Norwood annual report 1904-1907, Part 56

Author: Norwood (Mass.)
Publication date: 1904
Publisher: The Town
Number of Pages: 1374


USA > Massachusetts > Norfolk County > Norwood > Norwood annual report 1904-1907 > Part 56


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).


Part 1 | Part 2 | Part 3 | Part 4 | Part 5 | Part 6 | Part 7 | Part 8 | Part 9 | Part 10 | Part 11 | Part 12 | Part 13 | Part 14 | Part 15 | Part 16 | Part 17 | Part 18 | Part 19 | Part 20 | Part 21 | Part 22 | Part 23 | Part 24 | Part 25 | Part 26 | Part 27 | Part 28 | Part 29 | Part 30 | Part 31 | Part 32 | Part 33 | Part 34 | Part 35 | Part 36 | Part 37 | Part 38 | Part 39 | Part 40 | Part 41 | Part 42 | Part 43 | Part 44 | Part 45 | Part 46 | Part 47 | Part 48 | Part 49 | Part 50 | Part 51 | Part 52 | Part 53 | Part 54 | Part 55 | Part 56 | Part 57 | Part 58 | Part 59 | Part 60


6


The territory covered by the present gas and oil lighting system is much more than this and extensions should be made in localities which are badly in need of street lighting service. They are not able to determine which portions of the town can be omitted at the present time to bring their proposed plans within the recommendations of the com- mittee.


Another feature which the Committee on Electric Light- ing neglected in their report was that of the cost of an ade- quate distributing station, believing that the present lock-up could be adapted for that purpose, and consequently made no allowances for such a building in their costs.


At the time of the investigations of the Committee on Electric Lighting the prices of copper wire were very much lower than today, and during the past year the price of poles and the cost of labor 'have risen to some degree. These conditions would place the figures presented by the Com- mittee on Electric Lighting at a much higher total today if based on the same amounts of material and labor as then.


· PROPOSED SYSTEM.


The Board had prepared for it by the engineer a plan of the town showing the location of all the gas and oil lamps in present use, and by this means they were able to deter- mine the amount of territory now lighted. After an exam- · ination of this plan the engineer prepared a study of electric lighting for the town showing the approximate location of the proposed arc and incandescent lamps, a copy of which map is printed with this report. By it the citizens can see the territory proposed to be covered under the new system with the proposed location of the lamps. These lamps are to be connected to the switch-boards at the distributing station so that trouble in one section of the town will not affect the light- ing service in other sections.


7


Within the territory covered by the street lighting system will be run the wires to serve the houses with electric current, it being the intention of the Board to extend such service to those portions of the town where as a business proposition the same can be done.


DISTRIBUTING STATION.


As stated before in this report, the question of the dis- tributing station had been ignored by the Committee on Electric Lighting, believing that the present lock-up would be available for such use. The Board, with their engineer, examined the building in question, and also considered its adaptability. Plans were drawn showing the probable use- fulness of the same, and after some consideration the engin- eer was requested to draw sketches for a new building to be erected at a central location and adapted to the use of the department. A copy of these sketches is published with this report and as will be seen, show a building of one story in height with a basement. On the street floor would be located the apparatus room to be occupied by the instruments for the controlling of the service for distribution in the town. There would also be an office for the manager at which place all business of the department would be transacted and also offices for the Municipal Light Board. There is also a room for use by the attendant on duty at night. The base- ment would contain besides the heater, space for stock stor- age and a room for the repair and testing of defective elec- trical apparatus. It is the opinion of the Board that a build- ing similar to the one herewith outlined would be for the town's best interests, and that by constructing it at the pres- ent time the department can be started in a permanent home which is adapted to its needs.


The apparatus to be placed in the sub-station is being de-


S


signed so that it will care for all the reasonable increases in connection with the street lighting and commercial ser- vice for years to come. The larger capacity of this appara- tus will increase the initial cost somewhat, which increase will be saved many times by obviating the necessity of frequent changes due to the growth of the town.


CONSTRUCTION COSTS.


It will be noticed from the foregoing statements that the cost of construction will be materially increased from the estimate made by the Committee on Electric Lighting due to the various features which have been outlined. The en- gineer has given the Board a report as to what the needs should be in his opinion, and together with an estimate of the cost to carry out the plan determined upon. This report is appended.


The engineer estimates that it will cost at least $50,000 to complete the plant in a suitable manner, and consistent with the needs of the town of Norwood. The town has · already appropriated the sum of $25,000 for this purpose, and it is the opinion of your Board that a further appropriation of $25,000 be made at this time.


OPERATION.


It is the plan of your Board to give service from the arc street lights all night on every night in the month when the moon is not shining; planning to give service from the incandescent street lights until one o'clock A. M. each night under the same conditions. The commercial service will be in operation at all times for house lighting as well as power for manufacturing purposes.


OPERATING EXPENSES.


,It will be necessary to make payment for the power for


1


9


the operation of the plant, purchased from the Edison Com- pany each month, also to pay for all wages and any sup- plies for the department at monthly periods. Such demands for payment will require a system of financial receipts on the part of the department. With the growth of the commercial service, some income will be derived from that source, but unless specially provided for, there will be no income from the town for the street lighting service, which for some time to come will be the major portion of the business of the department. The board have considered this matter and think that the town should treat the department in the nature of a corporation in the matter of its street lighting service, that is, to appropriate at each annual Town Meeting a sum of money for the street lighting service for the ensuing year, as 'has been regularly done in connection with the gas light- ing and have the Selectmen pay to the electric light depart- ment each month for the street lighting service of that month. At the end of the year the net profits of the department would be returned to the the Treasurer of the Town and such profits could be applied on the succeeding years toward the amount to be raised and appropriated for street lighting service in that year. The Municipal Light Board under this system would make a proposition to the Selectmen each spring to supply the street lights for the ensuing year at a price per lamp based on the cost of operation of its department for the year then closing. Under this system the town would be relieved of the neces- sity of raising money each year to make up the deficit on account of the operation of the electric light department for the previous year. Acting on this scheme the Municipal Light Board recommend that the town appropriate for street lighting service by electricity for next year from August I, 1907, until March 1, 1908, a sum of money based on the


IO


service of fourteen arc lamps at the rate of $95 per year and of 325 incandescent lamps at the rate of $15 per year for seven months or a total amount of $3625.00.


CONCLUSION.


The Board have made arrangements for construction of the plant to the extent of $25,000 as soon as the spring opens and upon the receipt of a further appropriation will extend their plans to the entire plant. Under the present layout only the vital features can be built and the service given to the most central points, with the appropriation now available.


Respectfully submitted, WALTER F. TILTON. JOHN GILLOOLY, JAMES BERWICK,


MUNICIPAL LIGHT BOARD.


II


REPORT OF THE ENGINEER.


Boston, Mass., Jan. 21,1907.


To the Municipal Light Board,


Norwood, Mass.


Gentlemen :- I submit herewith my report in the matter of the construction of the proposed electric light system for the town of Norwood, together with an estimate of cost and recommendations.


PRESENT LIGHTING SYSTEM.


The streets now lighted by the gas and oil lamps, together with several others on which no lights are now placed, would seem to be sufficient territory to be covered at this time.


PROPOSED LIGHTING SYSTEM.


To properly light the territory above referred to with electric lights will require approximately 300 incandescent and 14 arc lamps, the location of which is shown on plans submitted herewith.


The electric lighting system should be divided into differ- ent circuits and each controlled independent of the other at the distributing station in order that trouble on one circuit, will not interrupt the service on the others.


DISTRIBUTING STATION.


It will be necessary to have an adequate distributing sta- tion in which to install switchboards, transformers and neces- sary instruments for controlling the street and commercial circuits and which will serve also as headquarters for the


I2


electric department, offices of the electric light board and manager, together with sleeping room for night attendant and for storage of supplies. Such building should be fire- proof.


The present lock-up building could be used, but will re- quire many changes. I am of the opinion that a new fire- proof building centrally located and designed with special reference to its usages, will be much more satisfactory, and that the added cost, which I estimated to be $5,000, including land, will be more than offset by its convenience and advan- tages.


The instruments to be installed in the distributing station should be of such capacity as will allow future growth. Such instruments will cost slightly more than those of immediate requirements, but will be a saving in cost and much annoy- ance within five years.


THE STREET LINES.


The street lines should be built of the best stock and so constructed as to allow for the additional growth of the future without requiring much change in the then existing construction.


It is my belief that all the poles should be owned by the town and in cases where telephones or electric railway lines are to be cared for, the corporations should be given the right, under a contract, to make use of the town poles. In this way, the Board wil be in control of all the poles on which it has wires.


THE COMMERCIAL SYSTEM.


This should be designed and constructed so as to be pre- pared to care for the business now in sight and sufficient to serve that which will grow with time.


13


THE COST.


I have noted the estimate of cost of the entire system as given in the report of the committee on electric lighting. I have also examined the territory to be covered and am of the opinion that the estimate of cost given in the report will be exceeded, such excess being due to the many trees, the rocky character of the soil necessitating added costs of set- ting poles and stringing the wires, the advance in the price of copper wire, the present labor conditions, together with the cost of feeder lines from distributing station to the source of electric supply which are omitted in said report.


After making allowances for these increases, I am of the opinion that the following sums will construct the proposed plan in a hrst class manner.


Poles, cross arms, etc., erected.


$11,500


Wire erected 15,500


Street lamps erected


2,000


Meters, transformers, etc.


4,000


Sub-station and equipment 10,000


Miscellaneous expenses 2,500


Engineering services and contractor's profits 4,500


Total, $50,000


RECOMMENDATIONS.


First, I would recommend that your Board obtain from the town an additional appropriation sufficient to make the amount at the disposal of your Board for the purposes of construction $50,000.


Second, that your Board obtain permission to purchase land on which to erect distributing station, or if your Board decides to use the present lock-up, to obtain the necessary permit therefor.


-


14


Third, that you obtain from the town an appropriation sufficient to pay for the street lighting service by electricity from August 1, 1907, until the next annual meeting at a fixed rate per incandescent and arc lamp per year.


I believe that in dealing with your Board the town should treat it as a corporation and pay to it such sums for street lighting as may be voted for the same, and your Board pay over to the town treasurer at the end of each year any sur- plus resulting from the operating of the electric light depart- ment.


Respectfully submitted, T. RUSSELL ROBINSON, Engineer.


TWENTY-SECOND ANNUAL REPORT OF THE


Board of Water Commissioners


WATER BOARD. 1906.


JOHN F. CALLAHAN, CHAIRMAN. WILLIAM F. BAKER, CLERK. JAMES H. BUTLER. G. A. P. BUCKNAM, SUPERINTENDENT AND ENGINEER.


-


1


REPORT OF THE BOARD OF WATER COMMISSIONERS.


The Board of Water Commissioners herewith present their annual report for the year ending December 31, 1906, with a detailed statement of receipts and expenditures ; and as Trustees of the Sinking Fund, a statement of its investments.


At the annual town meeting William F. Baker was elected a . Water Commissioner for the term of three years. The Board organized by the choice of John F. Callahan, chairman, and William F. Baker, clerk.


FINANCIAL STATEMENT IN BRIEF.


Cost of works to December 31, 1906, $207,SSO 72


DEBT STATEMENT.


Bonds and notes issued, $143,011 41 67,486 41


Bonds and notes paid,


Bonds and notes outstanding (not due), $75,525 00


Value of Sinking Fund, Dec. 31, 1906, 27,158 28


Net debt, Dec. 31, 1906, $18,366 72


Water rates collected in 1906, 20,935 53


The receipts from water rates and sale of water for special purposes for the year are $20,935.53, or an increase over the


4


previous year of $1,701.45. As Trustees of the Sinking Fund, we report the following additions : $4,200.00, the annual re- quirement, and $827.80, the interest on investments.


We have followed out our custom of investing the Sinking Fund in town notes as far as possible.


Bonds Nos. 91, 92, 93, 94, 95, due June 1, 1906, and note for $1,000.00 due Dec. 1, 1906, have been paid and cancelled.


The investment of the Sinking Fund will be found in. the Treasurer's report.


The hydrants and gates have been carefully inspected, neces- sary repairs have been made, and as far as known are in perfect working order. Twelve hydrants have been added to the line, making ISo now in use.


At the annual town meeting to be held in March we will ask the town to turn over to us the No. I engine house on Market street, soon to be vacated by the Fire Department. Our present quarters are inadequate for the needs of the department. At the present time we are paying $120 a year rent for additional room for a cementing plant, which would not be necessary if the town would give us control of this building.


At the town meeting held in April the town authorized the Water Commissioners to purchase land for an additional water supply. This we have done. The title to about 34 acres of land is now in the town. This land is situated at the end of Ellis avenue, in the northeasterly part of the town, and is now avail- able for use whenever the town thinks it necessary to increase the supply. The past year was a very favorable one for our present supply. We did not draw the pond as low by 53 inches as in 1905.


The amount of water that this pond will supply is an unknown quantity. It has greatly exceeded the most liberal estimate made on a basis of its watershed, showing conclusively that there must be an underground supply that cannot be estimated.


We believe that owing to the high price of material at the present time, it is advisable for the town to postpone action on the new water supply for this year.


.


5


We most earnestly request all water takers who have meters to learn to read them and keep a record of every month ; in this way they can check the amount of water used and do away with all controversy at the end of the year. A $10 meter rate allows 445 cubic feet of water each month.


6


MAIN AND SERVICE PIPE EXTENSIONS.


Total number of service pipes laid, 1906,


47


Total length of service pipe laid, 920.5 feet Total cost, $316.87


The following extensions to main pipes have been laid :


EXTENSIONS, 1906.


LOCATION.


Size of Pipe.


Length of Pipe.


Cost of Pipe.


Hydrants Set.


Austin St. from Washington St.,


6"


Beacon St. from Bullard St.,


611


423 ft. 225 ft. 551 ft.


463 22


1


Florence Ave. from Prospect St. to Nichols St., Lenox St. from Guild St. to Rock St.,


611


1292 ft.


1,613 04


3


10''


497 ft.


8 !!


5 ft.


1,168 93


1


Mylod St. from end of pipe,


6/1


750 ft.


601 50


1


Pleasant St., from Brook to Geo. H. Morrill & Co.'s,


6''


27 ft.


925 88


Rock St. from Lenox St. to Mun- roe St.,


6"


1140 ft.


1,234 13


2


Tremont St. from Washington St.,


6''


1024 ft. 244 ft.


874 94


2


Winslow Ave. from Hoyle St:,


6'


219 77


2


Totals,


6649 ft.


$7,817 48


12


$421 58 294 49


2


Cemetery Ave., from Winter St.,


22 ft.


449 ft.


.


7


WATER WORKS DEBT.


STATEMENT.


Notes due Dec. 1, 1907,


$2,225 00


66


1908, ·


2,000 00


60 66 1909,


2,000 00


Bonds “


Aug. 1, 1910,


10,000 00


Notes “ Dec. 1, 1910,


1,600 00


Bonds “ June 1, 19II,


5,000 00


Notes “


Dec. 1, 1912,


1,500 00


Bonds “


June 1, 1915,


8.000 00


66


Aug. 1, 1915,


25,000 00


-


66 June 1, 1917,


7,000 00


66


1918,


5,000 00


66


1920, .


4,000 00


$75,525 00


Less sinking fund, Dec. 31, 1906,


27,158 28


Total net debt, Dec. 31, 1906,


$48,366 72


1913,


2,200 00


RECORD OF PUMPING ENGINE FROM JANUARY 1, 1905 TO JANUARY 1, 1907.


Months.


Separate Days


Pumping.


Hours and Minutes at Work.


Total Gallons Pumped.


Lbs. Coal Consumed Steaming and Heating.


Lbs. Coal Consumed while Pumping.


Total lbs. Coal Con- sumed.


Hours.


Min.


January .


27


175


30


11,455,440


8,820


40,085


48,905


February


24


164


10,730,016


7,090


32,650


39,740


March


27


180


30


11,529,560


9,125


43,720


52,845


April


24


165


30


10,963,240


7.965


39,600


47,565


May


27


197


30


12,793,650


8,025


44,375


52,400


June.


27


194


12,648,420


7,710


44,839


52,549


July


29


188.


30


12,828,680


7,635


43,015


50,650


August


27


193


. .


12,973,000


7,950


43,565


57,515


September.


25


193


12,621,492


7,520


48,410


55,930


October


27


208


30


13,984,740


8,100


50,575


58,675


November


26


186


30


12,804,640


8,195


40,530


53.495


December


26


196


30


13,006,460


9,060


45,070


54,130


Totals


316


2,163


148,339,318


97,195


521,204


618,399


COMPARATIVE STATEMENT OF RECORD OF PUMPING ENGINE FROM 1886 TO 1905, INCLUSIVE.


Year.


Days Pumping


Hours and Minutes at Work.


Total Gallons Pumped.


Lbs. Coal Consumed Steaming and Heating.


Lbs. Coal Consumed while Pumping.


Total lbs. Coal Con- sumed.


1886


24,306,724


89,600


1887.


101


650


30


48,407,606


46,516


99,376


145,892


1888.


103


736


15


54,792,547


44,630


154,033


198,663


1889.


112


834


45


· 58,577,246


44,037


175,314


219,351


1890.


119


933


30


61,627,249


48,595


187,837


236,432


1891.


129


1,065


64,930,428


42.204


191,214


233.418


1892


143


1,039


61,696,973


40,891


207,148


248,037


1893.


170


1,148


75,742,346


42,272


254,301


296,570


1894.


169


1,197


80,148,917


41,887


277,189


319,076


1895.


189


1,493


30


98,436,485


51,504


320,213


371,770


1896.


230


1,687


112,937,074


56,042


402,491


458,539


1897.


274


2,205


30


129,098,843


68,534


493,125


561,653


1898.


301


2,221


. .


147, 750,863


90,085


650,605


740,696


1899.


305


2,359


30


158,811,348


89,687


603,770


693,453


1900


309


2,260


145,821,323


86,438


575,692


662,139


1901. . ..


299


1,791


30


120,442,064


80,796


460,184


540,980


1902.


297


1,775


119,280.194


77,350


452,266


529,617


1903. . . ...


311


2,145


30


143,853,454


70,090


551,580


621,672


1904. . .


315


2,342


158,481,200


75,585


581,032


656,617


1905.


316


2,356


30


155,533,872


90,327


562,285


652,610


1906.


316


2,163


148,339.318


97,195


521.204


618,399


..


45


.


. .


..


..


. .


Hours. Min.


9


COMPARATIVE STATEMENT OF RECEIPTS AND OPERATING EXPENSES FROM 1886 TO 1906, INCLUSIVE.


Year.


Receipts from Water Rates.


Maintenance.


Repairs.


Total Expenses.


1886.


$1,637 65


1887


4,454 09


$2,230 73


$169 93


$2,399 76


1888


5,040 16


2,444 60


459 95


2,904 55


1889.


6,791 69


1,941 12


74 43


2,015 55


1890.


6,702 10


1,977 33


236 01


2,213 34


1891


6,845 23


1,958 62


193 82


2,152 44


1892.


7,264 13


2,226 33


346 67


2,573 00


1893


7,647 89


2,123 10


215 97


2,339 03


1894


8,197 34


2.288 45


150 58


2,439 03


1895


9,237 11


2,274 63


241 24


2,515 87


1896


11.135 15


3,040 82


309 99


3,350 81


1897


12,093 95


3,160 57


330 24


3,490 81


1898


12,634 61


3,646 57


914 73


4,561 30


1899.


13,978 35


4,039 00


287 42


4,326 42


1900.


14,284 73


3,662 75


344 49


4,007 15


1901


15,193 04


3,916 37


227 06


4,143 43


1902.


15,208 71


3,374 18


561 58


3,935 76


1903.


17,727 75


4,846 21


368 20


5,214 41


1904.


18,750 33


4,674 72


1,525 87


6,200 59


1905


18,918 50


5,467 61


189 19


5,656 80


1906


20,935 53


5,892 53


156 56


6,049 09


SUMMARY OF STATISTICS.


Number of services laid, 1906,


47


Total number of services, January 1, 1907,


1,306


Total number of services, January 1, 1906, not connected,


26


Number of hydrants set, 1905,


II


Total number of hydrants, January 1, 1906,


199


Total number of meters in use, January 1, 1906,


739


Total fuel consumed for the year for pumping, heating buildings and steaming, in pounds, Total pumpage for the year, in gallons,


618,399


148,339,318


Number of gallons pumped per pound of coal, Cost of operating, figured on maintenance and repairs,


240


6,049 09


IO


Interest at 4 per cent., figured on cost of works, January 1, 1907 ($207,880.72 ), $8,315 23


Cost of million gallons raised to reservoir, figured on total maintenance, repairs and interest, $96 45


Profit of operation, 1906, figured on maintenance,


repairs and 4 per cent. interest on total cost of works, $6,571.21


Profit of operation, 1906, figured on actual pay- ments for interest, maintenance and repairs, $11,988 44


SUMMARY OF RECORD OF BUCKMASTER'S POND, GUAGE, 1906.


Date.


Below Crest (Inches )


Above Crest (Inches )


Date.


Below Crest ( Inches)


Above Crest (Inches )


Jan.


1.


15.


125


6:


15


33


Feb.


1.


106


Aug.


1


39


66


15.


100


15


48


Mar.


1 ..


89


Sept. 66


1


51


15. . .


60


15


69


April


1. . .


44


Oct.


1


61


66


15 ..


29


15


76


May


1 .


27


Nov. 66


15


83


June


1 ..


25


Dec.


1


83


66


15.


25


15


S5


66


31


73


The low water mark for the year was from November I to December 15, 85 inches below the crest at the outlet.


The highest level recorded for the year was on June I, at which time the water was twenty-five inches below the crest. Samples of water have been sent regularly to the State Board of Health for examination.


JOHN F. CALLAHAN, WILLIAM F. BAKER, JAMES H. BUTLER, Water Commissioners.


Norwood, February 1, 1907.


1


26


130


July


1


85


15.


29


II


FINANCIAL STATEMENT FROM JANUARY I TO DECEMBER 31, 1906.


RECEIPTS.


To balance in treasury, January 1, 1906,


$3,194 67


Amount received from water rates,


January I to July 1, $11,230 35


Amount received from water rates, July I to December 31,


9,359 23 ..


-$20,589 58


Amount received for water for street watering, $345 95


Amount received from sales meters and material,


1,525 58


$1,871 53


Amount received from Cemetery Commissioners, Soo 00


Amount received from water supply notes,


3,600 00


Amount received from water exten- sion notes,


3,925 00


$7,525 00


$33,980 78


EXPENDITURES.


By sinking fund requirements, $4,200 00


Interest on $35,000, 4 per cent. bonds, one year, 1,400 00


Interest on $34,000, 4 per cent. bonds, six months, 680 00


Interest on $29,000, 4 per cent.


bonds, six months, 580 00


Amount carried forward, $6,860 00


12


Amount brought forward, $6,860 00


Pumping station extension note, due December 1, 1906, 1,000 00


Interest on pumping station exten- sion, notes $5,000, 3 1-2 per cent., one year, 175 00


Interest on water supply notes $3,- 600, 3 1-2 per cent. to Decem- ber 1, 1906, 63 00


-


-- $8,098 00


MAINTENANCE.


By George A. P. Bucknam, salary, one year, $1,200 00


Use of horse, 300 00


H. F. Bucknam, assistant engineer, wages, 866 25


John P. Welch, wages,


724 75


Beaver Coal & Grain Co., 300 tons Poco. coal at $5.50, 1,650 00


J. E. Plimpton & Co., 1 1-2 tons of coal for office, II 25


M. J. Drummy, 1-2 cord of wood for office, 3 50


Norwood Gaslight Co., for gas for office, 2 28


H. T. Atwood, for rent, one year, 120 00


Norwood Furniture Co., I stove, 21 00


Valvoline Oil Co. :


Two barrels cylinder oil, 78 01


Ten gallons machine oil, 6 00


Frank E. Fitts Mfg. & Supply Co.,


I bale waste, 13 90


Amounts carried forward, $4,996 94 $8,098 00


I3


Amounts brought forward, $4,996 94 $8,098 00


Crosby Steam Gauge Co., 6-inch vacuum gage, 5 04


A. Klipstein, 1 barrel soda ash, 6 00


F. A. Fales & Co., 3 barrels cement, 7 20


Walworth Mfg. Co., supplies, 4 20


Geo. E. Sanborn, hardware and supplies, 63 53


Ezra L. Hubbard, repairing, and sharpening tools, 65 95


William Ryan, repairing, and shar- pening tools, I 68


William Foreman, I register,


2 25


labor and material, 9 SI


Library Bureau, stationery and sup- plies, 17 50


Throp & Martin, stationery and sup- plies, 2 90


T. O. Metcalf & Co. :


Order book,


6 00


Water register, 10 00


100 record blanks, 6 00


Ambrose Bros. :


2,000 water bills, 16 00


4,000 envelopes, 10 00


1,600 special reports, 48 00


E. F. Roby, repairing and painting wagon, 16 55


Clark's Grocery, supplies,


6 03


Freight charges,


I 34


Marston's Express,


II 55


J. P. Welch, car fares,


4 60


Postage stamps,


I 95


Amounts carried forward, $5,321 02 $8,098 00




Need help finding more records? Try our genealogical records directory which has more than 1 million sources to help you more easily locate the available records.