USA > Massachusetts > Norfolk County > Norwood > Norwood annual report 1915-1922 > Part 6
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12
Annie Curran
24
17
Ann Mooney
57
22
Sarah Gilbert Morse
71
11
19
29
Margaret McKale
3
1
21
Feb.
1
John Hyde
89
9
17
5
Stanley Vincent Swandon
6
10
6
Nellie Odenwalder
1
8
12
Mary E. McKinnon
50
4
28
10
Erannie Gustason
-
11
15
16
Sarah McIntosh Corbett
76
4
15
18
Catherine T. Collins
41
-
20
Susan Carton
45
24
Stillborn
Mar.
3
Stillborn
4
Stillborn
22
2
6
-Mansen
11
Marion M. Metcalf
43
26
Harriet L. Gilman Holman
78
5
24
28
-Leary
-
6
Margaret M. Brann
96
5
1
April
1
Maninen
e
1-2
1
Barry
20
-
4
Stillborn
34
3
10
Bates
11 Toivo Sinari Murtomaki
5
14 Bertha O. Lindquist
44
17 Clayton A. Reed
46
17
Martin Coyne
56
18
John D. Chickering
79
-
25
Walter M. Ranks
35
11
6
8
Rosa L. Hunter
50
-
-
5
Ambrose Neveral
4
21
Margaret C. Mahoney
2
4
Francis C. Tobin
7
August Ludwig Johnston
10 5
13
Annie O'Donnell
85
4 Henrietta Gates Turner
9 Gertrude Hayes
31
James Welch
11
James Mitchell
52
84
DEATHS RECORDED IN THE TOWN OF NORWOOD, 1915
Date
Name
Yrs.
Mo.
Day
May
4
Illegitimate
5
Alice Bates
35
10
2
13
Bella Francis
69
17
Bertha M. Richardson
47
3
14
17
Daniel J. Ahearn
31
10
13
27
Fred A. Smith
52
3
5
June
2
Mabel F. Thorn
56
1
14
5
Paul Rees
1
2
5
10
Emma Frances Flynn
50
13
Harry Lovejoy
16
9
12
22
-- Macaulay
92
4
17
23
Dennis Collins
46
-
July
1
Martin Curran
5
19
4
Ida Ylonen Lura
34
8
3
5
Robert Wallace
72
6
15
9
Jesse Silva
13
8
1
11
Christian Nicodemus
53
14
Joseph Thornton
-
2
15
Dennis J. McCarty
60
14
18
George F. McMunn
35
19
Helen M. Perkins
15
1
14
19
Arthur H. Pingree
48
-
-
23
Coleman J. Foley
48
25
Herman C. Babcock
61
9
19
26
Mary Yurgalivicus
22
-
26
James J. Donovan
37
10
18
27
Stillborn
-
Aug.
3
Reuben S. Collins
80
7
7
Adolph Balrucckas
7
6
11
George Ellias
1
-
13
Margaret Curran
25
7
20
16
- Earle
1-2
17
John Wm. Olson
23
7
22
William M. Murphy
29
6
5
Sept.
1
Mary F. James
33
2
9
2
Polenen
1-2
7
Sadie C. Balfour
35
10 Edward H. Pennington
48
9
15 Rosa Palomen
27
-
16
Margaret Monahan
17
Genevive Theresa Clegg
1
8 1
3
12
Stillborn
11
14
Veronica C. Rooney
2
23
Nancy Chapin
2
14
-- Hazlett
18
Edwin J. Alexander
23
Frederick H. Clark
54
30
Louisa Balduf
63
-
-
28
85
DEATHS RECORDED IN THE TOWN OF NORWOOD, 1915
Date
Name
Yrs.
Mo.
Day
Sept. 21
Hannah Welch
72
30
Sadie L. Bridges Powers
26
9
17
Oct.
1
William Davis
11
2
Carl A. Larson
31
11
19
2
Henry E. Sloane
2
8
4
Frederick Bagley
29
1
18
6
Ediveger Tenevitch
3
21
10
Stillborn
4
15
Ann Vincent Oldham
58
2
20
17
Mary Dominicia D'Challis
47
6
12
26
Filardo Orlando
4
6
27
Stillborn
24
31 Charles J. Donovan
55
2
4
Nov.
2
Endicott, Caroline Williams
62
4
18
8
Martin, Jeanette M.
28
11
7
9
Abdallah, Olga
4
6
25
14
Thomas, Mary A.
89
20
Kelly, Bridget
70
30
Greene, Frank E.
55
2
27
Dec.
1
Collins, Katherine E.
2
3
1
4
Foren, Ellen
70
4
27
11
Maini, Theresa
2
2
29
12
Metcalf, George T. F.
15
10
22
18 Atwood, Antona C.
11
15
20
Olmstead, Frank T.
18
9
25
26
Gunthner, Joseph
62
3
18
29
Farley, Mary
75
4
29
33
8
15
31
Torella, Anthony L. Macnecs, Philip
45
31
Feeney, Catherine A.
32
Number of deaths recorded
125
Number of births reported
351
Number of marriages
129
Dog licenses issued .
.357
Paid to County Treasurer .
$786.60
Fees paid to Town Treasurer on account of Dog Licenses issued .
71.40
Recording fees .
83.45
Marriage licenses .
129.00
$283.85
Hunters' Certificates issued and fees returned to Commonwealth,
$266.50
.
14
Dennehy, Mary
3
15
18
Brennan, Dennis J.
9
Balfour, Thomas
74
31
Alice Whitworth Baldwin
70
1-2
22
Ernest E. Letts
30 Ernest G. Waldheim
24
7 Reta V. Welsh
13 Hilda I. Kivi
FIFTH REPORT
OF
The Town Accountant OF THE TOWN OF NORWOOD
DETAILED STATEMENT OF TOWN DEBT, JANUARY 31, 1916. Showing the Amounts Maturing Each Year.
Date
Account
Date of Note
When Due
Rate
Amount
1916
Bonds
Sewerage Loan Nos. 33-34-35-36
June
1, 1907
June
1,1916
4
$ 4,000.00
Sewerage Loan No. 168
Aug.
1,1908
Aug.
1,1916
4
1,000.00
Sewerage Loan Nos. 7-8
Dec.
1, 1912
Dec.
1, 1916
4
2,000.00
Water Bonds, Nos. 13-14-15-16
Sept.
1, 1911
Sept. , 1916
4
4,000.00
Notes.
Highway Const. Loan No. 135
June
1,1915
June
, 1916
4
4,500.00
Macadam Pavement Loan No. 131
July
29, 1915
July
29, 1916
4
8,000.00
Balch School No. 76
April
20, 1913
Dec.
30, 1916
4 1-4
2,900.00
Shattuck School
Dec.
15, 1902
Dec.
15, 1916
3 1-2
2,000.00
Winslow School No. 10
Dec.
1,1906
Dec.
1, 1916
4
2,000.00
Water Ext. No. 131
Dec.
1, 1909
Dec.
1, 1916
4
1,000.00
Sewerage Note No. 99
Dec.
1, 1913
Dec.
1, 1916
4 1-10
1,500.00
Electric Light No. 9
June
1,1909
Dec.
1, 1916
4
2,500.00
Highway Const. No. 7
Dec.
30, 1909
Dec.
30, 1916
4
1,300.00
Highway Loan No. 117
Nov.
9, 1914
Nov.
9, 1916
4 1-2
1,000.00
General Purpose Loan No. 113
Nov.
1, 19.14
Nov.
1, 1916
4 1-2
7,100.00
Town Office and Park Lot No. 17
Dec.
30, 1912
Dec.
30, 1916
4
2,000.00
$46,800.00
1917
Bonds
Sewerage Loan Nos. 37-38-39-40
June
1,1907
June
1, 1917
4
4,000.00
Sewerage Loan No. 169
Aug.
1, 1908
Aug.
1, 1917
4
1,000.00
Sewerage Loan 9-10
Dec.
1,1912
Dec.
1, 1917
4
2,000.00
Water Bonds 109 to 115 incl.
June
1,1897
June 1, 1917
4
7,000.00
Water Bonds Nos. 17-18-19-20
Sept.
1,1911
Sept.
1, 1917
4
4,000.00
88
1
1918
Bonds
Sewerage Loan Nos. 41-42-43-44
June
1,1907
June
1,1918
4
$ 4,000.00
Sewerage Loan No. 170
Aug.
1,1908
Aug.
1, 1918
4
1,000.00
Sewerage Loan Nos. 11-12
Dec.
1,1912
Dec.
1,1918
4
2,000.00
Water Loan Nos. 116 to 120 incl.
June
1,1898
June
1,1918
4
5,000.00
Water Loan Nos. 21-22-23-24
Sept.
1,1911
Sept.
1,1918
4
4,000.00
Notes
Highway Constr. Loan No. 137
June
1,1915
June
1,1918
4
4,000.00
Macadam Pavement Loan No. 138
July
29, 1915
July
29, 1918
4
8,000.00
Balch School No. 78
April
20, 1913
Dec.
30, 1918
4 1-4
2,900.00
Winslow School No. 12
Dec.
1,1906
Dec.
1,1918
4
2,000.00
Electric Light No. 1
June
1,1907
Dec.
1,1918
41-2
2,500.00
Water Ext. No. 133
Dec.
1,1909
Dec.
1,1918
4
1,000.00
Sewerage Loan No. 101
Dec.
1,1913
Dec.
1,1918
4 1-10
1,500.00
Town Office and Park Lot No. 19
Dec.
30, 1912
Dec.
30, 1918
4
2,000.00
1919
Bonds
Sewerage Loan Nos. 45-46-47-48
June
1,1907
June
1,1919
4
$ 4,000.00
Sewerage Loan No. 171
Aug.
1,1908
Aug.
1, 1919
4
1,0000.00
Sewerage Loan Nos. 13-14
Dec.
1,1912
Dec.
1,1919
4
2,000.00
Water Loan Nos. 25-26-27-28
Sept.
1, 1911
Sept.
1, 1919
4
4,000.00
1,1915
June
1,1917
4
4,500.00
Macadam Pavement Loan No. 134
July
29, 1915
July
29, 1917
4
8,000.00
Balch School No. 77
April
20,1913
Dec.
30, 1917
41-4
2,900.00
Winslow School No. 11
Dec.
1,1906
Dec.
1,1917
4
2,000.00
Electric Light No. 10
June
1, 1906
Dec.
1,1917
4
2,500.00
Water Ext. No. 132
Dec.
1,1909
Dec.
1, 1917
4
1,000.00
Sewerage Note No. 100
Dec.
1, 1913
Dec.
1, 1917
4 1-10
1,500.00
General Purpose Loan No. 114
Nov.
1, 1914
Nov.
1, 1917
41-2
7,100.00
Town Office and Park Lot No. 18
Dec.
30, 1912
Dec.
30, 1917
4
2,000.00
$49,500.00
89
Notes
Highway Constr. Loan No. 136
June
DETAILED STATEMENT OF TOWN DEBT, JANUARY 31, 1916. Showing the Amounts Maturing Each Year.
Date
Account
Date of Note
When Due
Rate
Amount
Notes
Balch School No. 79
April
20,1913
Dec.
30, 1919
4 1-4
2,900.00
Winslow School No. 13
Dec.
1,1906
Dec.
1,1919
4
2,000.00
Electric Light No. 2
June
1,1907
Dec.
1,1919
4 1-2
2,500.00
Water Ext. No. 134
Dec.
1,1909
Dec.
1,1919
4
1,000.00
Town Office and Park Lot No. 20
Dec.
30, 1912
Dec.
30, 1919
4
2,000.00
$21,400.00
Bonds
Sewerage Loan Nos. 49-50-51-52
June
, 1907
June
1,1920
4
$4,000.00
Sewerage Loan No. 172
Aug.
1,1908
Aug.
1,1920
4
1,000.00
Sewerage Loan Nos. 15-16
Dec.
, 1912
Dec.
1,1920
4
2,000.00
Water Loan Nos. 29-30-31-32
Sept.
1,1911
Sept.
1,1920
4
4,000.00
Water Loan Nos. 121 to 124 incl.
Dec.
1, 1900
June
1,1920
4
4,000.00
Notes
Balch School No. 80
April
20, 1913
Dec.
30, 1920
4 1-4
2,900.00
Winslow School No. 14
Dec.
1,1906
Dec.
1,1920
4
2,000.00
Electric Light No. 3
June
1,1907
Dec.
1,1920
4
2,500.00
Water Ext. No. 135
Dec.
1,1909
Dec.
1,1920
4
1,000.00
Town Office and Park Lot No. 21
Dec.
30, 1912
Dec.
30, 1920
4
2,000.00
$25,400.00
1921
Bonds
Sewerage Loan Nos. 53-54-55-56
June
1,1907
June
1, 1921
4
$4,000.00
Sewerage Loan No. 173
Aug.
1,1908
Aug.
1921
4
1,000.00
Sewerage Loan Nos. 17-18
Dec.
1, 1912
Dec.
1, 1921
4
2,000.00
Water Loan Nos. 33-34-35-36
Sept.
1,1911
Sept.
1, 1921
4
4,000.00
1920
90
1922
Bonds
Sewerage Loan Nos. 57-58-59-60
June
1,1907
June
, 1922
4
$4,000.00
Sewerage Loan No. 174
Aug.
1,1908
Aug.
1,1922
4
1,000.00
Sewerage Loan Nos. 19-20
Dec.
1,1912
Dec.
1,1922
4
2,000.00
Water Loan Nos. 37-38-39-40
Sept.
1,1911
Sept.
1,1922
4
4,000.00
Notes
Balch School No. 82
April
20, 1913
Dec.
30, 1922
4 1-4
2,900.00
Winslow School No. 16
Dec.
1, 1906
Dec.
1,1922
4
2,000.00
Electric Light No. 5
June
1, 1907
Dec.
1,1922
4 1-2
2,500.00
Town Office and Park Lot No. 23
Dec.
30, 1912
Dec.
30,1922
4
2,000.00
$20,400.00
1923
Bonds
Sewerage Loan Nos. 61-62-63-64
June
1,1907
June
1,1923
4
$4,000.00
Sewerage Loan No. 175
Aug.
1,1908
Aug.
1,1923
4
1,000.00
Sewerage Loan Nos. 21-22
Dec.
1,1912
Dec.
1,1923
4
2,000.00
Water Loan Nos. 41-42-43-44
Sept.
1,1912
Dec.
1, 1923
4
4,000.00
Notes
Balch School No. 83
April
20, 1913
Dec.
30, 1923
41-2
2,900.00
Winslow School No. 17
Dec.
1, 1906
Dec.
1,1923
4
2,000.00
Electric Light No. 5
June
1,1907
Dec.
1,1923
41-2
2,500.00
Park Office and Park Lot No. 24
Dec.
30, 1912
Dec.
30, 1923
4
2,000.00
.
April
20,1913
Dec.
30, 1921
4 1-4
2,900.00
Winslow School No. 15
Dec.
1, 1906
Dec.
1, 1921
4
2,000.00
Electric Light No. 4
June
1, 1907
Dec.
1,1921
4 1-2
2,500.00
Town Office and Park Lot No. 22
Dec.
30, 1912
Dec.
30, 1921
4
2,000.00
$20,400.00
$20,4400.00
-
91
Notes
Balch School No. 81
DETAILED STATEMENT OF TOWN DEBT, JANUARY 31, 1916. Showing the Accounts Maturing Each Year.
Date
Account
Date of Note
When Due
Rate
Amount
1924
Bonds
June
1,1907
June
1,1924
4
4,000.00
Sewerage Loan No. 176
Aug.
1,1908
Aug.
1, 1924
4
1,000.00
Sewerage Loan Nos. 23-24
Dec.
1,1912
Dec.
1,1924
4
2,000.00
Water Loan Nos. 45-46-47-48
Sept.
1, 1911
Sept.
1, 1924
4
4,000.00
Notes
Balch School No. 84
April
20, 1913
Dec.
30, 1924
4 1-4
2,900.00
Winslow School No. 18
Dec.
1, 1906
Dec.
1, 1924
4
2,000.00
Electric Light No. 5
June
1, 1907
Dec.
1,1924
41-2
2,500.00
Town Office and Park Lot No. 25
Dec.
30,1912
Dec.
30,1924
4
2,000.00
1925
Bonds
Sewerage Loan Nos. 69-70-71-72
June
1,1907
June
1, 1925
4
$4,000.00
Sewerage Loan No. 177
Aug.
1,1908
Aug.
1,1925
4
1,000.00
Sewerage Loan Nos. 25-26
Dec.
1,1912
Dec.
1, 1925
1
2,000.00
Water Loan Nos. 49-50-51-52
Sept.
1, 1911
Sept.
1, 1925
1
4,000.00
Notes
Balch School No. 85
April
20, 1913
Dec.
30, 1925
41-4
2,000.00
Winslow School No. 19
Dec.
, 1906
Dec.
· 1, 1925
4
2,000.00
Electric Light No. 8
June
1,1907
Dec.
1, 1925
4 1-2
2,500.00
Town Office and Park Lot No. 26.
Dec.
30, 1912
Dec.
30, 1925
4
2,000.00
$20,400.00
1926
Bonds
Sewerage Loan Nos. 73-74-75-76
June
1,1907
June
1, 1926
4
$4,000.00
Sewerage Loan No. 178
Aug.
1,1908
Aug.
1, 1926
4
1,000.00
Sewerage Loan Nos. 65-66-67-68
$20,400.00
92
1927
Bonds
Sewerage Loan Nos. 81-82-83-84
June
1,1907
June
1, 1927
4
$4,000.00
Sewerage Loan No. 179
Aug.
1, 1907
1,1927
4
1,000.00
Sewerage Loan Nos. 29-30
Dec.
1, 1912
Dec.
1, 1927
4
2,000.00
Water Loan Nos. 57-58-59-60
Sept.
1, 1911
Sept.
1, 1927
4
4,000.00
Notes
Balch School No. 87
Dec.
20, 1913
Dec.
30,1927
4 1-4
2,900.00
Town Office and Park Lot No. 28
Dec.
30, 1912
Dec.
30, 1927
4
2,000.00
$15,900.00
1928
Bonds
Sewerage Loan Nos. 81-82-83-84
June
1,1907
June
1,1928
4
$4,000.00
Sewerage Loan No. 180
Aug.
1,1908
Aug.
1,1928
4
1,000.00
Sewerage Loan Nos. 31-32
Dec.
1,1912
Dec.
1,1928
4
2,000.00
Water Loan Nos. 61-62-63-64
Sept.
1, 1911
Sept.
1,1928
4
4,000.00
Notes
Balch School Nos. 85-86-87-88
June
1,1907
Dec.
1,1928
4 1-4
2,900.00
Town Office and Park Lot No. 29
Dec.
30, 1912
Dec.
30, 1928
4
2,000.00
.
Notes
Balch School No. 86
April
20, 1913
Dec.
30, 1926
4 1-4
2,900.00
Winslow School No. 20
Dec.
1, 1906
Dec.
1, 1926
4
2,000.00
Electric Light No. 9
June
1,1907
June
1, 1926
4 1-2
2,500.00
Town Office and Park Lot No. 27
Dec.
30, 1912
Dec.
30,1926
4
2,000.00
Dec. Sept.
1,1912
Dec. Sept
1,1926
4
2,000.00
Water Loan Nos. 53-54-55-56
1,1911
1,1926
4
4,000.00
Sewerage Loan Nos. 27-28
$20,400.00
$15,900.00
93
DETAILED STATEMENT OF TOWN DEBT, JANUARY 31, 1916. Showing the Amounts Maturing Each Year.
Date
Account
Date of Note
When Due
Rate
Amount
1929
Bonds
Sewerage Loan Nos. 85-86-87-88
June
1,1907
June
1,1919
4
$4,000.00
Sewerage Loan No. 181
Aug.
1,1908
Aug.
1,1929
4
1,000.00
Sewerage Loan Nos. 33-34
Dec.
1,1912
Dec.
1,1929
4
2,000.00
Water Loan Nos. 65-66-67-68
Sept.
1,1911
Sept.
1,1919
4
4,000.00
Notes
Balch School No. 89
April
20, 1913
Dec.
30, 1929
41-4
2,900.00
Town Office and Park Lot No. 30
Dec.
30, 1912
Dec.
30, 1929
4
2,000.00
$15,900.00
1930
Bonds
Sewerage Loan Nos. 89-90-91-92
June
1, 1907
June
, 1930
4
$4,000.00
Sewerage Loan No. 182
Aug.
1,1908
Aug.
1,1930
4
1,000.00
Sewerage Loan Nos. 35-36
Dec.
1,1912
Dec.
1,1930
4
2,000.00
Water Loan Nos. 69-70-71-72
Sept.
1,1911
Sept.
1,1930
4
4,000.00
Notes
Balch School No. 90
April
20, 1913
Dec.
30, 1930
4 1-4
2,900.00
Town Office and Park Lot No. 31
Dec.
30, 1912
Dec.
30, 1930
4
2,000.00
1931
Bonds
Sewerage Loan Nos. 93-94-95-96
June
1,1907
June
1,1931
4
$4,000.00
Sewerage Loan No. 183
Aug.
1,1908
Aug.
1,1931
4
1,000.00
Sewerage Loan Nos. 37-38
Dec.
1,1912
Dec.
1,1931
4
2,000.00
Water Loan Nos. 73-74-75-76
Sept.
1,1911
Sept.
1,1931
4
4,000.00
94
$15,900.00
1932
Bonds
Sewerage Loan Nos. 97-98-99-100
June
1,1907
June
1,1932
4
$4,000.00
Sewerage Loan No. 184
Aug.
1,1908
Aug.
1, 1932
4
1,000.00
Sewerage Loan Nos. 39-40
Dec.
1,1912
Dec.
1, 1932
4
2,000.00
Water Loan Nos. 77-78-79-80
Sept.
1,1911
Sept.
1,1932
4
4,000.00
Notes
Balch School No. 92
April 20, 1913
Dec.
30, 1932
4 1-4
1,900.00
$12,900.00
Bonds
Sewerage Loan Nos. 101-104 incl.
June
1,1907
June
1,1933
4
$4,000.00
Sewerage Loan No. 185
Aug.
1,1908
Aug.
1, 1933
4
1,000.00
Sewerage Loan No. 41-42
Dec.
1, 1912
Dec.
1, 1933
4
2,000.00
1934
Bonds
Sewerage Loan No. 105-108 incl.
June
1,1907
June
1, 1934
4
$4,000.00
Sewerage Loan No. 186
Aug.
1,1908
Aug.
1, 1934
4
1,000.00
Sewerage Loan Nos. 43-44
Dec.
, 1912
Dec.
1, 1934
4
2,000.00
1935
Bonds
Sewerage Loan Nos. 109-112 incl.
June
1,1907
June
1,1935
1
$4,000.00
Sewerage Loan No. 187
Aug.
1,1908
Aug.
1,1935
4
1,000.00
Sewerage Loan Nos. 45-46
Dec.
1,1912
Dec.
1, 1935
4
2,000.00
April Dec.
20, 1913
Dec. Dec.
30, 1931
41-4
2,900.00
Town Office and Park Lot No. 32
30, 1912
30, 1931
4
2,000.00
$15,900.00
$7,000.00
95
Notes Balch School No. 91
1933
$7,000.00
$7,000.00
DETAILED STATEMENT OF TOWN DEBT, JANUARY 31, 1916. Showing the Amounts Maturing Each Year.
Date
Account
Date of Note
When Due
Rate
Amount
1936
Bonds
Sewerage Loan Nos. 113-116 incl.
June
1,1907
June
1, 1936
4
$4,000.00
Sewerage Loan No. 188
Aug.
1,1908
Aug.
1,1936
4
1,000.00
Sewerage Loan Nos. 47-48
Dec.
1,1912
Dec.
1,1936
4
2,000.00
$7,000.00
1937
Bonds
Sewerage Loan Nos. 117-120 incl.
June
1,1907
June
1, 1937
4
$4,000.00
Sewerage Loan No. 189
Aug.
1,1908
Aug.
1, 1937
4
1,000.00
Sewerage Loan Nos. 49-50
Dec.
1,1912
Dec.
1, 1937
4
2,000.00
1938
Bonds
Sewerage Loan Nos. 121-124 incl.
June
1,1907
June
1,1938
4
$4,000.00
Sewerage Loan No. 190
Aug.
1,1908
Aug.
1, 1938
4
1,000.00
1939
Bonds
Sewerage Loan Nos. 125-128 incl.
June
1,1907
June
1,1939
4
$4,000.00
Sewerage Loan No. 191
Aug.
1, 1908
Aug.
1, 1939
4
1,000.00
1940
Bonds
Sewerage Loan Nos. 129-132 incl.
June
1, 1907
June
1, 1940
1
$4,000.00
Sewerage Loan No. 192
Aug.
1,1908
Aug.
1, 1940
4
1,000.00
$5,000.00
96
*
$5,000.00
$5,000.00
$7,000.00
1941
Bonds
Sewerage Loan Nos. 133-136 incl.
June
1,1907
June Aug.
1, 1941
4
$4,000.00 1,000.00
1942
Bonds
Sewerage Loans Nos. 137-140 incl.
June
1, 1907
June
1, 1942
4
$4,000.00
Sewerage Loan No. 194
Aug.
1, 1908
Aug.
1, 1942
4
1,000.00
$5,000.00
1943
Bonds
Sewerage Loan Nos. 141-144 incl.
June
1,1907
June
1, 1943
4
$4,000.00
Sewerage Loan No. 195
Aug.
1, 1908
Aug.
1, 1943
4
1,000.00
$5,000.00
1944
Bonds
Sewerage Loan Nos. 145-148 incl. Sewerage Loan No. 196
June
1,1907
June
1, 1944
4
$4,000.00
Aug.
1,1908
Aug.
1, 1944
4
1,000.00
1945
Bonds
Sewerage Loan Nos. 149-152 incl.
June
1,1907
June
1,1945
4
$4,000.00
Sewerage Loan No. 196
Aug.
1,1908
Aug.
1,1945
4
1,000.00
1946
Bonds
Sewerage Loan Nos. 153-156 incl.
June
1,1907
June
1, 1946
4
$4,000.00
Sewerage Loan No. 198
Aug.
1,1908
Aug.
1, 1946
4
1,000.00
$5,000.00
97
4
Sewerage Loan No. 193
Aug.
1,1908
$5,000.00
1,1941
$5,000.00
$5,000.00
DETAILED STATEMENT OF TOWN DEBT, JANUARY 31, 1916. Showing the Amounts Maturing Each Year.
Date
Account
Date of Note
When Due
Rate
Amount
1947
Bonds
Sewerage Loan Nos. 157-160 incl.
June
1,1907
June
1,1947
4
$4,000.00
Sewerage Loan No. 199
Aug.
, 1908
Aug.
1,1947
4
1,000.00
$5,000.00
1948
Bonds
Sewerage Loan No. 200
Aug.
1,1908
Aug.
1,1948
4
$1,000.00
$1,000.00
Total fixed debt, December 31, 1915
$483,800.00
98
CLASSIFIED STATEMENT OF FIXED TOWN DEBT
Year
Sewer
Water
Elec. Lt.
Schools
Highway
Office and Park lot
Others
Total
1916
$8,500.00
$5,000.00
$2,500.00
$6,900.00
$14,800.00
$2,000.00
$7,100.00
$46,800.00
1917
8,500.00
12,000.00
2,500.00
4,900.00
12,500.00
2,000.00
7,100.00
49,500.00
1918
8,500.00
10,000.00
2,500.00
4,900.00
12,000.00
2,000.00
39,900.00
1919
7,000.00
5,000.00
2,500.00
4,900.00
2,000.00
21,400.00
1920
7,000.00
9,000.00
2,500.00
4,900.00
2,000.00
25,400.00
1921
7,000.00
4,000.00
2,500.00
4,900.00
2,000.00
20,400.00
1922
7,000.00
4,000.00
2,500.00
4,900.00
2,000.00
20,400.00
1923
7,000.00
4,000.00
2,500.00
4.900.00
2,000.00
20,400.00
1924
7,000.00
4,000.00
2,500.00
4,900.00
2,000.00
20,400.00
1925
7,000.00
4,000.00
2,500.00
4,900.00
2,000.00
20,400.00
1926
7,000.00
4,000.00
2,500.00
4,900.00
2,000.00
20,400.00
1927
7,000.00
4,000.00
2,900.00
2,000.00
15,900.00
1928
7,000.00
4,000.00
2,900.00
2,000.00
15,900.00
1929
7,000.00
4,000.00
2,900.00
2,000.00
15,900.00
1930
7,000.00
4,000.00
2,900.00
2,000.00
15,900.00
1931
7,000.00
4,000.00
2,900.00
2,000.00
15,900.00
1932
7,000.00
4,000.00
1,900.00
12,900.00
1933
7,000.00
7,000.00
1934
7,000.00
7,000.00
1935
7,000.00
7,000.00
1936
7,000.00
7,000.00
1937
7,000.00
7,000.00
1938
5,000.00
5,000.00
1939
5,000.00
5,000.00
1940
5,000.00
5,000.00
1941
· 5,000.00
5,000.00
1942
5,000.00
5,000.00
1943
5,000.00
5,000.00
1944
5,000.00
5,000.00
1945
5,000.00
5,000.00
99
CLASSIFIED STATEMENT OF FIXED TOWN DEBT
Year
Sewer
Water Elec. Lt. Schools
Highway
Office and Park lot
Others
Total
1946
$5,000.00
$5,000.00
1947
5,000.00
5,000.00
1948
1,000.00
1,000.00
$209,500.00
$89,000.00 $27,500.00
$72,300.00 $39,300.00
$32,000.00
$14,200.00
$483,800.00
ACCOUNTANT'S REPORT The Limitation of Indebtedness
Under Chapter 719, Section 12, Acts of 1913, the amount which the Town may borrow in addition to the present debt is as follows:
Valuation of three preceding years reduced by abatements to date,
1913
$15,521,907.00
1914.
16,433,000.00
1915.
16,903,894.00
Total. .
$48,858,801.00
Average of which is .
$16,286,267.00
3% of which amount is
488,588.01
Present Fixed Debt . Loans exempt,
$483,800.00
Water Loans.
$89,000.00
Electric Light Loans
27,500.00
321,500.00
162,300.00
162,300.00
Available Borrowing Capacity, December 31, 1915,
$326,288.01
100
Sewerage Loans .
205,000.00
101
STATEMENT OF MONEY BORROWED Amounts Authorized.
1915
Feb. 25. Anticipation of Revenue 1915, Statutory
Feb. 25. Highway Construction,
July 22. Macadam Pavement,
$13,000.00 40,000.00
July 22. Granite Paving,
40,000.00
There Was Borrowed.
$175,000.00 In anticipation of revenue.
24,000.00
Macadam Paving Loan.
14,500.00 In anticipation of Note Issue.
13,000.00
Highway Construction Loan.
At the town meeting of February 25, 1915, it was-
Voted, That the Town Treasurer with the approval of the Selectmen be and hereby is authorized to borrow money from time to time in anticipation of the revenue of the financial year beginning January 1st, A.D. 1915 and to issue a note or notes therefor payable within one year; any debt or debts incurred under this vote to be paid from the revenue of said financial year.
Availed of as follows :-
May 27, 1915 issued to First National Bank of Boston, Note 121, payable Nov. 15, 1915 at 3.73% discounted, Cost, $553.28.
$30,000.00
June 1, 1915, issued to R. L. Day & Co. of Boston, Notes 122- 123-124, payable Nov. 1, 1915 at 3.25% discounted, 30,000.00
Cost, $398.12.
Treasurer of Sinking Fund, Town of Norwood, Note 126, pay- able Aug. 1, 1915, interest at maturity at 3.25%, 15,000.00 Cost, $81.25.
June 28, 1915, Bond & Goodwin of Boston, Note 128, payable Dec. 1, 1915 at 3.04%, discounted, 20,000.00 Cost, $256.71.
July 20, 1915, Loring. Tolman & Tupper Notes 129-130, pay- able Dec. 1, 1915, at 2.75 % discounted, Cost, $192.50.
20,000.00
Aug. 24, 1915, C. D. Parker & Co., note 132, payable Dec. 15, 1915 at 2.73 % discounted, 10,000.00 Cost, $81.13.
Sept. 27, 1915, C. D. Parker & Co., note 133, payable Dec. 27, 1915 at 2.15 % discounted, 10,000.00 Cost, $50.07.
Oct. 28, 1915, R. L. Day & Co., of Boston, notes 139-140-141, payable April 15, 1916, at 2.40 discounted Cost, $336.00.
30,000.00
$165,000.00
102
Under duly authorized votes the following loans were issued:
Macadam Paving.
Sold to R. L. Day & Co., July 29, 1915, Note No. 131, due July 29, 1916, rate 3 3-4 % in the sum of $8,000.00.
Sold to C. D. Parker & Co., Sept. 27, 1915, Note No. 134, due July 29, 1917, rate 4% in the sum of $8000.00.
Sold to Cropley, McGarnagle & Co., October 1, 1915, Note No. 138, due July 29, 1918, rate 4% in the sum of $8,000.00.
Highway Construction Loans.
Highway Construction Loans Issued to Meet Expense of Cost of New Parallel Highway.
Sold to Cropley McGarnagle & Co., Notes 135-136-137, Nov. 1, 1915, rate 4%, total amount issued $13,000.00.
In Anticipation of Note Issues.
Sold to R. L. Day & Co., June 1, 1915, Note No. 125, due Nov. 1, 1915 rate 3 1-2% in the sum of $5,000.00.
Sold to Bond & Goodwin June 28, 1915, Note No. 127, due Nov. 1, 1915, rate 3.04% in the sum of $8,000.00.
Sold to Treasurer of the Sinking Fund of the Town of Norwood Nov. 30, 1915, Note No. 142, due April 30, 1916, rate 4%.
103
The Total Fixed Debt January 1, 1915, Outstanding Tax Loans,
$516,400.00
45,000.00
$561,400.00
There was borrowed during the year,
In anticipation of Revenue,
$165,000.00
In anticipation of Note Issue,
14,500.00
Macadam Pavement Loan,
24,000.00
Highway Construction,
13,000.00
216,500.00
$777,900.00
The payments were of the amounts borrowed In anticipation of
Revenue of the year 1914,
$ 45,000.00
Revenue of the year 1915,
135,000.00
Note Issue of 1915,
13,000.00
193,000.00
$584,900.00
And the following described notes and bonds,
June 1, Sewerage Loan Nos. 29-30-31-32,
$ 4,000.00
Aug. 1, Sewerage Loan No. 167,
1,000.00
Dec. 1, Sewerage Loan Nos. 5-6, 2,000.00
Aug.
1, Water Bonds Nos. 51 to 75 incl.
25,000.00
June
1, Water Bonds Nos. 101 to 108 incl.
8,000.00
Sept. 1, Water Bonds Nos. 9-10-11-12,
4,000.00
Dec. 1, Water Ext. No. 130,
1,000.00
Dec. 30, Balch School No. 75,
2,900.00
Dec. 15, Shattuck School,
2,000.00
Dec. 15, Shattuck School,
2,000.00
Dec. 1, Winslow School No. 9,
2,000.00
Dec. 1, Electric Light No. 8,
2,500.00
Dec. 30, Highway Construction No. 6,
1,500.00
Dec. 1, Sewerage Loan No. 98,
900.00
Nov. 9, Highway Loan No. 115,
1,000.00
Nov. 1, General Purpose Loan No. 112,
8,800.00
Dec. 30, Town Office and Park Lot No. 16,
2,000.00
69,600.00
Less outstanding loans in Anticipation of Note Issue,
1,500.00
Revenue of 1915,
30,000.00
31,500.00
Net Fixed Debt December 31, 1915, A decrease of
$483,800.00
32,600.00
$516,400.00
1,000.00
Nov. 9, Highway Loan No. 116,
$515,300.00
104
NORWOOD TOWN REPORT. Receipts and payments of the Town of Norwood For One Year Ending December 31, 1915.
Revenue for
Receipts. Revenue for Expenses Outlays Totals
GENERAL REVENUE
H. W. Gay as Collector of
1915 Taxes, Property,
1915 Taxes, Polls,
$128,292.61 4,640.00
$132,932.61
Geo. O. Capen as Collector of
1914 Taxes, Property,
$6,469.28
1914 Taxes, Polls,
84.00
6,553.28
H. W. Gay as Collector of
1914 Taxes, Property,
$28,987.11
1914 Taxes, Polls
764.00
29,751.11
Geo. O. Capen as Collector of
$88.32
1913 Taxes, Polls,
12.00
100.32
H. W. Gay as Collector of
1913 Taxes, Property,
$3,355.86
1913 Taxes, Polls,
124.00
3,479.86
Geo. O. Capen as Collector of
1912 Taxes, Polls,
$6.00
6.00
H. W. Gay as Collector of
1912 Taxes, Property,
$989.04
1912 Taxes, Polls,
44.00
1,033.04
Geo. O. Capen as Collector of 1911 Taxes, Polls,
$18.00
18.00
H. W. Gay as Collector of
1911 Taxes, Property,
$271.95
1911 Taxes, Polls,
12.00
1910 Taxes, Property,
15.64
1910 Taxes, Polls,
6.00
305.59
Total-forwarded,
$174,179.81
1913 Taxes, Property,
105
ACCOUNTANT'S REPORT. Receipts. Revenue for
Totals
Expenses Outlays
GENERAL REVENUE, continued.
Total-forwarded,
$174,179.81
From Commonwealth of Massachusetts
Corporation Tax, Business,
$20,444.77
Corporation Tax, Public Service,
933.22
Bank Tax,
3,341. 49
Street Railway, Excise Tax, 846.27
$25,565.75
Licenses and Permits
14 Pool,
$ 28.00
23 Hawkers,
322.00
31 Jitney,
31.00
13 Chap. 423, 1909,
65.00
1 Sunday Moving Picture,
5.00
4 Junk,
200.00
2 Circus,
30.00
4 Auctioneers,
8.00
2 Fireworks,
4.00
1 Slaughter House,
1.00
$694.00
Fines and Forfeits
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