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 1959 > Part 7
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5,985.03
Perpetual Care Funds
21,084.91
Other Trust Accounts
2,062.25
Accrued Interest on Bonds
1,839.86
Premium on Bond Sale
2,399.50
MUNICIPAL INDEBTEDNESS
Temporary Loans
4,750,000.00
General Loans
800,000.00
Temporary Loan on Bond Sale
AGENCY TRUST AND DEPOSITS
City Clerk - Dog Licenses (County)
6,390.50
City Clerk - Hunters' Licenses - (State)
7,870.50
Perpetual Care Funds
36,925.00
Other Trust Funds
61,515.63
Deposits - Scavenger
937.50
Particular Sewer
31,365.00
Water
13,600.00
Tax Possessed Property
5,081.25
Withholding Tax
1,547,534.30
Parking Meters
111,981.92
Westacres Surplus
20,022.14
State Tax
114,608.37
QUINCY HOUSING AUTHORITY - In Lieu of Taxes
23,419.27
Quincy City Hospital Addition
144,157.90
Quincy School Athletic Fund
17,527.23
Quincy High and North High School Lunch
213,871.76
Alcohol Clinic
7,783.57
Construction School Projects - State Chap. #645
83,389.35
U. S. School Public Law #874
195,560.74
Squantum Gardens School
Myles Standish School Public Law #815
Chap. = 90 - Southern Artery and Adams St.
139,752.75
National Defense Education #864
24,220.37
$ 33,819,070.63
PAYMENTS
Paid Out on Mayor's Warrants - 1959
$ 30,981,914.03
Cash on Hand
2,837,156.60
Cash on Hand December 1, 1959
3,607,978.49
Cash Receipts - December
1,798,435.24
Cash Payments - December
2,569,257.13
Cash on Hand - December 31, 1959
2,837,156.60
..
.
FREDERIC A. MOONEY, JR.,
Treasurer and Collector.
84 - - - City of Quincy
CITY OF QUINCY RETIREMENT SYSTEM 5% RECEIPTS
Cash on hand January 1, 1959
$ 33,018.47 30,004.63
Sale of securities
298,827.55
Appropriated by City
99,211.00
Income from investments
78,756.70
Transfer from 4% system
695.00
Appropriated for Operating expenses
.... .
. . . .
$552,293.19
EXPENSES
Warrant payments (Pensions and withdrawals)
$214,731.43
Securities purchased
298,049.04
Accrued interest
1,564.89
Expended from operating expense appropriation
11,759.19
Unexpended from operating expense
20.65
Cash on hand December 31, 1959
26,167.99
. . . . . .. .
$552,293.19
STATEMENT OF FUND
Investments
$2,550,528.77
Cash on hand
26,167.99
$2,576,696.76
CITY OF QUINCY RETIREMENT SYSTEM 4% RECEIPTS
$ 6,580.11
Deposits by members
1,531.42
Sale Securities
5,299.65
Income from Investments
6,029.44
Deposit from City
.... 400.00
EXPENSES
Warrant payments (Pensions and withdrawals)
$ 10,970.61
Payment of bills
388.75
Transfer to 5% System
695.00
Cash on hand December 31, 1959
. .. . 7,786.26
.
$ 19,840.62
STATEMENT OF FUND
Cash on hand
$ 7,786.26
Investments
141,872.03
Total Fund
$149,658.29
PERPETUAL CARE FUND
Cash on hand January 1, 1959
RECEIPTS
Perpetual Care of Lots
36,925.00
Interest receipts
21,419.20
Sale of securities
20,000.00
$ 85,637.54
Annual Report
85
..
$ 19,840.62
Cash on hand January 1, 1959
$ 7,293.34
Deposits by members
11,779.84
EXPENSES
Accrued Interest
$ 334.29
Income credited to Burial Dept. Purchase of securities Cash on hand December 31, 1959
21,084.91
55,684.05
. ... . 8,534.29
$ 85,637.54
ANALYSIS OF FUND
Fund January 1, 1959
$613,106.53
Perpetual Care Lots 1959
36,925.00
$650,031.53
Cash on hand December 31, 1959
$ 8,534.29
Investments
641,477.24
650,031.53
WOODWARD FUND AND PROPERTY
Cash on hand January 1, 1959
$ 10,411.41
RECEIPTS
Payments on Mortgages
2,325.00
Sales of Securities
50,947.34
Income on Mortgages
2,705.55
Income on Securities
8,163,15
Income from Institute
20,891.08
Income from Adams Funds
4,862.17
Balance on Reserved Collections
113.24
$100,418.94
EXPENDITURES
Gilson Road property
$ 15.00
Administration expense
23.72
Accrued interest
125.37
Purchase of securities
50,130.85
By Board of Managers
2,295.14
By Institute
36,361.78
Social Security
636.53
Cash on hand December 31, 1959
10,830.55
$100,418.94
BALANCE SHEET
General Fund
$348,734.08
Unexpended Income
2,969.56
Profit Bond Sales
23,697.45
$375,401.09
Cash on hand
10,830.55
Investments
$230,290.19
Mortgages
54,280.35
Institute
80,000.00
364,570.54
$375,401.09
- - City of Quincy
86
ADAMS TEMPLE AND SCHOOL FUND
Cash on hand January 1, 1959
$ 5,616.38
RECEIPTS
Notes secured by Mortgage
100.00
Sale of Securities
22,500.00
Income Mortgage Loan
88.30
Income Securities
8,763.86
Rents
3,624.00
Withholding tax
429.40
Social Security
126.72
State tax
52.67
EXPENSES
Purchase of Securities
$ 17,000.00
Expense - Supervisors
450.00
Administration of Fund
1,264.32
Expenses on Property
6,679.74
State Tax
52.67
Withholding tax
429.40
Social Security
253.15
Transfer to Woodward Fund
3,955.67
Cash on hand December 31, 1959
.. 11,216.38
BALANCE SHEET
Investments
$247,650.55
Fund
$260,566.93
Mortgage
1,700.00
Cash
11,216.38
$260,566.93
LOUISA C. SMITH FUND
$ 720.87
Income receipts
132.11
$ 852.98
Cash on hand December 31, 1959
$ 852.98
FUND
50 Shares Boston personal property Trust
$ 750.00
Deposit Quincy Savings Bank
250.00
$ 1,000.00
ROBERT C. BILLINGS FUND
Cash on hand January 1, 1959
$ 8,906.32
Income Stocks and Bonds
1,380.23
Sale of rights
40.52
$ 10,327.07
Scholarships
$ 1,200.00
Cash on hand December 31, 1959
9,127.07
$ 10,327.07
STATEMENT OF FUND
Investments
$30,409.48
Fund
$ 36,500.00
Savings Bank
1,500.00
Unexpended Income
3,800.04
Cash on hand
9,127.07
Profit bond sales
736.51
$41,036.55
$ 41,036.55
Annual Report
87
. .
$ 41,301.33
$ 41,301.33
Cash on hand January 1, 1959
CHARLES FRANCIS ADAMS FUND
Cash on hand January 1, 1959 Receipts - Income on securities
$ 389.95 906.50
$ 1,296.45
Transferred to Woodward Fund Cash on hand December 31, 1959
389.95
$ 1,296.45
STATEMENT OF FUND
Fund
$11,614.99
Investments
$ 23,933.45
Unexpended Income
12,708.41
Cash on hand
389.95
$24,323.40
$ 24,323.40
SCHOOL ATHLETIC FUND
Cash on hand January 1, 1959
$ 7,223.21
Receipts 1959
17,527.23
$ 24,750.44
Expended 1959
17,884.71
Balance on hand December 31, 1959
$ 6,865.73
QUINCY HIGH LUNCH FUND
Cash on hand January 1, 1959
$ 12,310.60
Receipts 1959
155,382.33
$167,692.93
Expended 1959
151,609.09
Balance on hand December 31, 1959
$ 16,083.84
NORTH QUINCY HIGH LUNCH FUND
Cash on hand January 1, 1959
$ 484.91
Receipts 1959
58,489.43
Expended 1959
59,372.87
Balance - Deficit - December 31, 1959
$ 398.53
ERVANT SERPOSS FUND
$ 30,011.75
Receipts 1958
5,454.86
$ 35.466.61
Expended 1959
2,189.54
Balance on hand December 31, 1959
$ 33,277.07
QUINCY CANCER CLINIC
Set up by Treasurer 4/13/59
$ 5,817.71
Receipts 1959
2,217.00
Expended 1959
1,081.90
Balance on hand December 31, 1959
$ 6,952.81
City of Quincy
88
$ 906.50
$ 8,034.71
Cash on hand January 1, 1959
58,974.34
ELLA E. BADGER FUND
FUND - Quincy Savings Bank
$ 700.00 Unexpended Income January 1, 1959 $ 54.86 Income 1959
21.88
Expended 1959
21.00
Balance December 31, 1959
$ 55.74
MABEL S. BAXTER FUND
FUND - Quincy Savings Bank
$ 500.00
Unexpended Income January 1, 1959
$ 34.75
Income 1959
15.63
$ 50.38
Expended 1959
10.00
Balance December 31, 1959
$ 40.38
MINNIE B. BENT FUND
FUND - Quincy Savings Bank
$ 3.76
Income 1959
7.81
$ 11.57
Expended 1959
8.00
Balance December 31, 1959
$ 3.57
LIZZIE J. BURGESS FUND
FUND - Quincy Savings Bank .
$ 2,000.00
Unexpended Income January 1, 1959
$ 372.06
Income 1959
62.50
$ 434.56
Expended 1959
15.00
Balance December 31, 1959
$ 419.56
ALFRED A. DELL FUND
FUND - Quincy Savings Bank
$ 200.00
Unexpended Income January 1, 1959
$ .34
Income 1959
6.25
$ 3.59
Expended 1959
6.00
Balance December 1, 1959
.59
FANNIE G. DUGGAN FUND
FUND - Quincy Savings Bank
$ 400.00
Income 1959
$ 9.50
Expended 1959
5.00
Balance December 31, 1959
$ 4.50
$ 250.00
Unexpended Income January 1, 1959
$ 76.74
Annual Report
89
WILLIAM FIELD AND CHARLES FRENCH FUND
FUND - Quincy Savings Bank .
$ 22.50
Unexpended income January 1, 1959 Income 1959
15.63
$ 38.13
Expended 1959
10.00
Balance December 31, 1959
28.13
CHARLES E. FRENCH FUND
FUND - Quincy Savings Bank
$ 3,000.00
Unexpended income January 1, 1959
$ 450.24
Income 1959
93.75
Balance December 31, 1959
$ 543.99
C. C. JOHNSON FUND
FUND - Quincy Savings Bank
$ 5.14
Income 1959
4.69
$ 9.83
Expended 1959
4.00
Balance on hand December 31, 1959
$ 5.83
DELCEVARE KING FUND
FUND - 1 share of American Tel. & Tel. Capital stock
Unexpended Income January 1, 1959
$ 12.03
Income 1959
9.46
Balance December 31, 1959
$ 21.49
ALEXANDER NUGENT FUND
$ 125.00
Interest receipts 1959 .
$ 3.91
Paid Trustees St. Mary's Cemetery
3.91
GEORGE PIERCE FUND
FUND - Quincy Savings Bank
$ 4.96
Income 1959
6.25
$ 11.21
Expended 1959
8.00
Balance December 31, 1959
$ 3.21
ABRAHAM RICH FUND
FUND - Quincy Savings Bank
$ 176.00
Income for 1959
$ 5.50
Deficit balance January 1, 1959
.98
Balance December 31, 1959
$ 4.52
- City of Quincy
-
90
$ 500.00
$ 150.00
Unexpended income January 1, 1959
FUND - Quincy Savings Bank
$ 200.00
Unexpended Income January 1, 1959
WILLIAM HENRY SAMPSON FUND
FUND - Quincy Savings Bank Unexpended income January 1, 1959 Income 1959
$ 1.23
6.25
$ 7.48
Expended 1959
4.00
Balance December 31, 1959
$ 3.48
MARY WILLSON TUCKER FUND
FUND - Quincy Savings Bank .
$ 400.00
Unexpended income January 1, 1959
$ 83.92
Income 1959
12.50
$ 96.42
Expended 1959
15.00
Balance December 31, 1959
$ 81.42
WILLIAM S. WILLIAMS FUND
FUND - Quincy Savings Bank
$ 138.61
Income 1959
12.50
$ 151.11
Expended 1959
15.00
Balance December 31, 1959
$ 136.11
LOUIS ATHANASION FUND
Unexpended balance January 1, 1959
$ 105.60
Unexpended balance December 31, 1959
105.60
HATTIE BURRELL FUND $ 4,000.00
FUND - Quincy Savings Bank
Unexpended income January 1, 1959
$ 393.08
Income 1959
125.00
Balance December 31, 1959
$ 518.08
KATE A. ELLSWORTH FUND
FUND - Quincy Savings Bank
$ 5,000.00
Unexpended income January 1, 1959
$ 75.00
Income 1959
156.25
Balance December 31, 1959
$ 231.25
FUND
ELEANOR GOW FUND $ 5,000.00
ESTHER LOITMAN GROSSMAN NURSES TRAINING SCHOLARSHIP QUINCY CITY HOSPITAL FUND
FUND - State of Israel Bonds $ 5,000.00 Income 1959 $ 16.70
Annual Report - 91
$ 200.00
$ 400.00
Unexpended income January 1, 1959
ROSE GROSSMAN FUND
FUND - Quincy Savings Bank
Unexpended income January 1, 1959 Income 1959
31.25
$ 76.25
Expended 1959
50.00
Balance December 31, 1959
$ 26.25
DAVID L. JEWELL FUND
FUND - Quincy Savings Bank
$ 5,000.00
Unexpended income January 1, 1959
$ 4,187.17
Income 1959
156.25
Balance December 31, 1959
$ 4,343.42
FRANK J. KENNA AND WIFE EMMA M. KENNA
FUND
$ 5,000.00
HARRY LARK FUND
FUND - Quincy Savings Bank
$ 200.00
Unexpended income January 1, 1959
$ 155.16
Income 1959
6.25
Balance December 31, 1959
$ 161.41
MARY PARKER FUND
FUND - Quincy Savings Bank
$ 5,000.00
Unexpended income January 1, 1959
$ 2,337.12
Income 1959
156.25
Balance December 31, 1959
$ 2,493.37
MADELINE POOLE FUND
FUND - Quincy Savings Bank
$ 5,000.00
Unexpended income January 1, 1959
$ 2,853.91
Income 1959
156.25
Balance December 31, 1959
$ 3,010.16
RAYCROFT FUND
Unexpended income January 1, 1959
$ 51.04
Balance December 31, 1959
51.04
JAMES STETSON FUND
FUND - 24 shares common stock Walker Stetson
Unexpended income January 1, 1959 $ 234.01
72.00
Income 1959
Balance December 31, 1959 $ 306.01
CHILDREN'S WARD, CITY HOSPITAL
Unexpended income January 1, 1959 $ 1.78
Balance December 31, 1959 1.78
City of Quincy
92 -
$ 1,000.00
$ 45.25
HOSPITAL CANCER FUND
Unexpended January 1, 1959 $ 2.68
Balance December 31, 1959
2.68
QUINCY CITY HOSPITAL ENDOWMENT INCOME FUND
Unexpended January 1, 1959
$ 9,460.00
Income 1959
3,175.00
Balance December 31, 1959
$ 12,635.00
MISCELLANEOUS HOSPITAL GIFTS
Unexpended January 1, 1959
$ 95.58
Gifts 1959
425.00
Balance December 31, 1959
$ 520.58
HOSPITAL RESEARCH A MA
Unexpended January 1, 1959 $ 53.05
Unexpended December 31, 1959
53.05
QUINCY CITY HOSPITAL SCHOOL OF NURSING SCHOLARSHIP FUND
Unexpended balance January 1, 1959
$ 800.00
Receipts 1959
4,800.00
$ 5,600.00
Expended 1959
5,000.00
Balance December 31, 1959
$ 600.00
HOSPITAL - NEW BUILDING EQUIPMENT FUND
Gifts and receipts 1959
$ 25,286.25
Expended 1959
4,925.31
Balance December 31, 1959
$ 20,360.94
STUDENT NURSES' TRUST ACCOUNT
Unexpended balance January 1, 1959
$ 2,045.17
Receipts 1959
1,364.25
Expended 1959
593.40
Balance December 31, 1959
$ 2,816.02
NORFOLK COUNTY HEART ASSOCIATION
Unexpended balance January 1, 1959 Receipts 1959
500.00
$ 844.30
Expended 1959
341.00
Balance December 31, 1959
$ 503.30
Annual Report
- - 93
$ 3,409.42
$ 344.30
COTTON CENTER JOHNSON FUND
FUND - Quincy Savings Bank
Unexpended January 1, 1959
$ 1,491.66 798.29
Receipts 1959
$ 2,289.95
Expended 1959
325.80
Unexpended balance December 31, 1959
$ 1,964.15
C. C. JOHNSON TURKEY FUND
FUND - Quincy Savings Bank .
$ 2,000.00
Unexpended income January 1, 1959
$ 165.95
Receipts 1959
62.50
Balance December 31, 1959
$ 228.45
ROCK ISLAND FUND
FUND - Quincy Savings Bank
Unexpended income January 1, 1959
$ 47.06
Income 1959
31.25
$ 78.31
Expended by School Department 1959
46.78
Balance December 31, 1959
$ 31.53
MERRYMOUNT PARK RENTALS
Balance on hand January 1, 1959
$ 11,913.71
Balance on hand December 31, 1959
11,913.71
SCHOOL GUIDANCE GIFT FUND
Unexpended balance January 1, 1959 $ 582.50
Balance on hand December 31, 1959
582.50
NATIONAL DEFENSE STUDENT LOAN FUND of the JUNIOR COLLEGE
Receipts 1959
$ 845.18 800.00
Expended 1959
Balance December 31, 1959
$ 45.18
POLIO FUND
From Quincy United Fund $ 5,000.00 5,000.00
Expended 1959
$ 25,545.66
$ 1,000.00
94 - - - City of Quincy
BOARD OF ASSESSORS City of Quincy, Massachusetts
January 1, 1960
The Honorable Amelio Della Chiesa
Mayor, City of Quincy Quincy, Massachusetts
My dear Mayor:
The following is respectfully submitted as the report of the Assessing Department for the year 1959:
Valuation
Valuation of Buildings
$ 42,100,800.00 123,073,600.00
Valuation of Land .
$165,174,400.00
Total Value of Land and Buildings
10,871,325.00
Value of Tangible Personal Property
Total Valuation of the City as determined January 1, 1959
School Rate
$28.11
General Rate 45.89
Total Tax Rate $74.00
Net Valuation of Motor Vehicles December 31, 1959 was
$ 17,648,995.00
Total Valuation of the City including Motor Vehicles for 1959
$193,694,720.00
Amount to be Raised by Taxation
13,027,383.65
Amount to be Raised on Poll Taxes
51,522.00
Recapitulation for 1959
CITY APPROPRIATIONS:
Total Appropriations to be Raised by Taxation
$ 16,754,108.68
Total Appropriations to be Taken from Available Funds
516,539.67
Amount Certified by Treasurer for Tax Title Foreclosures at $36.00 each
2,000.00
Debt and Interest Charges
1,569,776.25
Amount Necessary to Satisfy Final Court Judgments
8,000.00
Deficit Overlay
89,749.23
Current Overlay
305,221.63
STATE ASSESSMENTS:
State Audit
$ 10,551.27
State Examination of Retirement
494.22
Smoke Inspection Service
2,151.77
Metropolitan Parks
148,663.31
Metropolitan Sewers
326,913.86
Metropolitan Water
270,861.60
Old Colony Transportation
200,521.49
COUNTY ASSESSMENTS:
County Tax
561,983.08
County Hospital
303,386.22
Total Appropriations
$ 21,070,922.28
Annual Report
95
$176,045,725.00
Estimated Receipts and Available Funds for 1959
Income Tax
$ 834,486.98
Corporation Tax
571,021.71
Reimbursement on account of publicly owned land
1,109.24
Old Age Tax (Meals)
34,245.16
Motor Vehicle and Trailer Excise
1,028,551.00
Licenses
91,868.00
Fines
2,739.00
Special Assessments
61,560.00
General Government
20,662.00
Protection of Persons and Property
23,599.00
Health and Sanitation
53,457.00
Highways
7,165.00
Charities
96,878.00 607,163.00
Old Age Assistance
Veterans' Benefits
130,166.00
Schools
52,561.00
Libraries
11,495.00
Recreation
3,903.00
Water Department
705,596.16
Cemeteries
33,773.00
Interest on Taxes and Assessments
36,271.00
State Assistance for School Construction - Chap. 645 Acts of 1948
87,103.00
Disability Assistance
57,546.00
State Education (Vocational)
78,263.00
Hospital
2,483,927.00
Quincy Housing Authority and West Acres
33,724.00
Miscellaneous
4,291.00
Squantum Gardens - U. S. Navy
31,130.00
Overestimates
41,222.71
Available Funds
516,539.67
Free Cash
............ ...... .. 250,000.00
..
$ 7,992,016.63
Respectfully submitted,
BOARD OF ASSESSORS
NATHAN G. NICKERSON, Chairman
3681 125
- - City of Quincy
96
In Memoriam
-
-
-
-
-
-
Foto by Robert Leo Eng
ALLAN W. COLE 1905 - 1959
City Clerk of Quincy, December 31, 1957 - September 18, 1959
1
Assistant City Clerk, 1954-1957
CALL THESE NUMBERS FOR SERVICE:
Call
Phone No.
FIRE
PResident 3-6400
IN AN EMERGENCY
POLICE
GRanite 9-1212
AMBULANCE
PResident 3-6100
HOSPITAL
PResident 3-6100
FOR INFORMATION
Parks
Parks
GRanite 9-3160
Assessments
Assessors
PResident 3-1380
Excise Tax
Assessors
PResident 3-1380
Building Permits
Building Inspector
PResident
3-1380
Zoning
Building Inspector
PResident 3-1380
Licenses
City Clerk
PResident
3-1380
real Estate Taxes
Collector of Taxes
PResident
3-1380
Library
Crane Library
PResident 3-0081
Health
Health Department
GRanite
9-4500
Housing
Housing Authority
PResident
3-1149
Garbage Collection
Public Works Department
PResident 3-1380
Purchasing
Purchasing Department
PResident
3-1380
Recreation
Recreation
GR nite
9-3160
Schools
School Department
PResident
3-0330
Veteran's Services
Veterans' Services
PResident
3-1380
Water Bills
Water Division
PResident
3-1380
Welfare
Welfare Department
GRanite
9-6868
When in doubt
Executive Secretary
GRanite
9-8633
If you have a Complaint
Executive Secretary
GRanite
9-8633
FRID FRANKLIN PRINTING SERVICE - QUINCY
3 1641 00103 7401 THOMAS CRANE PUBLIC LIBRARY
a31641001037401b
APR 1 1 1989
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