Inaugural address of the mayor, with the annual report of the officers of the city of Quincy for the year 1962, Part 8

Author: Quincy (Mass.)
Publication date: 1962
Publisher:
Number of Pages: 106


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 1962 > 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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Abatements


17,381.30


Amount uncollected January 1, 1963


999.00


Annual Report


.


83


S 7,739.03


7,537.33


135.79


5,115.15


17.381.30


18,380.30


703.21


723.21


S 5,391.05


PERSONAL TAX OF 1958


Amount uncollected January 1, 1962 Abatements


S 1,801.33 152.42


Amount collected during year 1962


315.21


315.21


Amount uncollected January 1, 1963


1,336.67


REAL ESTATE TAX OF 1958


Amount uncollected January 1, 1962 Refunds


S 942.30 10,260.60


Abatements


10,260.60


912.30


Amount collected during year 1962


584.00


584.00


Amount uncollected January 1, 1963


358.30


Amount of interest collected


116.68


REAL ESTATE TAX OF 1957


Abatements Refunds


S 12.96


12.96


PERSONAL TAX OF 1957


Amount uncollected January 1, 1962 Charges


S 2,185.38


62.76


Amount collected during year 1962


62.76


62.76


Amount uncollected January 1, 1963


2,185.38


.15


PERSONAL TAX OF 1956


Amount uncollected January 1, 1962


$ 169.68


Amount uncollected January 1, 1963


169.68


MOTOR VEHICLE EXCISE TAX OF 1962


Total amount committed by Assessors Abatements


$ 1,518,742.88 84,643.40


1,434,099.48 24,016.60


Refunds


1,458,116.08


Amount collected during year 1962


1,177,741.06


1,177,741.06


Amount uncollected January 1, 1963


280,375.02


MOTOR VEHICLE EXCISE TAX OF 1961


Amount uncollected January 1, 1962 Warrants


S 447,971.19


31,645.23


479,616.42 50,484.29


429,132.13


Refunds


23,126.24


Amount collected during year 1962


420,438.33


420,438.33


Amount uncollected January 1, 1963 Amount of interest collected


31,820.04


2,806.50


- City of Quincy


8.4


Abatements


452,258.37


Cash Received


1,651.91


11,202.90


2,248.14


Amount of interest collected


MOTOR VEHICLE EXCISE TAX OF 1960


Cash Received


Amount uncollected January 1, 1962 Abatements


S 27,672.29 1,055.48


Refunds


26,616.81 197.29


Amount collected during year 1962


8,884.02


8,884.02


Amount uncollected January 1, 1963.


17,930.08


Amount of interest collected


326.63


MOTOR VEHICLE EXCISE TAX OF 1959


Amount uncollected January 1, 1962 Abatements


S 15,359.52 959.72


Refunds


6.02


14,405.82


Amount collected during year 1962


1,538.60


1,538.60


Amount uncollected January 1, 1963 .


12,867.22


43.25


MOTOR VEHICLE EXCISE TAX OF 1958


Amount uncollected January 1, 1962 Abatements


$ 11,274.56 540.73


10,733.83


Amount collected during year 1962


672.28


672.28


Amount uncollected January 1, 1963


10,061.55


20.02


MOTOR VEHICLE EXCISE TAX OF 1957


Amount uncollected January 1, 1962


S 5,524.09


Amount collected during year 1962


128.32


128.32


Amount uncollected January 1, 1963


5.395.77


Amount of interest collected


3.94


MOTOR VEHICLE EXCISE TAX OF 1956


Amount uncollected January 1, 1962


S 7,718.41


Amount collected during year 1962


213.73


213.73


Amount uncollected January 1, 1963


7,504.68


Amount of interest collected


7.57


MOTOR VEHICLE EXCISE TAX OF 1955


Amount uncollected January 1, 1962 Abatements


274.65


Amount collected during year 1962


120.97


120.97


Amount uncollected January 1, 1963


79.28


Amount of interest collected


7.02


MOTOR VEHICLE EXCISE TAX OF 1954


Amount uncollected January 1, 1962


S


64.75


Amount uncollected January 1, 1963


64.75


Annual Report


85


26,814.10


14,399.80


Amount of interest collected


Amount of interest collected


S 174.90


200.25


DEALER PLATES


Amount uncollected January 1, 1962 Warrant


S 14.375.00 18,625.00


Abatements


6,860.00


Amount collected during year 1962


4,570.00


4,570.00


Amount uncollected January 1, 1963 Amount of interest collected


21,570.00


25.68


POLL TAX OF 1962


Total amount committed by Assessors Abatements


5 52.150.00


7,706.00


Refunds


24.00


Amount collected during year 1962


35,718.00


35,718.00


Amount uncollected January 1, 1963


8,750.00


POLL TAX OF 1961


Amount uncollected January 1, 1962 Abatements


1,242.00


Refunds


58.00


Amount collected during year 1962


1,904.00


4,904.00


Amount uncollected January 1, 1963


1,950.00


179.90


POLL TAX OF 1960


Amount uncollected January 1, 1962 Abatements


382.00


Amount collected during year 1962


168.00


168.00


Amount uncollected January 1, 1963


742.00


Amount of interest collected


4.10


POLL TAX OF 1959


Amount uncollected January 1, 1962 Abatements


S 1,260.00


368.00


Amount collected during year 1962


158.00


158.00


Amount uncollected January 1, 1963


734.00


3.95


POLL TAX OF 1958


Amount uncollected January 1, 1962 Abatements


264.00


Charges


2.00


Amount collected during year 1962


46.00


46.00


Amount uncollected January 1, 1963 Amount of interest collected


348.00


1.10


City of Quincy


86 .-


Cash Received


33,000.00


26,140.00


14,444.00


44,468.00


$ 8,038.00


6,796.00


6,854.00


Amount of interest collected


S 1,292.00


910.00


892.00


Amount of interest collected


S 656.00


392.00


394.00


POLL TAX OF 1957


Amount uncollected January 1, 1962 Abatements


S 244.00


210.00


Amount collected during year 1962


2.00


2.00


Amount uncollected January 1, 1963


32.00


Amount of interest collected


.05


STREET BETTERMENTS


Amount collected during vear 1962 Amount of interest collected


22.778.80 77.92


MAIN SEWERS


Amount collected during year 1962


7,249.17


Amount of interest collected


29.59


Amount of costs collected during year 1962


13,788.65


Total amount of cash collected during year 1962


$15,530,901.82


Treasurer and Collector


THE TREASURER'S REPORT


Honorable AMELIO DELLA CHIESA, Mayor,


City of Quincy,


Massachusetts.


Dear Sir:


We respectfully submit the following report from the Treasurer's Depart- ment for the Year 1962.


RECEIPTS FOR 1962 TREASURER'S STATEMENT


RECEIPTS


YEAR TO DATE


Cash on Hand - January 1, 1962


$ 2,602,869.45


GENERAL REVENUE:


Taxes 1962


13.406,531.68


Taxes, Previous Years


351,508.22


Taxes - Motor Excise


1,614,307.31


T'ax Titles Held by City Redeemed


31,449.89


Licenses


93,873.50


Permits


3,381.50


Court Fines


4,538.92


Grants and Gifts (Dog Licenses)


3,326.91


State of Massachusetts .


2,145,072.15


SPECIAL ASSESSMENTS:


Sewer Assessments


17,253.25


Street Betterments


45,600.85


GENERAL GOVERNMENT:


Tax Collector and Treasurer - cost


13,929.65


City Clerk


13,314.60


Police Department


1,080.58


Fire Department


309.91


Sealer Weights and Measures


2.221.65


Building Inspector


13,267.53


Engineering


261.29


Wire Inspector


7,235.00


34.00


Annual Report


87


Board of Health - Cont. Diseases Plumbing Inspector Mitk Licenses Scavenger Highways - Trimming Trees - Quincy El. Lt.


5,392.14


2,992.00


176.50


513.00


Welfare Department


26,932.60


Welfare - A.D.C.


122.150.13


Disability Assistance


89,300.10


Welfare - Old Age Assistance


252,662.04


() .. A.A. Federal Grant


169,582.01


Dependent Children - Federal Grant


208,807.52


Disability Ass't - Federal Grant


69,888.12


Medical Aid for Aged


209,448.60


Medical Aid for Aged - Federal Grant


303.19.1.51


Veterans Benefits


176,098.10


Hospital Department


3,912,973.81


Hospital - Living Out - Other Deductions


29,127.22


School Department


15.572.85


Trade School Receipts


3,9-16.10


School Account Receivable


30,480.15


Smith Hughes and George Barden


3,520.00


Library Fines, etc.


15,521.30


Particular Sewer Receipts (Treasurer)


18,876.73


Miscellaneous City


171,069.45


Departmental Refund


85,826.57


Sale of Tax Possessions


19.368.89


PUBLIC SERVICES:


Water Rates 1962


653,646.47


Water Rates Prior


85,020.39


Water Connections


31,824.06


Water Tax Collector - Liens


55.015.35


Cemetery


55,987.57


INTEREST:


l'ax Collector - Taxes and Assessments


26,896.51


City Treasurer on Tax Titles


2,623.12


Perpetual Care Funds


22,901.95


Other Trust Accounts


2.717.25


Accrued Interest on Bonds


1,639.59


Premium on Bond Sale


5,910.78


MUNICIPAL INDEBTEDNESS:


Temporary Loans


5,250,000.00


General Loans


1,525.000.00


Temporary Loan on Bond Sale


AGENCY TRUST AND DEPOSITS:


City Clerk - Dog Licenses (County)


4,319.25


City Clerk - Hunters' Licenses (State)


8,573.00


Perpetual Care Funds


34,875.00


Other Trust Funds


25,821.70


Deposits - Scavenger


646.00


Particular Sewer


20,970.00


Water


9,200.00


Tax Possessed Property


725.00


Federal Withholding


1,996,210.80


State Witholding


172,510.75


Parking Meters


110,082.36


Westacres Surplus


11,424.46


1


Quincy Housing Authority - In Lieu of Taxes


24,157.47


Quincy City Hospital Addition


Quincy School Athletic


23.254.09


Quincy School Lunch Account


242,540.56


Alcoholic Clinic


8,510.75


Construction School Projects - State Chapter No. 645


96,057.52


National Defense Education Act P. L. No. 864


6,707.50


U. S. School - Public Law No. 874


250,190.00


Squantum Gardens


16,632.00


Chapter No. 90 - Quarry Street


227,800.58


$37.625.476.47


City of Quincy


88


PAYMENTS:


Paid Out on Mayor's Warrants - 1962 Cash on Hand - December 31, 1962 Cash on Hand - December 1, 1962 Cash Receipts - December Cash Payments - December


$34,033,106.09 3,592,370.38 4,730,857.09


1,689,178.58 2,827,665.29


Very truly yours, THOMAS J. SHEENIN Treasurer and Collector


PERPETUAL CARE FUND


Cash on hand January 1, 1962


$16.399.12


RECEIPTS


Perpetual Care of Lots


$34,875.00


Interest Receipts


28,664.85


Sale of Securities


9,000.00


$88,938.97


EXPENSES


Accrued Interest


S 112.35


Income credited to Burial Dept. .


28,562.28


Purchase of securities


45.241.05


Cash on hand December 31, 1962


15,023.29


ANALYSIS OF FUND


Fund January 1, 1962


$733.132.65


Perpetual Care Lots 1962


34,875.00


$768,007.65


Cash on hand December 31, 1962


$ 15,023.29


Investments


752,984.36


$768,007.65


WOODWARD FUND AND PROPERTY


Cash on hand January 1, 1962


$ 8,460.92


RECEIPTS


Payments on Mortgages


$ 2,984.56


Sales of Securities


10.000.00


Income on Mortgages


1,816.48


Income on Securities


9,453.00


Income from Institute


23,914.48


Income from Adams Funds


7,092.75


$63,722.19


EXPENDITURES


Gilson Road Property


S 7.50


Administration Expense


22.00


Accrued Interest


76.88


Purchase of Securities


12,037.50


By Board of Managers


599.40


By Institute


41,181.36


Social Security


940.09


Cash on hand December 30, 1962


8,857.46


BALANCE SHEET


General Fund


$348,734.08


Unexpended Income


2,362.08


Profit Bond Sales


24,151.77


Cash on hand


$ 8,857.46


Investments


$248.250.03


Mortages


38,140.44


Institute


80,000.00


366,390.47


$366,390.47


$375,247.93


$63,722.19


$375,247.93


Annual Report


89


$88,938.97


ADAMS TEMPLE AND SCHOOL FUND


Cash on haud January 1, 1961


$ 8,961.48


RECEIPTS


Mortgage payment


S 75.00


Sale of Securities


5,000.00


Income on Mortgage


57.03


Income securities


9,411.76


Rents


5.321.00


Withholding Tax - Federal


35.1.96


Withokdling Lax - State


45.94


Social Security


146.44


Sale of Land


2,000.00


$31,379.61


EXPENSES


Purchase of Securities


Expense - Supervisors


S 194.72


Expense - Administration


1,111.65


Expense of property


6,242.64


Accrued Interest .


354.96


Withholding tax - State


45.94


Social Security


292.97


Transferred to Woodward Fund


7.092.75


Gilson Road Property - Water


7.50


Cash on hand Dec. 30, 1961


16,036.48


$31,379.61


BALANCE SHEET


Mortgage


1,425.00


Fund


$260,929.58


Investments


$246,672.11


Profit on


Cash


16,036.48


Bond Sales


3,204.01


$264,133.59


$264,133.59


CHARLES FRANCIS ADAMS FUND


Cash on hand January 1, 1962


S 354.97


Receipts - Income on Securities


960.25


S 1,315.22


Transferred to Woodward Fund


S 951.25


Expense


9.00


Cash on hand December 31, 1962


354.97


$1,315.22


STATEMENT OF FUND


Fund


$11,614.99


Investments


$23,968.43


l'nexpended


12,708.41


Cash on hand


354.97


$24,323.40


$24,323.40


INVESTMENTS


83 Shares Second Bank-State Trust, Boston


S 3,530.93


5,000 Arkansas Power & Light Co. 31/8% 1974


5,210.00


5,000 Consolidated Edison Co. N.Y. 2340% Ist ref. 1982


5,142.50


3,000 Narragansett Elec. D 31/2% 1983


3,037.50


2,000 New Jersey Bell Tel. 31/80% 1986


2.047.50


5,000 South. Railway Ist Cons. 596 1994


5,000.00


$23,968.43


LOUISA C. SMITH FUND


Cash on hand January 1, 1962 Income receipts


265.35


Cash on hand December 31, 1962


S 1.14-1.71


FUND


50 Shares Boston Personal Property Trust


S 750.00


Deposit Quincy Savings Bank


250.00


S 1,000.00


- City of Quincy


90


S 879.36


Withholding tax - Federal


ROBERT G. BILLINGS FUND


Cash on hand January 1. 1962 Income Stocks and Bonds


$ 9,420.55 1,683.65


$ 11,104.20


$ 1.200.00


9,904.00


$ 11,104.20


STATEMENT OF FUND


Investments


$30,409.48


Fund


$36,500.00


Savings Bank


1,500.00 Unexpended Income


4.577.17


Cash on hand


9.904.20


Profit Bond Sales


736.51


$41,813.68


$41,813.68


ELLA E. BADGER FUND


FUND - Quincy Savings Bank


S 700.00


Unexpended Income January 1, 1962 Income


28.00


Income 1962


S 121.62


Expended 1962


6.00


Balance December 30, 1962


S


115.62


MABEL S. BAXTER FUND


FUND - Quincy Savings Bank


S 500.00


Unexpended Income January 1, 1962


S 66.01


Income 1962 .


20.00


Unexpended Balance December 30, 1962


S


86.01


MINNIE B. BENT FUND


FUND - Quincy Savings Bank


S 250.00


Unexpended Income January 1, 1962


13.40


Income 1962


10.00


Unexpended Balance December 30, 1962


S 23.40


LIZZIE J. BURGESS FUND


FUND - Quincy Savings Bank


S 2,000.00


Unexpended Income January 1, 1962 Income 1962


S 80.00


Unexpended Balance December 30, 1962


S 627.06


ESTATE EMILY J. CLINE FUND


FUND - Quincy Savings Bank


S 500.00


Unexpended Income January 1, 1962


S 15.21


Income 1962


20.00


S


35.21


EDWARD A. COLE FUND


FUND - Quincy Savings Bank


Income 1962 S 1.33


ALFRED A. DELL FUND


FUND - Quincy Savings Bank


$ 200.00


Unexpended Income January 1, 1962 Income 1962


8.00


Unexpended Balance December 31, 1962


S 14.84


FANNIE G. DUGGAN FUND


FUND - Quincy Savings Bank


5 100.00


Unexpended Income January 1, 1962 Income 1962


16.00


Unexpended Balance December 31, 1962 Expended 1962


S 44.00


5.00


Unexpended Balance December 31, 1962


S 39.00


Annual Report


- 91


S 547.06


S 200.00


S 6.84


S 28.00


Scholarship Cash on hand December 31, 1962


S 93.62


WILLIAM FIELD AND CHARLES FRENCH FUND


FUND - Quincy Savings Bank U'nexpended Income January 1. 1962 Income 1962


S 53.76


20.00


S 73.76


O. FOSSATI FUND


5 Shares - First National Bank Stock U'nexpended Income 1962 Income 1962


S 71.95


13.95


Balance December 31, 1962


S 85.90


CHARLES E. FRENCH FUND


FUND - Quincy Savings Bank


S 3,000.00


U'nexpended Income January 1, 1962 Income 1962


120.00


Unexpended Balance December 31, 1962


S


877.74


C. C. JOHNSON FUND


FUND - Quincy Savings Bank


5 150.00


Unexpended Income January 1. 1962


S 12.53


Income 1962


6.00


Unexpended Balance December 31, 1962


S


18.53


DELCEVARE KING FUND


FUND - I share of American Tel. & Tel. Capital Stock U'nexpended Income January 1, 1962 S 44.19


Income 1962


11.85


Unexpended Income December 31. 1962


S 56.04


ALEXANDER NUGENT FUND


FUND - Quincy Savings Bank


S 125.00


Interest Receipts 1962 Paid Trustees St. Mary's Cemetery


S 5.00


2.50


Unexpended Income December 31, 1962


S


2.50


GEORGE PIERCE FUND


FUND - Quincy Savings Bank


200.00


Unexpended Income January 1, 1962 Income 1962


S 9.46


8.00


Unexpended Income December 31, 1962


$ 17.46


J. WESTON PRATT


FUND - Quincy Savings Bank Income 1962


S 30.28


ABRAHAM RICH FUND


FUND - Quincy Savings Bank


S 176.00


Unexpended Income January 1, 1962 Income 1962


7.04


Unexpended Balance December 31. 1962


S


24.10


WILLIAM HENRY SAMPSON


FUND - Quincy Savings Bank


S 200.00


Unexpended Income January I, 1962 Income 1962


8.00


Expended 1962


3.00


Unexpended Balance December 31, 1962


S 16.73


City of Quincy


92


500.00


S 750.00


S 17.06


S 11.73


$ 19.73


S 757.74


MARY WILSON TUCKER FUND


FUND - Quincy Savings Bank U'nexpended Income January 1, 1962 Income 1962


S 100.00


S 94.92


16.00


S U'nexpended Balance December 31, 1962 110.92


WILLIAM S. WILLIAMS FUND


FUND - Quincy Savings Bank Unexpended Income January 1, 1962 Income 1962


S 149.61


16.00


U'nexpended Balance December 31, 1962 S 165.61


LOUIS ATHANASION FUND


U'nexpended Balance January 1, 1962 S 105.60 105.60


Unexpended Balance December 31, 1962


HATTIE BURRELL FUND


FUND - Quincy Savings Bank


$ 4,000.00


U'nexpended Income January 1, 1962 Income 1962


80.00


L'nexpended Balance December 31, 1962 S 883.08


KATE A. ELLSWORTH FUND


FUND - Quincy Savings Bank


$ 5,000.00


Unexpended Income January 1, 1962 Income 1962


S 587.50


200.00


U'nexpended Balance December 31, 1962 S 787.50


ESTHER LOITMAN GROSSMAN NURSES TRAINING SCHOLARSHIP, QUINCY CITY HOSPITAL, FUND


FUND - State of Israel Bond U'nexpended Income January I, 1962


$ 116.70


$ 116.70


Expended 1962


100.00


U'nexpended Balance December 31, 1962 S 16.70


ROSE GROSSMAN FUND


FUND - Quincy Savings Bank


S 1,000.00 Income 1962 $ 40.00


U'nexpended Balance December 31, 1962 S 40.00


DAVID L. JEWELL FUND


FUND - Quincy Savings Bank


$ 4.699.67


U'nexpended Income January 1, 1962 Income 1962


200.00


Unexpended Balance December 31, 1962


$ 4,899.67


FRANK J. KENNA AND WIFE EMMA M. KENNA


FUND


S 395.00


Unexpended Balance December 31, 1962 $ 395.00


HARRY LARK FUND


FUND - Quincy Savings Bank


S 200.00


U'nexpended Income January 1, 1962 Income 1962


S 175.66


4.00


Unexpended Balance December 31, 1962 S 179.66


MARY PARKER FUND


FUND - Quincy Savings Bank


S


5,000.00


l'nexpended Income January 1, 1962 Income 1962


$ 2.849.62


200.00


Unexpended Balance December 31, 1962


$ 3,049.62


Annual Report


- 93


S 400.00


S 803.08


$ 5,000.00


S 5.000.00


MADELINE POOLE


FUND - Quincy Savings Bank U'nexpended Income January 1. 1962 Income 1962


$ 3.366.41 100.00


U'nexpended Balance December 31. 1962


3,466.41


RAYCROFT FUND


Unexpended Income January 1. 1962 Income 1962


S 51.01


184.00


U'nexpended Balance December 31, 1962


S 235.04


JAMES STETSON FUND


FUND - 24 shares common stock Walker-Stetson Co. Unexpended Income January 1. 1962 Income 1962


S 450.01


72.00


Unexpended Balance December 31. 1962 S 522.01


CHILDREN'S WARD


Unexpended Income January 1, 1962


S 1.78


U'nexpended Balance December 31, 1962


1.78


QUINCY CITY HOSPITAL ENDOWMENT INCOME FUND


I'mexpended January 1, 1962 Income 1962


4.075.00


$ 8,210.00


Appropriated by Council Order 1962


4,000.00


U'nexpended Balance December 31. 1962


$ 4,210.00


MISCELLANEOUS HOSPITAL GIFTS


U'nexpended January 1, 1962


S 145.58


Expended 1962


25.00


U'nexpended Balance December 31, 1962


S 120.58


HOSPITAL MEDICAL LIBRARY FUND


FUND


$ 10.200.00


QUINCY CITY HOSPITAL SCHOOL FOR NURSING SCHOLARSHIP FUND


U'nexpended Balance January 1. 1962 Deposits 1962


5.261.00


S 5,561.00


Expended 1962


5,061.00


U'nexpended Balance December 31, 1962 S 500.00


STUDENT NURSE ANESTHETISTS SCHOLARSHIP FUND S 150.00


Receipts 1962


HOSPITAL - NEW BUILDING EQUIPMENT FUND


Unexpended Balance January 1. 1962 S 2.124.92 Deposits 1962 3,155.00


$ 5.279.92


Expended 1962


3,432.16


Unexpended Balance December 31, 1962


$ 1,847.76


94 - City of Quincy


5.000.00


S 300.00


4,135.00


STUDENT NURSES TRUST FUND


Balance January 1, 1962 Receipts 1962


S 4.142.77 2,460.18


Expended 1962


$ 6,602.95 2.355.35


$ 4,247.60


SCHOOL GUIDANCE FUND


Unexpended Balance January 1, 1962 Receipts 1962


S 762.50


225.00


$ 987.50


Expended 1962


300.00


S 687.50


NATIONAL DEFENSE STUDENT LOAN FUND OF THE JUNIOR COLLEGE


Unexpended Balance January 1, 1962 Receipts 1962


S 1,094.33 1,289.57


$ 2,383.90


Expended 1962


S 2,383.90


Unexpended Balance December 31, 1962


1,890.00


S 493.90


POLIO FUND


Unexpended Balance January 1, 1962 Deposit 1962


S 328.48


Receipts 1962


3,000.00


Unexpended Balance December 31, 1962


S 3,328.48


Expended 1962


3,325.57


U'nexpended Balance December 31, 1962


S 2.91


PAYROLL TAILINGS


Balance January 1, 1962


6.762.02


Deposits 1962


6,030.95


Expended 1962


376.01


Balance December 31, 1962


$ 12.416.96


QUINCY SCHOOL ATHLETIC


Cash on hand January 1, 1962


$ 7.438.75


Receipts 1962


23,254.09


$ 30,692.84


Expenses 1962


19,083.13


U'nexpended Balance December 31, 1962


S 11.609.71


NORFOLK COUNTY HEART ASSOCIATION


U'nexpended January 1, 1962


S 503.30


Unexpended December 31, 1962


503.30


COTTON CENTER JOHNSON FUND


Cash on hand January 1, 1962 Receipts 1962


$ 2.272.44


1,021.80


Expended 1962


605.03


U'nexpended Balance December 31, 1962 $ 2,689.21


$ 3,294.24


Annual Report


95


$ 12,792.97


C. C. JOHNSON TURKEY FUND


FUND - Quing Savings Bank U'nexpended Balance January 1, 1962 Receipts


S 370.95 80.00


U'nexpended Balance December 31, 1962


S 150.95


ROCK ISLAND FUND


FUND - Quincy Savings Bank


S 1,000.00


Unexpended Balance January 1. 1962 Receipts 1962


40.00


S 138.56


Expenses 1962


10.00


Unexpended Balance December 31, 1962


S 128.56


MERRYMOUNT PARK RENTALS


Balance January 1, 1962


S 34,948.71


Expended by Council Order 1962


19,900.00


$ 15,048.71


QUINCY SCHOOLS LUNCH ACCOUNT


Cash on hand January 1, 1962


$ 19.259.74


Receipts 1962


242.540.56


$261,800.30


Expenses 1962


242,441.37


Cash on hand December 31, 1962


$ 19,358.93


ERVANT SERPOSS FUND


Cash on hand January 1, 1962


$ 41,440.32


Receipts 1962


7,415.79


Expenses 1962


1,693.92


Cash on hand December 31. 1962


$ 47,162.19


QUINCY CANCER CLINIC


Cash on hand January 1, 1962


$ 13,723.61


Receipts 1962


5,510.00


$ 19,233.61


Expenses 1962


2,774.61


Cash on hand December 31. 1962


$ 16,459.00


DAWES MEMORIAL


Deposited 1962


S 409.00


Expended 1962


396.90


Balance on hand December 31, 1962


S 12.10


96 - - - City of Quincy


$ 48,856.1]


S 2.000.00


98.56


BOARD OF ASSESSORS


January 1, 1963


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 1962:


VALUATION


Valuation of Buildings


$127,140.125.00


Valuation of Land


12,834,150.00


Total Value of Land and Buildings


$169,974.275.00


Value of Tangible Personal Property


11,331,850.00


Total Valuation of the City as determined January 1, 1962


$181,306,125.00


School Rate


General Rate


$31.72 45.58


$77.30


Net Valuation of Motor Vehicles December 31, 1962 was


$23,011,256.00


Total Valuation of the City including Motor Vehicles for 1962


$204,317,381.00


Amount to be Raised by Taxation


14.014,988.08


Amount to be Raised on Poll Taxes


51,696.00


RECAPITULATION FOR 1962


CITY APPROPRIATIONS:


Total Appropriations to be Raised by Taxation


$ 19,946,989.87


Total Appropriations to be Taken from Available Funds


1,585,073.11


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


2,500.00


Debt and Interest Charges


1,429,241.25


Amount Necessary to Satisfy Final Court Judgments


10,000.00


Deficit Overlay


37,408.98


Current Overlay


345,371.99


STATE ASSESSMENTS:


State Audit


3,657.34


State Examination of Retirement


1,535.38


Air Pollution


2,482.61


Shellfish Purification


1,498.10


Metropolitan Parks


232,948.72


Metropolitan Sewer


433,400.60


Metropolitan Water


270,504.32


COUNTY ASSESSMENTS:


County Tax


552,500.85


County Hospital


239,461.36


Total Appropriations


$ 25,094,574.48


Annual Report


97


ESTIMATED RECEIPTS AND AVAILABLE FUNDS FOR 1962


Income lay


S 414,961.03 790,786.71


Corporation Taxes Old Age Fax (Mcals) Motor Vehicle and Trailer Excise Licenses


1,225,000.00 97.663.80


Fines


2.839.88


Special Assessments


75,000.00


General Government


28.224.24


Protection of Persons and Property


30,087.50


Health and Sanitation


32,937.23 3.724.52


Welfare


133.918.58


Old Age Assistance


309,603.42


Veterans' Services


180.000.00


School .


106,423.57


Libraries


15,191.77


Recreation


4,848.68


Water Department


754,289.30


Cemeteries


45,591.33


Interest on Taxes and Assessments


32,658.26


State Assistance for School Construction - Chapter 645, Acts of 1948


96,057.00


Library Aid - Cherry Sheet


21.852.25


School Aid - General Laws, Chapter 70


417.696.50


School Aid - General Laws. Chapters 69 and 71


63,051.92


Medical Aid for the Aged


185,571.86


Disability Assistance


65,029.89


State Education - Vocational


94.471.29


Hospital


3,650.000.00


Squantum Gardens


24,948.00


Quincy Housing Authority and Westacres


34,743.28


Sale of Land


450.00


Miscellaneous


14,692.13


$ 8,997,170.96


Respectfully submitted,


BOARD OF ASSESSORS WILLIAM J. CALLAHAN, Chairman ARNOLD O. EASTMAN JOHN J. HANNON


City of Quincy


98


44.854.02


Highways


١٠


THOMAS CRANE PUBLIC LIBRARY 3 1641 0095 8021 2


CALL THESE NUMBERS FOR SERVICE:


Call


Phone No.


IN AN EMERGENCY


FIRE


PResident 3-6400


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


GRanite


9-3221


Schools


School Department


GRanite


1-0100


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


PResident


3-1380


If you have a Complaint


Executive Secretary


PResident 3-1380


Civil Defense


Civil Defense Director


GRanite


2-6118


........


CẦN = FRANKLIN PRINTING SERVICE . QUINCY




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