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
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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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