHEET AS OF DECEMBER 31, 1944
Cash
$3,561.98
Annuity Savings Fund
$170,640.42
Investments
400,031.83
Annuity Savings Fund Spe- cial
228.57
Accrued interest
4,842.34
Annuity Reserve Fund
8,054.84
Pension Accumulation Fund
223,921.80
Pension Accumulation Fund Special
2,201.33
Surplus
3,389.19
Total
$408,436.15
MEMBERSHIP Active Members
WITH PRIOR SERVICE CREDIT
WITHOUT PRIOR SERVICE CREDIT
General Employees
General Employees
Male Female
Firemen, Police- men
Male Female
Firemen, Police- men Total
Membership January 1, 1944
73
73
1
84
208
83
522
Enrolled during 1944
29
74
5
108
Withdrawals:
Resignation
....
1
5
31
37
Death
1
1
2
Retirement
2
1
....
2
5
Membership December 31, 1944
70
71
1
106
250
88
586
Annual Report
59
Total
$408,436.15
Retired Members
Membership January 1, 1944
12
6
....
18
Retirement for: Superannuation
Disability:
Ordinary Accidental
....
....
.. .
...
Deaths
1
1
Membership December 31, 1944 13
7
...
2
22
Dependent Beneficiaries of Deceased Members
Membership December 31, 1944
2
2
TOTAL
Membership December 31, 1911
83
78
1
108
252 88
610
VALUATION BALANCE SHEET SHOWING THE ASSETS AND LIABILITIES OF THE FUNDS OF THE QUINCY RETIREMENT SYSTEM AS OF JUNE 30, 1944
ASSETS
$161,090.00
Annuity Reserve Fund
8,574.00
Pension Reserve Fund
222,165.00
Total Present Assets
$391,829.00
Present value of the prospective contributions payable by the City into the
Pension Accumulation Fund
274,796.00
Total Assets $666,625.00
LIABILITIES
Present value of benefits on account of which contributions have been paid by members into the Annuity Savings Fund
$161,090.00
Present value of benefits payable on account of beneficiaries or their dependents now drawing annuities from the Annuity Reserve Fund 8,916.00 Present value of benefits payable on account of beneficiaries or their dependents now drawing pensions from the Pension Reserve Fund Present value of benefits payable on account of beneficiaries or their dependents now drawing pensions from the Pension Accumulation Fund 79,628.00 Present value of benefits to members with prior service credit to be paid by contributions of the City into the Pension Accumulation Fund 219,838.00
Present value of benefits to new entrants to be paid by contributions of the City into the Pension Accumulation Fund 197,153.00
Total Liabilities $666,625.00
No account is taken of the future contributions of members into the Annuity Sav- ings Fund because the benefits provided by these contributions are exactly equal to the accumulated amount of the contributions and therefore they do not affect the balance in the fund.
City of Quincy
60
1
....
2
5
...
Annuity Savings Fund
Pension Accumulation Fund
AUDITOR OF ACCOUNTS
LLLLLLLLLLLLLLLL <<<<<<<<<<<<<<<<<<<<<<<<<<<<<<<<
LEO E. MULLIN Auditor Employees - 4 1944 Budget Expenditure $11,560.21
121
April 5, 1945
To His Honor the Mayor
and the Honorable City Council:
I submit herewith the financial report of the City of Quincy for the year ending December 31, 1944.
In compliance with Section 50, Chapter 41 of the General Laws, there is appended a certificate under oath with reference to the verification of cash balances in the hands of the City Treasurer and various trustees having custody of funds.
Respectfully submitted, LEO E. MULLIN, Auditor of Accounts.
I hereby certify that I have verified, by actual count of the cash and verification of the bank balances, the cash of the City Treasurer, the Board of Managers of the Adams Temple and School Fund, the Board of Man- agers of the Woodward Fund and Property, and the Trustees of the Thomas Crane Public Library.
Norfolk, ss.
LEO E. MULLIN, Auditor of Accounts. April 5, 1945
Subscribed and sworn to before me this day.
GRACE M. CULLEN, Notary Public.
Annual Report
61
ANNUAL APPROPRIATIONS - 1944 CITY OF QUINCY IN COUNCIL
Order No. 58
February 7, 1944
ORDERED :-
That the several sums named herein be and are hereby appropriated for the pay- ment of the expenses of the City of Quincy for the financial year beginning January 1, 1944, and ending December 31, 1941, to be expended by and under the direction of the several officers or boards as herein designated.
GENERAL GOVERNMENT
LEGISLATIVE
Salaries
$5,500.00
Expense
1,700.00
EXECUTIVE
Salaries
$10,500.00
Expense
1,600.00
Use of Car
300.00
Travel Out of State
300.00
AUDITOR
Salaries
$9,300.00
Extra Clerical
50.00
Expense
1,250.00
TREASURER
Salaries
$14,050.00
Expense
5,900.00
MANAGEMENT OF PROPERTY
$350.00
Salaries
$17,950.00
Expense
5,000.00
ASSESSORS
Salaries
$20,682.04
Expense
3,350.00
Extra Clerical
150.00
LAW
Salaries
$3,000.00
Expense
3,500.00
Awards and Claims
2,500.00
CITY CLERK
Salaries
$7,900.00
Expense
250.00
New Equipment
50.00
Vital Statistics
900.00
62
City of Quincy
Expense
COLLECTOR
DOG OFFICER
Salaries
Expense
CITY MESSENGER
$800.00
Salary
CITY ENGINEER
Salaries
$23,518.13
Pensions
1,095.50
Expense
1,500.00
Auto Maintenance
700.00
REGISTRARS
Salaries
$3,675.00
Election Officers
6,500.00
Expense
6,900.00
BOARD OF SURVEY
$25.00
Expense
PLANNING BOARD
$500.00
Expense
LICENSE BOARD
$153.00
Expense
150.00
RETIREMENT BOARD
Salaries
$1,300.00
Expense
1,250.00
Salaries
$175.00
Expense
10.00
Salaries
$6,500.00
Expense
650.00
MUNICIPAL BUILDINGS
Salaries and Wages
$8,400.00
Maintenance and Operation
21,250.00
New Equipment
225.00
Painting Welfare and City Home
200.00
BOARD OF APPEALS FOR ZONING
Salaries
$400.00
Expense
350.00
POLICE
Salaries and Wages
$277,000.00
Pensions
11,775.00
Station and General Expense
7,500.00
RadÃo Maintenance
2,500.00
Auto Maintenance
8,500.00
Prisoners' Expense
450.00
Traveling Expense
1,000.00
New Equipment
4,850.00
Annual Report
63
Salaries
CIVIL SERVICE REGISTRATION
PURCHASING AGENT
$1,550.00 100.00
FIRE
Salaries and Wages Pensions
23,890.00
Station and General Expense Equipment Maintenance Fire Prevention Bureau
11,500.00
4,700.00
300.00
Hose
2,000.00
FIRE AND POLICE SIGNALS
Salaries and Wages
$11,000.00
Power and Light
1,700.00
General Maintenance
8,750.00
Auto Maintenance
550.00
Fire Alarm Central Office
10,000.00
SEALER OF WEIGHTS AND MEASURES
Salaries
$4,500.00
Expense
175.00
Auto Maintenance
125.00
INSPECTOR OF WIRES
Salaries
$3,300.00
Extra Clerical
25.00
Expense
225.00
Auto Maintenance
300.00
INSPECTOR OF BUILDINGS
Salaries
$4,600.00
Acting Inspector
60.00
Expense
285.00
Auto Maintenance
300.00
GYPSY MOTH
Salaries and Wages
$15,000.00
Pensions
782.50
Supplies
1,900.00
Equipment Maintenance
1,250.00
Gypsy Moth
5,000.00
Trees
800.00
New Boiler
500.00
BOARD OF HEALTH ADMINISTRATION
Salaries
$8,460.00
Expense
1,955.00
Auto Maintenance
1,800.00
Salaries
$2,310.00
Expense
40,000.00
CHILD WELFARE
Salaries
$6,100.00
Expense
700.00
DENTAL CLINIC
Salaries
$3,950.00
Expense
410.00
64 City of Quincy
CONTAGIOUS DISEASES
$283,000.00
DISPENSARY
Salaries
$4,850.00 380.00
Expense
INSPECTION
Salaries
$8,350.00
Expense
65.00
PUBLIC WORKS ADMINISTRATION
Salaries
$16,245.00
Expense - Highway
350.00
Expense - Sewer
165.00
New Equipment
480.00
SANITARY
Salaries and Wages
$151,000.00
Pensions
5,389.25
Equipment Rentals
6,100.00
Equipment Maintenance
17,000.00
Care of Dumps
9,000.00
SEWERS
General Maintenance
$36.000.00
Pensions
4,136.75
Equipment Maintenance
700.00
Particular Sewers
16,000.00
Garage and Stable
3,300.00
HIGHWAY
Pensions
$16,150.00
General Maintenance
250,000.00
Street Lighting
107,500.00
Miscellaneous Activities
20,000.00
CHARITIES WELFARE ADMINISTRATION
Salaries
$11,500.00
Expense
1,075.00
Auto Maintenance
1,200.00
CITY HOME
Salaries
$3.466.83
AID TO DEPENDENT CHILDREN
Salaries
$2,450.16
Expense
75.00
Auto Maintenance
75.00
New Equipment
496.00
OLD AGE ASSISTANCE
Salaries
$6,623.00
Expense
1,000.00
Auto Maintenance
512.50
City Home
5,200.00
Outside Aid
46,000.00
Aid to Dependent Children
65,000.00
Old Age Assistance
210,000.00
Annual Report 65
SCHOOLS
Salaries and Wages
$960,000.00 175,000.00
Expense
New Equipment (Additional)
3,000.00
Pensions Travel Out of State
100.00
LIBRARY
Salaries and Wages
$52,214.28
Expense
14,105.00
Books and Periodicals
12,000.00
Auto Maintenance
266.00
New Equipment
350.00
RECREATION - PARKS ADMINISTRATION
Salaries
$1,100.00
Expense
100.00
Use of Commissioners' Cars
900.00
MAINTENANCE
Salaries and Wages
$39,42.1.00
Supplies and Expense
6,000.00
Equipment Maintenance
1,500.00
Fore River Club
1,722.00
Promotional and Miscellaneous
200.00
New Equipment
1,150.00
Insurance
67.75
Improvement to Stadium
2,000.00
HOSPITAL
Salaries and Wages
$320,000.00
Expense
223,000.00
Pensions
3,151.00
New Equipment
4,000.00
Living Out
6,000.00
CEMETERY
Salaries
$800.00
Labor
39,000.00
Office Expense
250.00
Supplies and Expense
2,000.00
Equipment Maintenance
900.00
Sub-Soil and Loam for New Land
1,500.00
UNCLASSIFIED
Quincy Veterans' Association
$200.00
Celebrations
2,150.00
Veterans' Rent
3,000.00
G. A. R. Memorial
500.00
Harbor Master
400.00
Harbor Master Expense
50.00
Annual Report
1,200.00
Workmen's Compensation
12,125.00
Annuities
1,800.00
Care of Historical Places
350.00
Mosquito Control
2,000.00
Care of Veterans' Graves
85.00
Maturing Debt
612,000.00
General Interest
47,250.00
Temporary Loan Interest
7,800.00
GRAND TOTAL
$4,570,980.69
66 City of Quincy
-
750.00
And be it further
ORDERED :-
That the following sums shall be and are hereby appropriated for the expense of the Water Department to be paid from Water Receipts:
WATER DEPARTMENT
Salaries
$22,930.00
Pensions
5,569.00
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