USA > Massachusetts > Norfolk County > Norwood > Norwood annual report 1927-1929 > Part 56
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3,000.00
Municipal Memorial Office Building Nos. 1385-1393
Mar. 15, 1928
Sept. 15, 1934
3.75
9,000.00
School Loan S. H. Nos. 1117-1123
Sept. 15, 1926
Sept. 15, 1934
4
7,000.00
Municipal Memorial Building Nos. 1245-1252
Sept. 15, 1927
Sept. 15, 1934
3.50
8,000.00
Completion New School Building Nos. 123-124
Oct. 15, 1921
Oct. 15, 1934
5
2,000.00
Completion New School Building No. 255
Oct. 15, 1921
Oct. 15, 1934
4.50
1,000.00
Street Construction and Widening Nos. 586-588
Nov.
1, 1924
Nov. 1, 1934
2,000.00
Memorial Park Nos. 551-552
Nov.
1, 1924
Nov. 1, 1934
4
2,000.00
Sewerage Loan Nos. 43-44
Dec.
1,1912
Dec. 1,1934
4
2,000.00
School Building S. G. Nos. 806-812
Dec.
1,1925
Dec. 1, 1934
4.25
7,000.00
1935
School Loan S. H. Nos. 957-969
Feb. 1, 1926
Feb. 1,1935
4
$ 13,000.00
Schoolhouse Loan Nos. 373-379 Inc.
April 1, 1918
April 1, 1935
5
6,800.00
Schoolhouse Loan Nos. 502-508 Inc.
April 1, 1918
April 1, 1935
5
6,800.00
School Building S. H. Nos. 660-666
April 1, 1925
April 1, 1935
4 7,000.00
School Land No. 185
May 15, 1916
May 15, 1935
4
1,200.00
Norwood School Loan Nos. 329-330
May 15, 1922 .
May 15, 1935
4
2,000.00
Norwood School Loan No. 363
May 15, 1922
May 15, 1935
4
1,000.00
Sewer Construction Nos. 398-399
June 1, 1922
June
1,1935
4.25
2,000.00
Sewerage Loan Nos. 109-112 Inc.
June 1, 1907
June
1,1935
4 4,000.00
Schoolhouse Addition Loan Nos. 1635-1643
Dec. 1,1929
June 1,1935
4.25
9,000.00
Water Additional Supply Nos. 113-114
June 15, 1921
June 15, 1935
5.75
2,000.00
Water Supply Nos. 740-742
July 1, 1925
July 1, 1935
4
3,000.00
Sewerage Loan No. 187
Aug. 1, 1908
Aug. 1, 1935
1
1,000.00
.
4
$101,800.00
289
DETAILED STATEMENT OF TOWN DEBT, JANUARY, 1930
Showing the Amounts Maturing Each Year
Year
Account
Date of Note
When Due
Rate
Total
1935 Municipal Memorial Office Building Nos. 1505-1507
Sept. 1, 1928
Sept. 1, 1935
4.25
3,000.00
Mar. 15, 1928
Sept. 15, 1935
3.75
9,000.00
Municipal Memorial Office Building Nos. 1394-1402 School Loan S. H. Nos. 1124-1130
Sept. 15, 1926
Sept. 15, 1935
4
7,000.00
Municipal Memorial Building Nos. 1253-1260
Sept. 15, 1927
Sept. 15, 1935
3.50
8,000.00
Completion New School Building Nos. 215-216
Oct.
15, 1921
Oct. 15, 1935
5
2,000.00
Completion New School Building No. 285
Oct.
15, 1921
Oct. 15, 1935
4.50
1,000.00
Sewerage Loan Nos. 45-46
Dec.
1,1912
Dec. 1,1935
4
2,000.00
School Building S. H. Nos. 813-818
Dec. 1,1925
Dec. 1,1935
4.25
6,000.00
1936
School Loan S. H. Nos. 970-982
Feb. 1, 1926
Feb. 1, 1936
4
$13,000.00
Schoolhouse Loan Nos. 380-386 Inc.
April 1, 1918
April 1, 1936
5
6,800.00
Schoolhouse Loan Nos. 509-515 Inc.
April 1, 1918
April 1, 1936
5
6,800.00
School Building S. H. Nos. 667-672
April 1, 1925
April 1, 1936
4
6,000.00
School Land No. 186
May 15, 1916
May 15, 1936
4
600.00
Norwood School Loan Nos. 331-332
May 15, 1922
May 15, 1936
4
2,000.00
Norwood School Loan No. 364
May 15, 1922
May 15, 1936
4
1,000.00
June
1,1922
June
1,1936
4.25
2,000.00
Sewer Construction Nos. 400-401 Sewerage Loan Nos. 113-116 Inc.
June
1, 1907
June 1, 1936
4
4,000.00
Schoolhouse Addition Loan Nos. 1644-1652 Inc.
Dec.
1,1929
June 1,1936
4.25
9,000.00
Water Additional Supply Nos. 115-116
June 15, 1921
June 15, 1936
5.75
2,000.00
Sewerage Loan No. 188
Aug. 1, 1908
Aug. 1,1936
4
1,000.00
Municipal Memorial Office Building Nos. 1508-1510
Sept. 1, 1928
Sept. 1, 1936
4.25
3,000.00
290
$ 96,800.00
Municipal Memorial Office Building Nos. 1403-1411 School Loan S. H. Nos. 1131-1137
Municipal Memorial Building Nos. 1261-1268 Completion New School Building Nos. 217-218 Completion New School Building No. 259 Sewerage Loan Nos. 47-48
Mar. 1, 1928
Sept. 15, 1936 3.75
9,000.00
Sept. 15, 1926
Sept. 15, 1936
4
7,000.00
Sept. 15, 1927
Sept. 15, 1936
3.50
8,000.00
Oct. 15, 1921
Oct. 15, 1936
5
2,000.00
Oct. 15, 1921
Oct. 15, 1936
4.25
1,000.00
Dec. 1, 1912
Dec. 1,1936
4.
2,000.00
School Building S. H. Nos. 819-824
Dec.
1,1925
Dec. 1,1936
4.25
6,000.00
$ 92,200.00
1937 School Loan S. H. Nos. 983-995
Feb. 1, 1926
Feb. 1,1937
4
$ 13,000.00
Schoolhouse Loan Nos. 387-389
April 1, 1918
April 1, 1937
5
2,600.00
Schoolhouse Loan Nos. 516-518
April 1, 1918
April 1, 1937
5
2,600.00
School Building S. H. Nos. 673-678
April 1, 1925
April 1, 1937
4
6,000.00
Norwood School Loan Nos. 333-334
May 15, 1922
May 15, 1937
4
2,000.00
Norwood School Loan No. 365
May 15, 1922
May 15, 1937
4.
1,000.00
Sewer Construction Nos. 402-403
June 1,1922
June 1,1937
4.25
2,000.00
Sewerage Loan Nos. 117-120 Inc.
June
1, 1907
June
1,1937
4
4,000.00
Schoolhouse Addition Loan Nos. 1653-1661 Inc.
Dec.
1,1929
June 1, 1937
4.25
9,000.00
Water Additional Supply Nos. 117-118
June 15, 1921
June 15, 1937
5.75
2,000.00
Sewerage Loan No. 189
Aug. 1, 1908
Aug. 1, 1937
4
1,000.00
Municipal Memorial Office Building Nos. 1511-1513
Sept. 1, 1928
Sept. 1, 1937
4.25
3,000.00
Municipal Memorial Office Building Nos. 1412-1420
Mar.
1, 1928
Sept. 15, 1937
3.75
9,000.00
School Loan S. H. Nos. 1138-1144
Sept. 15, 1926
Sept. 15, 1937
4
7,000.00
Municipal Memorial Building Nos. 1269-1276
Sept. 15, 1927
Sept. 15, 1937
3.50
8,000.00
Completion New School Building Nos. 219-220
Oct. 15, 1921
Oct. 15, 1937
5
2,000.00
Completion New School Building No. 260
Oct. 15, 1921
Oct. 15, 1937
4.50
1,000.00
Sewerage Loan Nos. 49-50
Dec.
1, 1912
Dec. 1,1937
4.
2,000.00
School Building S. H. Nos. 825-830
Dec. 1,1925
Dec. 1, 1937
4.25
6,000.00
$ 83,200.00
291
DETAILED STATEMENT OF TOWN DEBT, JANUARY 1930
Showing the Amounts Maturing Each Year
Year
Account
Date of Note
When Due
Rate
Total
1938 School Loan S. H. Nos. 996-1008
Feb. 1, 1926
Feb. 1, 1938
4
$ 13,000.00
School Building S. H. Nos. 679-684
April 1, 1925
April 1, 1938
4
6,000.00
Norwood School Loan Nos. 335-336
May 15, 1922
May 15, 1938
4
2,000.00
Norwood School Loan No. 366
May 15, 1922
May 15, 1938
4
1,000.00
Sewer Construction Nos. 404-405
June 1, 1922
June 1, 1938
4.25
2,000.00
Sewerage Loan Nos. 121-124 Inc.
June 1, 1907
June 1,1938
4
4,000.00
Schoolhouse Addition Loan Nos. 1662-1669 Inc.
Dec.
1,1929
June 1, 1938
4.25
8,000.00
Water Additional Supply Nos. 119-120
June 15, 1921
June 15, 1938
5.75
2,000.00
Sewerage Loan No. 190
Aug.
1, 1908
Aug. 1,1938
4
1,000.00
Municipal Memorial Office Building Nos. 1514-1516
Sept. 1, 1928
Sept. 1, 1938
4.25
3,000.00
Municipal Memorial Office Building Nos. 1421-1430 School Loan S. H. Nos. 1145-1151
Mar. 1, 1928
Sept. 15, 1938
3.75
9,000.00
Sept. 15, 1926
Sept. 15, 1938
4
7,000.00
Municipal Memorial Building Nos. 1277-1284
Sept. 15, 1927
Sept. 15, 1938
4
8,000.00
Completion New School Building Nos. 221-222
Qct. 15, 1921
Oct. 15, 1938
5
2,000 00
Completion New School Building No. 261
Oct. 15, 1921
Oct. 15, 1938
4.50
1,000.00
School Building S. H. Nos. 831-836
Dec. 1, 1925
Dec. 1,1938
4.25
6,000.00
1939
School Loan S. H. Nos. 1009-1021 School Building S. H. Nos. 685-690
Feb. 1,1926
Feb. 1, 1939
1
$ 13,000.00
April 1, 1925
April 1, 1939
4
6,000.00
Norwood School Loan Nos. 337-338
May 15, 1922
May 15, 1939
4
2,000.00
Norwood School Loan No. 367
May 15, 1922
May 15, 1939
4
1,000.00
Sewer Construction Nos. 406-407
June 1, 1922
June 1, 1939
4.25
2,000.00
292
$ 75,000.00
.
Sewerage Loan Nos. 125-128 Inc. Schoolhouse Addition Loan Nos. 1670-1677 Inc.
June 1, 1907
June 1, 1939 4
4,000.00
Dec. 1, 1929
June 1,1939
4.25
8,000.00
Aug. 1, 1908
Aug. 1,1939
4
1,000.00
Sept. 1,-1928
Sept. 1, 1939
4.25 3,000.00
Municipal Memorial Office Building Nos. 1431-1439
Mar. 1, 1928
Sept. 15, 1939
3.75
9,000.00
School Loan S. H. Nos. 1152-1158
Sept. 15, 1926
Sept. 15, 1939 4
7,000.00
Municipal Memorial Building Nos. 1285-1292
Sept. 15, 1927
Sept. 15, 1939
4 8,000.00
Completion New School Building Nos. 223-224
Oct. 15, 1921
Oct. 15, 1939
5
2,000.00
Completion New School Building No. 262
Oct. 15, 1921
Oct. 15, 1939
4.50
1,000.00
School Building S. H. Nos. 837-842
Dec. 1, 1925
Dec. 1, 1939
4.25
6,000.00
$ 73,000.00
1940 School Loan S. H. Nos. 1022-1032
Feb. 1, 1926
Feb. 1, 1940
4
$ 11,000.00
School Building S. H. Nos. 691-696 Norwood School Loan No. 368
April 1, 1925
April 1, 1940
1
6,000.00
Sewerage Construction Nos. 408-409
June 1, 1922
June 1,1940
4.25
2,000.00
Sewerage Loan Nos. 129-132 Inc. Schoolhouse Addition Loan Nos. 1678-1685 Inc.
June 1, 1907
June
1,1940
4
Dec.
1,1929
June
1, 1940
4
8,000.00
Sewerage Loan No. 192
Aug. 1,1908
Aug. 1,1940
4
1,000.00
Municipal Memorial Office Building Nos. 1520-1522
Sept. 1, 1928
Sept. 1, 1940
4.25
3,000.00
Mar. 1, 1928
Sept. 15, 1940
3.75
9,000.00
Sept. 15, 1926
Sept. 15, 1940
4
7,000.00
Sept. 15, 1927
Sept. 15, 1940
4
8,000.00
Completion New School Building Nos. 225-226
Oct. 15, 1921
Oct. 15, 1940
5
2,000.00
Completion New School Building No. 263
Oct. 15, 1921
Oct. 15, 1940
4.50
1,000.00
School Building S. H. Nos. 843-848
Dec. 1, 1925
Dec. 1, 1940
4.25
6,000.00
$ 69,000.00
293
May 15, 1922
May 15, 1940
4 1,000.00
4,000.00
Municipal Memorial Office Building Nos. 1440-1448 School Loan S. H. Nos. 1159-1165 Municipal Memorial Building Nos. 1293-1300
Sewerage Loan No. 191 Municipal Memorial Office Building Nos. 1517-1519
DETAILED STATEMENT OF TOWN DEBT, JANUARY 1930
Showing the Amounts Maturing Each Year
Account
Date of Note
When Due
Rate
Total
Year 1941 Norwood School Loan No. 369
May 15, 1922
May 15, 1941
4
$ 1,000.00
Sewer Construction Nos. 410-411
June 1, 1922
June 1, 1941
4.25
2,000.00
Sewer Loan Nos. 133-136 Inc.
June 1, 1907
June 1,1941
4
4,000.00
Schoolhouse Addition Loan Nos. 1686-1693
Dec. 1,1929
June 1,1941
4.25
8,000.00
Sewerage Loan No. 193
Aug.
1,1908
Aug. 1,1941
4
1,000.00
Municipal Memorial Office Building Nos. 1523-1525
Sept. 1, 1928
Sept. 1, 1941
4.25
3,000.00
Municipal Memorial Office Building Nos. 1449-1457 School Loan S. H. Nos. 1166-1172
Sept. 15, 1926
Sept. 15, 1941
4
7,000.00
Municipal Memorial Building Nos. 1301-1309
Sept. 15, 1926
Sept. 15, 1941
4
8,000.00
Completion New School Building Nos. 227-228 Completion New School Building No. 264
Oct. 15, 1921
Oct. 15, 1941
5
2,000.00
Oct. 15, 1921
Oct. 15, 1941
4.50
1,000.00
1942
Norwood School Loan No. 370
May 15, 1922
May 15, 1942
4
$ 1,000.00
June 1, 1922
June
1,1942
1.25
2,000.00
June 1, 1907
June 1,1942
4
4,000.00
Dec.
1,1929
June 1,1942
4.25
8,000.00
Aug.
1,1908
Aug.
1,1942
4
1,000.00
Municipal Memorial Office Building Nos. 1526-1528
Sept. 1, 1928
Sept. 1, 1942
4.25
3,000.00
Municipal Memorial Office Building Nos. 1458-1466 Municipal Memorial Building 1309-1315
Mar. 1, 1928
Sept. 15, 1942
3.75
9,000.00
Sept. 15, 1927
Sept. 15, 1942
4
7,000.00
$ 35,000.00
294
$ 46,000.00
Sewer Construction Nos. 412-413 Sewerage Loan Nos. 137-140 Inc. Schoolhouse Addition Loan Nos. 1694-1701 Inc. Sewerage Loan No. 194
Mar. 1, 1928
Sept. 15, 1941
3.75
9,000.00
1943 Sewerage Loan Nos. 141-144 Inc. Schoolhouse Addition Loan Nos. 1702-1709 Inc. Sewerage Loan No. 195 Municipal Memorial Office Building Nos. 1529-1531
June 1,1907
June 1, 1943
4
$ 4,000.00
Dec.
1,1929
June 1, 1943
4.25
8,000.00
Aug. 1, 1908
Aug. 1, 1943
4
1,000.00
Sept. 1, 1928
Sept. 1, 1943
4.25
3,000.00
1944
Sewerage Loan Nos. 145-149 Inc. Schoolhouse Addition Loan Nos. 1710-1717 Inc. Sewerage Loan No. 196
June
1,1907
June 1, 1944
4
$ 4,000.00
Dec
1,1929
June
1,1944
4.25
8,000.00
Aug. 1, 1908
Aug. 1, 1944
4
1,000.00
Municipal Memorial Office Building Nos. 1532-1534
Sept. 1, 1928
Sept. 1, 1944
4.25
3,000.00
$ 16,000.00
1945 Sewerage Loan Nos. 149-152 Inc.
June 1,1907
June
1, 1945
4
$ 4,000.00
Dec.
1,1929
June 1, 1945
4.25
8,000.00
Aug.
1,1908
Aug. 1, 1945
4
1,000.00
Municipal Memorial Office Building Nos. 1535-1537
Sept. 1, 1928
Sept. 1, 1945
4.25
3,000.00
1946
Sewerage Loan Nos. 153-155 Inc.
June
1,1907
June 1, 1946
4
$ 4,000.00
Dec.
1, 1929
June 1, 1946
4.25
8,000.00
Aug.
1,1908
Aug.
1, 1946
4
1,000.00
Municipal Memorial Office Building Nos. 1538-1539
Sept. 1, 1928
Sept. 1, 1946
4.25
2,000.00
$ 15,000.00
June 1, 1907
June 1, 1947
4
4,000.00
Dec. 1, 1929
June 1, 1947
4.25
8,000.00
295
Schoolhouse Addition Loan Nos. 1718-1725 Inc. Sewerage Loan No. 197
$ 16,000.00
Schoolhouse Addition Loan Nos. 1726-1733 Inc. Sewerage Loan No. 198
1947 Sewerage Loan Nos. 157-160 Inc. Schoolhouse Addition Loan Nos. 1734-1741 Inc.
$ 16,000.00
DETAILED STATEMENT OF TOWN DEBT, JANUARY 1930
Showing the Amounts Maturing Each Year
Year Account
Date of Note
When Due
Rate
Total
1947 Sewerage Loan No. 199
Aug. 1, 1908
Aug. 1, 1947
4
1,000.00
Municipal Memorial Office Building Nos. 1540-1541
Sept. 1, 1928
Sept. 1, 1947
4.25
2,000.00
$ 15,000.00
1948
Schoolhouse Addition Loan Nos. 1742-1749 Inc. Sewerage Loan No. 200
Dec. 1,1929
June
1, 1948
4.25
$ 8,000.00
Aug.
1, 1908
Aug.
1, 1948
4
1,000.00
1949 Schoolhouse Addition Loan Nos. 1750-1757 Inc.
Dec. 1, 1929
June 1, 1949 4.25
8,000.00
Total Fixed Debt, December 31, 1929
$1,227,900.00
$ 9,000.00
296
CLASSIFIED SUMMARY OF FIXED DEBT
Year
Sewer $ 11,000.00
Water $12,000.00 10,000.00
$ 69,700.00
$ 4,000.00
$ 23,000.00
$ 3,000.00
$ 122,700.00
1931
11,000.00
69,700.00
4,000.00
23,000.00
3,000.00
120,700.00
1932
9,000.00
10,000.00
66,700.00
4,000.00
21,000.00
3,000.00
113,700.00
1933
9,000.00
5,000.00
64,800.00
2,000.00
20,000.00
3,000.00
103,800.00
1934
9,000.00
5,000.00
63,800.00
2,000.00
20,000.00
2,000.00
101,800.00
1935
9,000.00
5,000.00
62,800.00
20,000.00
96,800.00
1936
9,000.00
2,000.00
61,200.00
20,000.00
92,200.00
1937
9,000.00
2,000.00
52,200.00
20,000.00
83,200.00
1938
7,000.00
2,000.00
46,000.00
20,000.00
75,000.00
1939
7,000.00
46,000.00
20,000.00
73,000.00
1940
5,000.00
44,000.00
20,000.00
69,000.00
1941
5,000.00
21,000.00
20,000.00
46,000.00
1942
5,000.00
11,000.00
19,000.00
35,000.00
1943
5,000.00
8,000.00
3,000.00
16,000.00
1944
5,000.00
8,000.00
3,000.00
16,000.00
1945
5,000.00
8,000.00
3,000.00
16,000.00
1946
5,000.00
8,000.00
2,000.00
15,000.00
1947
5,000.00
8,000.00
2,000.00
15,000.00
1948
1,000.00
8,000.00
9,000.00
1949
8,000.00
8,000.00
$131,000.00
$53,000.00
$734,900.00
$16,000.00
$279,000.00
$14,000.00
$1,227,900.00
Schools
Highways
Municipal Memorial Building
Memorial Park
Total
1930
297
OUTSTANDING DEBT Summary Showing Amounts Maturing Each Year, Classified as Regard to
Maturities
Inside
Outside
Year
Each Year
Debt Limit
Debt Limit
Public Service
General Purpose
1930
$122,700.00
$ 63,365.00
$ 59,335.00
$12,000.00
$ 110,700.00
1931
120,700.00
63,365.00
57,335.00
10,000.00
110,700.00
1932
113,700.00
58,180.00
55,520.00
10,000.00
103,700.00
1933
103,800.00
53,280.00
50,520.00
5,000.00
98,800.00
1934
101,800.00
52,095.00
49,705.00
5,000.00
96,800.00
1935
96,800.00
48,095.00
48,705.00
5,000.00
91,800.00
1936
92,200.00
46,495.00
45,705.00
2,000.00
90,200.00
1937
83,200.00
37,495.00
45,705.00
2,000.00
81,200.00
1938
75,000:00
31,295.00
43,705.00
2,000.00
73,000.00
1939
73,000.00
31,295.00
41,705.00
73,000.00
1940
69,000.00
29,295.00
39,705.00
69,000.00
1941
46,000.00
23,295.00
22,705.00
46,000.00
1942
35,000.00
22,000.00
13,000.00
35,000.00
1943
16,000.00
11,000.00
5,000.00
16,000.00
1944
16,000.00
11,000.00
5,000.00
16,000.00
1945
16,000.00
11,000.00
5,000.00
16,000.00
1946
15,000.00
10,000.00
5,000.00
15,000.00
1947
15,000.00
10,000.00
5,000.00
15,000.00
1948
9,000.00
8,000.00
1,000.00
9,000.00
1949
8,000.00
8,000.00
8,000.00
$1,227,900.00
$628,550.00
$599,350.00
$53,000.00
$1,174,900.00
298
299
STATEMENT OF MONEY BORROWED
Amounts Authorized
Anticipation of Revenue Chap. 44, General Laws $981,730.64
Addition to Junior High School Building Vote of June 15, 1928 (General Laws, Chap. 44, Sec. 7 Cl. 4) 168,000.00
New Elementary School Building
Vote of October 2, 1928 (General Laws, Chap. 44, Sec. 7 Cl. 4) 59,000.00
Amounts Borrowed Under Authority of Vote to Borrow in Anticipation of Revenue
January 25, 1929
Sold to First National Corporation $125,000.00
Date of Issue, January 25, 1929
Date Due, November 25, 1929
Notes No. 1543-1551, inclusive
Discount at 4.81
February 21, 1929
Sold to First National Corporation 75,000.00
Date of Issue, February 21, 1929
Date Due, November 6, 1929
Notes No. 1552-1558, inclusive
Discounted at 5.25
March 28, 1929
Sold to First National Corporation 75,000.00
Date of Issue, March 28, 1929
Date Due, November 6, 1929
Notes No. 1559-1563
Discounted at 5.61
May 2, 1929
Sold to First National Corporation. 75,000.00
Date of Issue, May 2, 1929
Date Due, November 15, 1929
Notes No. 1564-1565, 1567-1569 Discounted at 5.37
June 1, 1929
Sold to Old Colony Corporation 75,000.00
Date of Issue, June 1, 1929 Date Due, December 2, 1929 Notes 1570-1576 Discounted at 5.92
300
1
July 5, 1929
Sold to Merchants National Bank
75,000.00
Date of Issue, July 5, 1929 Date Due, December 2, 1929 Notes No. 1578-1580 Discounted at
August 22, 1929
Sold to Merchants National Bank. 75,000.00
Date of Issue, August 22, 1929
Date Due, December 16, 1929
Notes No. 1585-1587
Discounted at 5.69
December 20, 1929
Sold to Merchants National Bank
75,000.00
Date of Issue, December 20, 1929
Date Due, November 5, 1930
Notes No. 1758-1760
Discounted at 3.90
In Anticipation of Note Issue
June 20, 1929
Sold to Merchants National Bank . $ 50,000.00
Date of Issue, June 20, 1929
Date Due, December 10, 1929
Note No. 1577
Discounted at 5.80
July 25, 1929 (date of sale)
Sold to Merchants National Bank 50,000.00
Date of Issue, June 20, 1929
Date Due, December 10, 1929
Notes No. 1581-1584
Discounted at 5.34
September 26, 1929
Sold to Merchants National Bank . 50,000.00
Date of Issue, September 26, 1929
Date Due, December 10, 1929
Notes No. 1588-1589
Discounted
Addition to Junior High School
December 1, 1929
Sold. Payable at First National Bank of Boston $168,000.00
Formal Date of Issue June 1, 1929 Due $9,000.00 each year 1930-1937 Due $8,000.00 each year 1938-1949 Notes No. 1590-1757, inclusive Rate 4.25 per cent
THE LIMITATION OF INDEBTEDNESS
Under Section 10, Chapter 44, General Laws, the amount which the Town may borrow in addition to the present debt is as follows:
The valuation of the three preceding years, reduced by abatements to December 31, 1929, are as follows:
1927 Real Estate and Personal.
$26,285,554.00
1928 Real Estate and Personal. .
26,795,025.00
1929 Real Estate and Personal . .
26,452,420.00
1929 Excise Tax, Motor Vehicles .
1,351,353.00
Total
$80,884,352.00
The average of which is the debt limit, namely .
808,843.00
Total debt issued to December 31, 1929
$1,227,900.00
Debt authorized (school) ...
59,000.00
$1,286,900.00
Issued and authorized under authority outside of Debt Limit.
599,350.00
$ 687,550.00
687,550.00
Available borrowing capacity within the Limit of Indebtedness .
$ 121,293.00
301
302
NORWOOD TOWN REPORT Receipts and Expenditures for Year Ending December 31, 1929 Receipts
Revenue for Expenses Outlays Totals
GENERAL REVENUE
Taxes
1929 Levy Motor Vehicle Excise
$ 32,534.75
1929 Levy Property
632,125.22
1929 Levy Polls
8,976.00
Total
673,635.97
State and County Taxes as
receipts are shown elsewhere
and are here deducted, viz .:
64,371.24
Net
609,264.73
$609,264.73
1928 Levy Collections
118,916.50
1927 Levy Collections
30,993.64
1926 Levy Collections
31.02
1925 Levy Collections
25.18
149,966.34 149,966.34
From Commonwealth of Massachusetts
Corporation Tax
Business, 1929
74,432.02
Business, 1928
4,462.51
Public Service, 1929
3,552.30
Public Service, 1928
2.12
Income Tax
1929
108,118.39
Previous Years
5,460.31
National Bank Tax, 1929
4,150.91
National Bank Tax Previous
Years
25.72
Street Railway Tax
526.24
200,730.52
Total Tax Revenues 959,961.59
303
ACCOUNTANT'S REPORT Receipts
Revenue for Expenses Outlays Totals
GENERAL REVENUE-Continued
Licenses
Auto Sales
$ 95.00
Auctioneers
4.00
Common Victuallers
106.00
Denatured Alcohol
10.00
Explosives
27.50
Junk Collectors
105.00
Inn Holders
4.00
Milk Licenses
76.50
Transportation
64.00
Peddlers
35.00
Pool
42.00
Public Amusements
298.00
Public Amusements G. D.
83.50
Sunday Sales
95.00
Other
4.00
1,049.50
$ 1,049.50
Fines
District Court and Sheriff Fines
2,764.00
2,764.00
Grants and Gifts
Dog License Fees
1,110.25
1,110.25
From Municipal Lighting Depart-
ment in lieu of Taxes
10,150.00
10,150.00
Total for Other General Revenues
15,073.75
Total Tax Revenues Forward
959,961.59
Total for General Revenue
975,035.34
304
NORWOOD TOWN REPORT Receipts
Revenue for Expenses Outlays Totals
COMMERCIAL REVENUES
Moth Assessments
Levy of year 1929
$ 690.68
Levy of year 1928
81.05
Levy of year 1927
29.15
$ 700.88
Sewer Assessments
Assessment
1,377.85
Advance Apportionments
753.29
Apportionments, 1929
1,286.20
Apportionments, 1928
497.04
Apportionments, 1927
154.64
4,069.02
Sidewalk Assessments
Assessments
991.06
Advance Apportionments
61.36
Apportionments, 1929
186.35
Apportionments, 1928
53.47
1,292.24
Street Betterments
Assessments
170.00
Advance Apportionments
2,397.20
Apportionments, 1929
811.30
Apportionments, 1928
619.12
3,997.62
Park Betterments
Advance Apportionments
767.50
Apportionments, 1928
186.00
953.50
Total for Commercial Revenue
11,013.26
305
ACCOUNTANT'S REPORT Receipts
Revenue for Expenses Outlays
Totals
DEPARTMENTAL REVENUE
General Government
Costs of Advertising
$ 7.00
$ 7.00
General Manager Incidentals
Return of Cash Advance
50.00
Telephone Tolls
35.60
85.60
Town Clerk and Accountant
Marriage Intentions
$ 151.00
Recording Fees
212.39
Telephone Tolls
47.13
Dog License Fees
134.00
Advertising
3.50
Sporting License Fees
165.75
Treasurer and Collector
Costs
1,297.98
Statements of Liens
17.00
Fees
17.00
1,331.98
Town Office Building
Telephone Tolls
3.86
Rest Room Receipts
.60
Sale of Material
83.50
87.96
Engineering
Sale of Maps and Plans
14.79
14.79
Total for General Government
2,241.10
713.77
306
NORWOOD TOWN REPORT
Receipts
Revenue for Expenses Outlays Totals
PROTECTION OF PERSONS AND PROPERTY
Police Department
Ambulance Hire
$ 265.81
Telephone Tolls
332.64
Damage to Property
111.36
Service Personal
342.35
Service Personal G. D.
S77.50
$
1,929.66
Fire Department
Sale of Chemicals
34.95
Telephone Tolls
27.35
Sale of Material
5.50
67.80
Forestry
Sale of Chemicals
4.80
Services
80.84
Sale of Material
7.50
Services Personal
38.00
131.14
Sealer of Weights and Measures Fees
128.94
128.94
Armory
Reimbursement by Commonwealth
for Rented Armory
900.00
900.00
Total for Protection of Persons and Property
3,157.54
307
ACCOUNTANT'S REPORT
Receipts
Revenue for Expenses Outlays Totals
HEALTH AND SANITATION Health
Dental Clinic Fees
$ 998.84
Eye Clinic Fees
63.50
Subsidy Tuberculosis (State)
1,905.01
Hospital Care
269.00
Telephone Tolls
2.75
Sale of Furnishings
13.48
Plumbing Fees
20.00
$ 3,272.58
Sanitation
Sewer Construction, Sale of Ma-
terial
$ 66.44
Entrance Fees
230.18
296.62
Drain Construction
Service and Material
132.84
132.84
Particular Sewers
Service and Material
637.97
Service and Material, G. D.
3,521.11
4,159.08
Removal of Ashes
Sale of Coupon Books, G. D.
1,297.75
1,297.75
Totals for Health and Sanitation
4,570.33
4,588.54
9,158.87
308
NORWOOD TOWN REPORT Receipts
Revenue for Expenses Outlays Totals
HIGHWAYS
Sale of Equipment
$ 6.00
Use of Equipment
198.24
Repairs of Trenches
266.82
Oiling Drives
619.40
Sale of Containers
11.00
Telephone Tolls
5.30
Service and Material
597.06
Snow Removal (Street Railway)
282.42
Property Damage
53.60
Service and Material, G. D.
460.00
Crusher Operation
55.42
Sidewalk Construction
$ 23.65
Sidewalk Construction, G. D.
71.28
Washington Street Widening
From County of Norfolk
2,691.25
Totals for Highways
2,555.26
2,786.18 $ 5,341.44
PUBLIC WELFARE
Care of State Settled Cases
Temporary Aid
2,215.43
Dependent Mothers' Aid
5,256.18
Other Municipalities
173.38
Soldiers' Benefits
12.00
Totals for Public Welfare
7,656.99
7,656.99
12,998.43
309
ACCOUNTANT'S REPORT
Receipts
Revenue for Expenses Outlays Totals
EDUCATION
Tuition
State Wards
$ 522.08
City of Boston Wards
1,265.78
Other Towns
846.53
From State for
Approved Adult English Classes
2,626.58
Smith Hughes Fund
59.21
From Sales of
Instruction Supplies
2.74
Text Books
51.33
Manual Training Supplies
435.25
Telephone Service
17.96
Damage to Personal Property
40.00
Rental of Building
5.00
Return of Cash Advance
50.00
Other Receipts
6.90
Insurance on Fire Loss
$66,811.55
Sale of Structures for Demolition
25.00
Sale of Material
51.00
Income High School English Fund
21.25
Totals for Education
5,950.61
66,887.55
$72,838.16
LIBRARIES
Fines
583.00
Book Replacements
19.61
Chickering Fund Income
10.70
Return of Cash Advance
10.00
Sale of Material
9.50
W. H. Cudworth Fund Income
45.40
678.21
678.21
Totals for Libraries
PLAYGROUNDS AND PARKS
Public Playgrounds
Sale of Material
77.50
Parks
Norwood Camp Fire Girls' Gift
500.00
Sale of Material
11.30
Total for Playgrounds and Parks
588.80
310
NORWOOD TOWN REPORT
Receipts
Revenues for Expenses Outlays
Totals
PUBLIC SERVICE
Electric Light
Electric Energy Sales
$243,032.84
Lamp Sales
1,422.49
Pole Rentals
1,005.10
Jobbing
187.82
Overhead Structures Credit
$ 1,810.19
Maintenance of Distribution Lines
2,214.52
Stock
694.26
Penalties
109.06
Telephone Tolls
64.65
Office Expense
102.86
Street Light Fixtures
87.70
Reconnecting Charges
74.00
Total for Electric Light Water Works
248,995.30
1,810.19
$250,805.49
Water Rates
80,692.05
Water Sales
8.33
Water Sales, G. D.
21.00
Hydrant Service
8,500.00
Fees and Penalties
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