Inaugural address of the mayor, with the annual report of the officers of the city of Quincy for the year 1961, Part 8

Author: Quincy (Mass.)
Publication date: 1961
Publisher:
Number of Pages: 116


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 1961 > Part 8


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).


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3,718,598.17


Hospital - Living Out - Other Deductions


29,038.30


School Department


22,988.78


Trade School Receipts


1,097.65


School Accounts Receivable


33,002.27


Smith Hughes and Dean Funds


13.575.50


Library, Fines, etc.


15,191.77


Particular Sewer Receipts (Treasurer)


23,423.70


Miscellaneous City


119,988.71


Departmental Refund


69,229.44


Sale of Tax Possessions


4,300.00


PUBLIC SERVICES


Water Rates - 1961


654,123.91


Water Rates - - Prior


93,301.58


Water Connections


35,834.22


Water Tax Coll. - Liens


47,433.27


Cemetery


64,819.91


INTEREST


Tax Collector - Taxes and Assessments


26,850.10


City Treasurer on Tax Titles


3,703.97


Perpetual Care Funds


26,307.06


Others Trust Accounts


2,556.46


Accrued Interest on Bonds


1,271.11


Premium on Bond Sale


2,200.00


MUNICIPAL INDEBTEDNESS


Temporary Loans


4,750,000.00


General Loans


550,000.00


Temporary Loan on Bond Sale


AGENCY TRUSTS & DEPOSITS


City Clerk - Dog Licenses (County)


4,922.75


City Clerk - Hunters' Licenses (State)


8,557.50


Perpetual Care Funds


45,550.00


Other Trust Funds


60,006.58


Deposits - Scavenger


834.00


Particular Sewer


25,885.00


Water


9,100.00


Tax Possessed Property


2,865.00


Withholding


1,926,641.60


Parking Meters


111,246.62


Westacres Surplus


16,023.28


State Tax


162,429.39


Quincy Housing Authority - In Lien of Taxes


23,720.51


Quincy City Hospital Addition


35,353.42


Quincy School Athletic


29,104.93


Quincy High and North High School Lunch


236,200.54


Alcoholic Clinic


8,351.81


Construction School Project - State Chap. No. 645


70,250.62


Annual Report


-


89


U. S. School - Public Law No. 874 Squantum Gardens


319,039.00 24,948.00


Myles Standish School - Public Law No. 815


Chap. No. 90- Southern Artery and Adams St.


National Defense Education Act. P. L. No. 864


21,176.78


$34,809,848.35


PAYMENTS


Paid Out on Mayor's Warrants 1961


$32,206,978.90


Cash on Hand


2,602,869.45


Cash on Hand - December 1, 1961


2,360,193.09


Cash Receipts - December 1961


32,449,655.26


Cash Payments - December


32,206,978.90


Cash on Hand - December 31, 1961


2,602,869.45


City Treasurer THOMAS J. SHEERIN


CITY OF QUINCY RETIREMENT SYSTEM 5% RECEIPTS


Cash on hand January 1, 1961


$ 20,369.77


Sale of Securities


74,198.14


Deposits by Members


367,085.91


Appropriated by City


184,197.12


Income from Investments


106,672.10


Appropriated for Operating expenses


14,898.05


Transfer from 4% System


11,827.35


EXPENSES


Warrant payments (Pensions and withdrawals)


$ 291,191.81


Securities Purchases


424,131.01


Accrued interest


4,220.26


Expense from Operating expense appropriation


13,318.36


Unexpended from operating expense


1,579.69


Cash on hand December 30, 1961


44,807.31


$ 779,248.44


STATEMENT OF FUND


Investments


$3,213,636.71


Cash on hand


44,807.31


$3,258,444.02


INVESTMENTS


$3,213,636.71


CITY OF QUINCY RETIREMENT FUND 4%


RECEIPTS


Cash on hand January 1, 1961


$ 1,252.95 826.26


Deposits by members


Income from investments


6,029.85


- - City of Quincy


90


$ 779,248.44


Deposit from City Sale of Securities


596.95 17,358.98


$ 26,064.99


EXPENSES


Warrant payments


$ 12,057.33


Payment of bills


640.30


Transfer to 5% System


11,827.35


Cash on hand December 30, 1961


1,540.01


$ 26,064.99


STATEMENT OF FUND


Cash on hand


$ 1,540.01


Investments


113,740.93


$ 115,280.94


INVESTMENTS


$ 113,740.93


PERPETUAL CARE FUND


Cash on hand January 1, 1961


$ 16,241.67


RECEIPTS


Perpetual Care of Lots


$ 45,550.00


Interest receipts


26,757.55


Sale of Securities


10,439.00


EXPENSES


Accrued Interest


$ 450.49


Income credited to Burial Dept.


26,307.06


Purchase of securities


55,831.55


Cash on hand December 31, 1961


16,399.12


ANALYSIS OF FUND


Fund January 1, 1961


$687,590.28


Perpetual Care Lots 1961


45,550.00


$ 733,140.28


Cash on hand December 30, 1961


$ 16,399.12


Investments


716,741.16


$ 733,140.28


INVESTMENTS


$ 716,741.16


WOODWARD FUND AND PROPERTY


Cash on hand January 1, 1961


$ 12,830.82


RECEIPTS


Payment on Mortgages


$ 8,770.35


Sales of securities


1,269.54


Income on Mortgages


2,519.94


Income on Securities


9,158.33


Income from Institute


20,890.90


Income from Adams Funds


7,771.81


$ 63,211.69


Annual Report


- 91


$ 98,988.22


$ 98,988.22


EXPENDITURES


Gilson Road Property


$ 15.00


Administration expense


22.00


Accrued Interest


42.96


Purchase of securities


11,852.65


By Board of Managers


1,856.98


By Institute


40,114.81


Social Security


846.37


Cash on hand December 30, 1961


8,460.92


$ 63,211.69


BALANCE SHEET


General Fund


$348,734.08


Cash on hand


$ 8,460.92


Unexpended Income


2,912.60


Investments


$245 972.53


Profit Bond Sales


23,911.77


Mortgages


41,125.00


Institute


80,000.00


367,097.53


$375,558.45


$375,558.45


INVESTMENTS


$245 972.53


ADAMS TEMPLE AND SCHOOL FUND


Cash on hand January 1, 1961


$ 7,282.58


RECEIPTS


Mortgage payment


100.00


Sale of Securities


16,755.45


Income on Mortgage


78.68


Income securities


9,077.48


Rents


5,424.00


Withholding Tax - Federal


355.50


Withholding Tax - Tax


45.22


Social Security


139.88


$ 39,258.79


EXPENSES


Purchase of Securities


$ 15,176.55


Expense - Supervisors


215.36


Expense - Administration


930.00


Expense of property


6,409.58


Accrued Interest


63.75


Withholding tax - Federal


355.50


Withholding tax - State


45.22


Social Security


280.79


Transferred to Woodward Fund


6,820.56


Cash on hand December 30, 1961


8,961.48


$ 39,258.79


BALANCE SHEET


Investments


$251,672.11


Mortgage


1,500.00


Fund


$258,929.58


Cash


8,961.48


Profit on Bond Sales


3,204.01


$262,133.59


$262,133.59


INVESTMENTS


$251,672.11


- City of Quincy


92


CHARLES FRANCIS ADAMS FUND


Cash on hand January 1, 1961


Receipts - Income on Securities


$ 354.97 960.25


Transferred to Woodward Fund


$ 951.25


Expense


9.00


Cash on hand December 31, 1961


354.97


$ 1,315.22


STATEMENT OF FUND


Fund


$ 11,614.99


Investments


$ 23,968.43


Unexpended


12,708.41


Cash on hand


354.97


$ 24,323.40


$ 24,323.40


INVESTMENTS


$ 23,968.43


LOUISA C. SMITH FUND


Cash on hand January 1, 1961


$ 721.59


Income receipts


157.77


Cash on hand December 31, 1961


$ 879.36


FUND


50 Shares Boston personal property Trust


$ 750.00


Deposit Quincy Savings Bank


250.00


ROBERT C. BILLINGS FUND


Cash on hand January 1, 1961


$ 9,184.02


Income Stocks and Bonds


1,436.53


$ 10,620.55


Scholarship


1,200.00


Cash on hand December 31, 1961


9,420.55


$ 10,620.55


STATEMENT OF FUND


Investments


$ 30,409.48


Fund


$ 36,500.00


Savings Bank


1,500.00


Unexpended Income


4,093.52


Cash on hand


9,420.55


Profit Bond Sales


736.51


INVESTMENTS


$ 31,909.48


ELLA E. BADGER FUND


FUND - Quincy Savings Bank


$ 700.00


Unexpended Income January 1, 1961


$ 74.24


Income 1961


25.38


$ 99.62


Expended 1961


6.00


Balance December 30, 1961


$ 93.62


Annual Report - -


93


$ 879.36


$ 1,000.00


$ 41,330.03


$ 41,330.03


$ 1,315.22


MABEL S. BAXTER FUND


FUND - Quincy Savings Bank


$ 47.88 $ 500.00 Unexpended Income January 1, 1961 Income 1961


18.13


Balance December 30, 1961


$ 66.01


MINNIE B. BENT FUND


FUND - Quincy Savings Bank


$ 250.00


Unexpended Income January 1, 1961


$ 4.33


Income 1961


9.07


Balance December 30, 1961


$ 13,40


LIZZIE J. BURGESS FUND


FUND - Quincy Savings Bank


$ 2,000.00


Unexpended Income January 1, 1961


$ 474.56


Income 1961


72.50


Balance December 30, 1961


$ 547.06


ESTATE EMILY J. CLINE FUND


FUND - Quincy Savings Bank $ 500.00 Income 1961 $ 15.21


ALFRED A. DELL FUND


FUND - Quincy Savings Bank


$ 200.00


Deficit January 1, 1961


$ .41


Income 1961


7.25


Balance December 31, 1961


$ 6.84


FANNIE G. DUGGAN FUND


FUND - Quincy Savings Bank


$ 400.00


Unexpended Income January 1, 1961


$ 18.50


Income 1961


14.50


Unexpended balance December 31, 1961 33.00


Expended 1961


5.00


Balance December 31, 1961


$ 28.00


WILLIAM FIELD AND CHARLES FRENCH FUND


FUND - Quincy Savings Bank $ 500.00 Unexpended income January 1, 1961 $ 35.63


Income 1961


18.13


$ 53.76


O. FOSSATI FUND


5 Shares - First National Bank Stock


Income 1961 $ 71.95


- City of Quincy


94


CHARLES E. FRENCH FUND


FUND - Quincy Savings Bank


$ 648.99


Unexpended income January 1, 1961 Income 1961


108.75


Unexpended balance December 31, 1961


$ 757.74


C. C. JOHNSON FUND


FUND - Quincy Savings Bank


Unexpended income January 1, 1961 $ 7.09


Income 1961


5.44


Unexpended balance December 31, 1961 $ 12.53


DELCEVARE KING FUND


FUND - 1 share of American Tel. & Tel. Capital Stock


Unexpended Income January 1, 1961


$ 31.41


Income 1961 15.48


Unexpended Income December 31, 1961 $ 46.89


ALEXANDER NUGENT FUND


FUND - Quincy Savings Bank


Interest receipts 1961 $ 4.53


Paid Trustees St. Mary's Cemetery 4.53


GEORGE PIERCE FUND


FUND - Quincy Savings Bank


$ 200.00


Unexpended income January 1, 1961 $ 2.21


7,25


Unexpended Income December 31, 1961 $ 9.46


ABRAHAM RICH FUND


$ 176.00


Unexpended income January 1, 1961 $ 10.68


6.38


Unexpended balance December 31, 1961 $ 17.06


WILLIAM HENRY SAMPSON


FUND - Quincy Savings Bank


$ 7.48


Unexpended Income January 1, 1961 Income 1961


7.25


$ 14.73


Expended 1961


3.00


Unexpended balance December 31, 1961


$ 11.73


$ 3,000.00


Annual Report


-


95


$ 150.00


$ 125.00


Income 1961


FUND - Quincy Savings Bank


Income 1961


$ 200.00


MARY WILSON TUCKER FUND


FUND -- Quincy Savings Bank


Unexpended income January 1, 1961 Income 1961


$ 80.42


14.50


Unexpended balance December 31, 1961 $ 94.92


WILLIAM S. WILLIAMS FUND


FUND - Quincy Savings Bank


Unexpended income January 1, 1961


$ 135.11


Income 1961 14.50


Unexpended balance December 31, 1961


$ 149.61


LOUIS ATHANASION FUND


Unexpended balance January 1, 1961 $ 105.60


Unexpended balance December 31, 1961 105.60


HATTIE BURRELL FUND


FUND - Quincy Savings Bank


$ 4,000.00


Unexpended income January 1, 1961


$ 658.08


Income 1961


145.00


Unexpended balance December 31, 1961 $ 803.08


KATE A. ELLSWORTH FUND


FUND - Quincy Savings Bank


$ 406.25


Income 1961


181.25


Unexpended balance December 31, 1961 $ 587.50


ESTHER LOITMAN GROSSMAN NURSES TRAINING SCHOLARSHIP, QUINCY CITY HOSPITAL, FUND $ 5,000.00


FUND - State of Israel Bond


Unexpended income January 1, 1961


$ 16.70


Income 1961


200.00


$ 216.70


Expended 1961


100.00


Unexpended balance December 31, 1961


$ 116.70


ROSE GROSSMAN FUND


FUND - Quincy Savings Bank


$ 1,000.00


Unexpended income January 1, 1961


$ 11.25


Income 1961


36.25


Expended 1961


$ 47.50


Unexpended balance December 31, 1961


- City of Quincy


96


$ 400.00


$ 47.50


$ 400.00


$ 5,000.00


Unexpended income January 1, 1961


DAVID L. JEWELL FUND


FUND - Quincy Savings Bank


$ 5,000.00


Unexpended income January 1, 1961 Income 1961


$4,518.42 181.25


Unexpended balance December 31, 1961


$4,699.67


FRANK J. KENNA AND WIFE EMMA M. KENNA


FUND


$ 5,000.00


Expended by Hospital Dept. 1961 $4,605.00


Unexpended balance December 31, 1961


$


395.00


HARRY LARK FUND


FUND - Quincy Savings Bank


$ 200.00


Unexpended income January 1, 1961


$ 168.41


Income 1961


7.25


Unexpended balance December 31, 1961


$ 175.66


MARY PARKER FUND


FUND - Quincy Savings Bank


Unexpended income January 1, 1961


$2,668.37


Income 1961


181.25


Unexpended balance December 31, 1961


$2,849.62


MADELINE POOLE


FUND - Quincy Savings Bank


$3,185.16


Income 1961


181.25


Unexpended balance December 31, 1961


$3,366.41


RAYCROFT FUND


Unexpended Income January 1, 1961 $ 51.04


Unexpended balance December 31, 1961 51.04


JAMES STETSON FUND


FUND - 24 shares common stock Walker-Stetson Co.


Unexpended Income January 1, 1961


378.01


Income 1961


72.00


Unexpended balance December 31, 1961


$ 450.01


CHILDREN'S WARD


Unexpended income January 1, 1961 $ 1.78


Unexpended balance December 31, 1961 1.78


Annual Report


97


$ 5,000.00


$ 5,000.00


Unexpended income January 1, 1961


QUINCY CITY HOSPITAL ENDOWMENT INCOME FUND


Unexpended January 1, 1961 Income 1961


$ 4,135.00 4,000.00


Appropriated by Council Order 1961


4,000.00


Unexpended balance December 31, 1961


$ 4,135.00


MISCELLANEOUS HOSPITAL GIFTS


Unexpended January 1, 1961 Expended 1961


25.00


Unexpended balance December 31, 1961


$ 145.58


HOSPITAL MEDICAL LIBRARY FUND


FUND - deposits 1961


$ 10,200.00


QUINCY CITY HOSPITAL SCHOOL FOR NURSING SCHOLARSHIP FUND


Unexpended Balance January 1, 1961


$ 900.00


Deposits 1961


2,550.00


Expended 1961


3,150.00


Unexpended Balance December 31, 1961


$ 300.00


HOSPITAL-NEW BUILDING EQUIPMENT FUND


Unexpended balance January 1, 1961


$ 1,366.55


Deposits 1961


5,384.23


$ 6,750.78


Expended 1961


4,633.86


Unexpended balance December 31, 1961


$ 2,116.92


STUDENT NURSES


Balance January 1, 1961


$ 3,851.42


Receipts 1961


3,157.45


$ 7,008.87


Expended 1961


3,202.30


SCHOOL GUIDANCE FUND


$ 3,806.57


Unexpended balance January 1, 1961


$ 582.50


Unexpended balance December 31, 1961


360.00


Receipts 1961


$ 942.50


Expended 1961


180.00


$ 762.50


City of Quincy


98


$ 8,135.00


$ 120.58


$ 3,450.00


NATIONAL DEFENSE STUDENT LOAN FUND OF THE JUNIOR COLLEGE


Unexpended balance January 1, 1961 Receipts 1961


$ 1,271.33 1,332.00


Expended 1961


1,509.00


Unexpended balance December 31, 1961


$ 1,094.33


POLIO FUND


Deposit 1961


$ .57


Receipts 1961


3,000.00


Unexpended balance December 31, 1961


$ 3,000.57


Expended 1961


2,672.09


PAYROLL TAILINGS


Balance January 1, 1961


$ 6,714.12


Deposits 1961


541.71


Expended 1961


493.81


Balance December 31, 1961


$ 6,762.02


QUINCY SCHOOL ATHLETIC


Cash on hand January 1, 1961


$ 6,110.43


Receipts 1961


29,104.93


$ 35,215.36


Expenses 1961


27,776.61


$ 7,438.75


NORFOLK COUNTY HEART ASSOCIATION


Unexpended January 1, 1961


$ 503.30


Unexpended December 31, 1961


503.30


COTTON CENTER JOHNSON FUND


Cash on hand January 1, 1961


$ 1,989.42


Receipts 1961


926.01


$ 2,915.43


Expended 1961


671.95


$ 2,243.48


C. C. JOHNSON TURKEY FUND


FUND - Quincy Savings Bank


$ 2,000.00


Unexpended Balance January 1, 1961


$ 298.45


Receipts


72.50


$ 370.95


Annual Report


- 99


2,603.33


$ 328.48


$ 7,255.83


ROCK ISLAND FUND


FUND - Quincy Savings Bank


$ 1,000.00 Unexpended Balance January 1, 1961 $ 62.31 Receipts 1961


36.25


$ 98.56


MERRYMOUNT PARK RENTALS


Balance January 1, 1961


$ 1,200.00


Receipts 1961


42,898.71


$ 44,098.71


Expended by Council Order 1961


9,150.00


$ 34,948.71


QUINCY HIGH LUNCH ACCOUNT


Cash on hand January 1, 1961


$ 14,699.12


Receipts 1961


168,213.69


$182,912.81


Expenses 1961


166,226.14


Cash on hand December 31, 1961


$ 16,686.67


NORTH QUINCY LUNCH ACCOUNT


Cash on hand January 1, 1961


$ 1,152.81


Receipts 1961


67,986.85


$ 69,139.66


Expenses 1961


66,566.59


Cash on hand December 31, 1961


$ 2,573.07


ERVANT SERPOSS FUND


Cash on hand January 1, 1961


$ 37,295.43


Receipts 1961


6,410.24


44,705.67


Expenses 1961


2,265.35


Cash on hand December 31, 1961


$ 41,440.32


QUINCY CANCER CLINIC


Cash on hand January 1, 1961


$ 9,848.06


Receipts 1961


5,384.00


Expenses 1961


1,508.45


Cash on hand December 31, 1951


$ 13,723.61


DAWES MEMORIAL


Deposited 1961


$ 380.00


Expended 1961


25.00


Balance on hand December 31, 1961


$ 355.00


- City of Quincy


100


$ 15,232.06


BOARD OF ASSESSORS


WILLIAM J. CALLAHAN, Chairman ARNOLD O. EASTMAN JOHN J. HANNON


January 1, 1962


The Honorable Amelio DellaChiesa Mayor, City of Quincy Quincy, Massachusetts


My Dear Mayor:


The following is respectfully submitted as the report of the Assessing Department for the year 1961:


VALUATION


Valuation of Buildings


$126,060,000.00 42,506,475.00


Valuation of Land


Total Value of Land and Buildings


$168,566,475.00


Value of Tangible Personal Property


11,212,425 00


Total Valuation of the City as determined January 1, 1961


$179,778,900.00


School Rate


$30.68


General Rate


44.92


$75.60


Net Valuation of Motor Vehicles December 31, 1961 was


$ 21,102,608.00


Total Valuation of the City including Motor Vehicles for 1961


$200,881,508.00


Amount to be Raised by Taxation


13,591,284.84


Amount to be Raised on Poll Taxes


50,406.00


RECAPITULATION FOR 1961


CITY APPROPRIATIONS:


Total Appropriations to be Raised by Taxation


$ 19,595,824.61


Total Appropriations to be Taken from Available Funds


1,056,035.28


Amount Certified by Treasurer for Tax Title Foreclosures at $36.00 each


2,500.00


Debt and Interest Charges


1,400,731.25


Amount Necessary to Satisfy Final Court Judgments


10,000.00


Deficit Overlay


28,808.51


Current Overlay


348,492.14


STATE ASSESSMENTS:


State Audit


$ 7,784.67


State Examination of Retirement


497.21


Smoke Inspection Service


3,102.51


Metropolitan Parks


188,767.97


Metropolitan Sewerage


435,739.74


Metropolitan Water


262,987.20


COUNTY ASSESSMENTS:


County Tax


444,330.28


County Hospital


227,977.79


Total Appropriations


$ 24,013,579.16


Annual Report -


101


ESTIMATED RECEIPTS AND AVAILABLE FUNDS FOR 1961


Income Tax


$ 582,487.69


Corporation Taxes


790,786.71 45,641.13


Old Age Tax (Meals)


Motor Vehicle and Trailer Excise


1,225,000.00


Licenses


93,972.50


Fines


4,174.40


Special Assessments


75,876.50


General Government


24,804.39


Protection of Persons and Property


27,144.48


Health and Sanitation


35,832.04


Highways


19,439.55


Welfare


107,787.58


Old Age Assistance


566,247.52


Veterans' Services


245,000.00


School


97,841.62


Libraries


14,214.60


Recreation


4,608.82


Water Department


712,282.37


Cemeteries


40,281.14


Interest on Taxes and Assessments


33,220.14


State Assistance for School Construction - Chap. 645, Acts of 1948


80,328.63


Library Aid - Cherry Sheet


18,355.89


School Aid - G. L. Chap. 70


423,806.50


School Aid -G. L. Chap. 69 and 71


44,585.22


Disability Assistance


56,120.51


State Education - Vocational


100,768.96


Hospital


3,400,000.00


Quincy Housing Authority and Westacres


42,566.47


Squantum Gardens


20,790.00


Sale of Land


1,701.00


Miscellaneous


2,202.90


.


$ 8,937,869.26


Respectfully submitted,


Board of Assessors, WILLIAM J. CALLAHAN, Chairman ARNOLD O. EASTMAN JOHN J. HANNON


City of Quincy


102


MAY 7





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