USA > Massachusetts > Norfolk County > Norwood > Norwood annual report 1930-1932 > Part 40
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10 Willis Elmer Bonney
60
7
12
12 Frances McKenzie
12 Mary L. Nickerson
59
-
-
14 Paul Ignatz Zinko
39
5
15
16 Stillborn
20 Stillborn
21 Catherine McDonough
55
22 Joseph Casp
39
22 Eugenia L. Barnes
88
22 Joseph Gudaitis
43
23 Rose A. Friary
62
24 George D. Perry
52
24 Elizabeth G. Fifield
38
25 John F. Hayes
-
26 Mary Dailidennes Bartaskas
43
27 Lillias Banning Hammond
37
5
2
28 Jessie L. Frost
65
Oct. 4 Michael Renaghan
65
-
-
-
-
-
-
-
10 Peter Brynjulfsin
45
21 Alfred T. Harriott
64
-
-
11
-
-
3
13 Stillborn
43
8
25
4
54
DEATHS REPORTED IN THE TOWN OF NORWOOD, 1931
Date
Name
Yrs.
Mos.
Days
Oct. 10
Patricia A. Dolaher
1
6
13 Dora Pfeiffer
40
16 Eva Sophie Carlson
29
12
17 Eugenio Donicelli
56
18 Ralph Grandville Thomas
-
1
7
18 Emil Johnson
69
20 Edward J. Riley
18
21 Edward B. Ellis
5
5
21 Mary E. Hartnett
63
6
18
21
Alphonso H. Whitney
45
6
20
21 Milton Cushing
12
11
24
Francis A. Massey
59
-
26
Frederic Copeland Cobb
63
16
26 William Alexander Cherry
43
6
7
28 Jeremiah Cronin
58
28
Selma Maria Anderson
51
11
22
31
Henry E. Sanborn
54
Nov. 2 Catherine Robinson
70
2 Patrick Houlihan
61
3 Anna M. Sopp
63
10
26
4
Nora O'Brien
73
-
-
-
1
5
6 Jane Ellen Foss
72
9
16
10 Paul Krupowich
21
6
20
10 Catherine Gavelene
62
11
25
12
Charity R. Maxwell
85
13
Eugene M. Murphy
74
4
7
18 Mary J. Flaherty
66
19
Festus F. Lydon
48
22
Ellen Thompson
55
27 Stillborn
-. .
Dec.
1 Mary Cullinane
36
-
2 Granville Lewis Ellis
65
3
16
4 John Reid
92
7 Cole (M)
-
20 hrs.
7 Helen Annie Staula
30
5
9
9 Ernestine Caulfield
44
11
Franz Wagener
72
-
-
-
-
4 Melio (F)
10 min.
.5 Anne Elizabeth Swenor
-
14 Emma Maria Bateman
71
-
-
21 Sarah A. Prue
51
55
DEATHS REPORTED IN THE TOWN OF NORWOOD, 1931
Date
Name
Yrs. Mos. Days
Dec. 12 John H. Smith, 2nd
14
-
-
12 Thomas Edward Smith
-
3
14 Milton Harrington Howard
80
3
6
20 Harriet R. Swett
64
-
-
21 Michael Hayes
65
22 Caroline Q. Otis
73
5
1
22 Charles E. Otis
71
-
26 Harriett Elizabeth Merrill
85
2
3
28 Hayes (M)
-
-
1 hr.
29 Sarah P. Bigelow
70
Total number of deaths. Of which deaths
215
13S were residents of Norwood who died in Town.
29 were residents of Norwood who died in other places.
48 were non-residents of Norwood who died in Norwood.
Total number of births. Of which births
472
248 were residents of Norwood whose birth occurred in Norwood. 19 were residents of Norwood whose birth occurred in other towns. 205 were non-residents of Norwood whose birth occurred in Norwood.
-
TWENTIETH REPORT
- of -
The Town Accountant
- of the -
TOWN OF NORWOOD
CLASSIFIED SUMMARY OF TOWN DEBT
Memorial Municipal
Year
School
Building
Sewer
Water
· Highways
Parks and Playgrounds
Total
1932
76,700.00
21,000.00
17,600.00
16,000.00
17,500.00
9,000.00
157,800.00
1933
74,800.00
20,000.00
14,000.00
11,000.00
15,400.00
9,000.00
144,200.00
1934
73,800.00
20,000.00
12,000.00
11,000.00
10,500.00
8,000.00
135,300.00
1935
72,800.00
20,000.00
12,000.00
10,000.00
7,000.00
6,000.00
127,800.00
1936
71,200.00
20,000.00
9,000.00
2,000.00
1,500.00
5,000.00
108,700.00
1937
62,200.00
20,000.00
9,000.00
2,000.00
5,000.00
98,200.00
1938
56,000.00
20,000.00
7,000.00
2,000.00
5,000.00
90,000.00
1939
56,000.00
20,000.00
7,000.00
5,000.00
88,000.00
1940
53,000.00
20,000.00
5,000.00
5,000.00
83,000.00
1941
25,000.00
20,000.00
5,000.00
50,000.00
1942
15,000.00
19,000.00
5,000.00
39,000.00
1943
12,000.00
3,000.00
5,000.00
20,000.00
1944
8,000.00
3,000.00
5,000.00
16,000.00
1945
8,000.00
3,000.00
5,000.00
16,000.00
1946
8,000.00
2,000.00
5,000.00
15,000.00
1947
8,000.00
2,000.00
5,000.00
15,000.00
1948
8,000.00
1,000.00
9,000.00
1949
8,000.00
8,000.00
$696,500.00
$233,000.00
$128,600.00
$54,000.00
$51,900.00
$57,000.00
$1,221,000.00
59
OUTSTANDING DEBT Summary Showing Amounts Maturing Each Year
Maturities
Year
Each Year
Inside Debt Limit
Outside Debt Limit
Public Service
General Purpose
1932
157,800.00
96,280.00
61,520.00
16,000.00
141,800.00
1933
144,200.00
87,680.00
56,520.00
11,000.00
133,200.00
1934
135,300.00
79,595.00
55,705.00
11,000.00
124,300.00
1935
127,800.00
74,095.00
· 53,705.00
10,000.00
117,800.00
1936
108,700.00
62,995.00
45,705.00
2,000.00
106,700.00
1937
98,200.00
52,495.00
45,705.00
2,000.00
96,200.00
1938
90,000.00
46,295.00
43,705.00
2,000.00
88,000.00
1939
88,000.00
46,295.00
41,705.00
88,000.00
1940
83,000.00
43,295.00
39,705.00
83,000.00
1941
50,000.00
27,295.00
22,705.00
50,000.00
1942
39,000.00
26,000.00
13,000.00
39,000.00
1943
20,000.00
15,000.00
5,000.00
20,000.00
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
$1,221,000.00
$715,320.00
$505,680.00
$54,000.00
$1,167,000.00
60
SCHOOL DEBT December 31, 1931
Original Issue
Date of Issue
Purpose of Loan
Rate 4.25
Numbers
Date of Maturity
Outstanding Dec. 31, 1931
$ 57,000.00
Apr. 20, 1913
Balch School
92
Dec. 30, 1932
$ 1,900.00
24,000.00
May 15, 1916
Junior High School Site
4
782-186
May 16, 1936
5,400.00
125,000.00
Apr. 1, 1918
Junior High School Bldg.
5
352-389
Apr. 1, 1937
36,600.00
125,000.00
Apr. 1, 1918
Junior High School Bldg.
5
481-518
Apr. 1, 1937
36,600.00
40,000.00
Oct. 15, 1921
Junior High School Bldg.
5
211-230
Oct. 15, 1941
20,000.00
20,000.00
Oct. 15, 1921
Junior High School Bldg.
4.50
255-264
Oct. 15, 1941
10,000.00
45,000.00
May 15, 1923
Balch Addition
4
326-347
May 15, 1942
22,000.00
25,000.00
May 15, 1923
Balch Addition
4
362-372
May 15, 1942
11,000.00
100,000.00
Apr. 1,1925
Senior High School Bldg.
4
639-696
Apr.
1,1940
58,000.00
100,000.00
Apr. 1, 1925
Senior High School Bldg.
4.25
792-848
Apr.
1, 1940
57,000.00
130,000.00
Feb. 1,1926
Senior High School Bldg.
4
918-982
Feb.
1,1936
65,000.00
50,000.00
Feb. 1, 1926
Senior High School Bldg.
4
983-1032
Feb. 1, 1940
50,000.00
119,000.00
Sept. 15, 1926
Senior High School Bldg.
4
1101-1172
Sept. 15, 1941
72,000.00
159,000.00
June 1, 1929
Addition to Jr. H. S. Bldg.
4.25
1608-1757
June 1, 1949
150,000.00
59,000.00
Aug. 1, 1930
C. M. Callahan School Bldg.
4
1823-1875
Aug. 1, 1940
53,000.00
48,000.00
Aug. 15, 1931
Addition Senior High School
3.75
2001-2048
Aug. 15, 1943
48,000.00
$696,500.00
61
SEWER DEBT
December 31, 1931
Original Issue $160,000.00
Date of Issue
Purpose of Loan
Rate
Numbers 97-160
Date of Maturity
Outstanding Dec. 31, 1931
Sewer Construction
4
June 1, 1947
$ 64,000.00
40,000.00
Aug.
1, 1908
Sewer Construction
4
184-200
Aug. 1, 1948
17,000.00
40,000.00
Dec.
1,1912
Sewer Construction
4
39-50
Dec.
1,1937
12,000.00
34,000.00
June 1,1922
Sewer Construction
4.25
392-407
June 1,1939
16,000.00
17,000.00
June 1,1930
Sewer Construction
4
1780-1792
June 1,1935
13,000.00
7,000.00
Dec. 15, 1930
Sewer Construction
4
1969-1972
Dec. 15, 1933
4,000.00
2,600.00
Dec. 1, 1931
Sewer Construction
4.5
2066-2067
Dec. 1, 1933
2,600.00
WATER DEBT December 31, 1931
Original Issue
Date of Issue
Purpose of Loan
Rate
Numbers 77-80 107-120
Sept. 1, 1932
$ 4,000.00
34,100.00
June 15, 1921
Filter Plant, Additional Wells
5.75
June 15, 1938
14,000.00
10,000.00
Mar. 20, 1922
Extension of Mains
4.50
Mar. 20, 1932
1,000.00
40,000.00
July 1, 1925
Add. Filter and Pumping Plant
4
July 1, 1935
12,000.00
25,000.00
Dec. 15, 1930
Extension of Mains
4
1946-1965
Dec. 15, 1935
20,000.00
3,000.00
Dec. 1, 1931
Extension of Mains
4.50
2068-2070
Dec. 1, 1934
3,000.00
Date of Maturity
Outstanding Dec. 31, 1931
$ 80,000.00
Sept. 1, 1911
Additional Supply
4
294 731-742
$ 54,000.00
.
62
$128,600.00
June 1, 1907
MEMORIAL MUNICIPAL BUILDING DEBT
Original Issue $119,000.00
Date of Issue
Purpose of Loan
Rate
Numbers
Date of Maturity
Outstanding $ 87,000.00
140,000.00
Mar. 15, 1928
Construction of Building 3.75
1367-1466
Mar. 15, 1942
100,000.00
55,000.00
Sept. 1, 1928
Construction of Building 4.25
1496-1541
Sept. 1, 1947
46,000.00
$233,000.00
HIGHWAY CONSTRUCTION December 31, 1931
Purpose of Loan
Rate
Numbers 588
Date of Maturity Nov. 1, 1934
Outstanding $ 8,000.00
Original Construction
4
Original Construction and Paving
4
1798-1813
June 1,1935
16,000.00
13,500.00
Aug. 1, 1931
Street Pavement
3.50
1987-2000
Aug. 1, 1936
13,500.00
9,900.00
Sept. 15, 1931
Original Construction
3.5
2053-2062
Sept. 15, 1933
9,900.00
4,500.00
Dec. 1, 1931
Original Construction
4.5
2071-2073
Dec. 1, 1934
4,500.00
$ 51,900.00
PLAYGROUND PURCHASE
Original Issue $ 55,500.00
Date of Issue
Purpose of Loan Purchase of Civic Property
Rate 4
Numbers 1883-1931
Date of Maturity Aug. 1, 1940
Outstanding $ 49,000.00
. PARK MEMORIAL
Original Issue $ 29,000.00
Date of Issue
Purpose of Loan
Rate
Numbers 545-552
Date of Maturity Nov. 1, 1934
Outstanding $ 8,000.00
63
,
Aug. 1, 1930
Nov. 1, 1924
Purchase of Land
4
3.25 and 4
1229-1315
Sept. 15, 1942
Sept. 15, 1927
Construction of Building
Original Issue $ 36,000.00 21,000.00
Date of Issue
Nov. 1, 1924
June 1, 1930
DEBT MATURING IN THE YEAR-1932
Purpose of Loan
Date of Issue
When Due
Rate
Amt. Due
School
O. D. L.
918-930
Sen. High
Feb. 1,1926
Feb. 1,1932
4 $ 13.000.00
Water
O. D. L.
294
Ext. of Mains
Mar. 20, 1922
Mar. 20, 1932
4.5
1,000.00
School
352-358
Junior High
Apr. 1, 1918
Apr. 1, 1932
5
6,800.00
School
481-487
Junior High
Apr. 1, 1918
Apr. 1,1932
5
6,800.00
School
639-645
Senior High
Apr. 1, 1925
Apr. 1,1932
1
7,000.00
School
182
Junior High Sitc
May 15, 1916
May 15, 1932
4
1,200.00
School
326-327
Balch Addition
May 15, 1922
May 15, 1932
1
2,000.00
School
O. D. L.
362
Balch Addition
May 15, 1922
May 15, 1932
1
1,000.00
Sewer
O. D. L.
97-100
June 1, 1907
June 1,1932
4
4,000.00
Sewer
392-393
Junc 1, 1922
June 1, 1932
4.25
2,000.00
School
1608-1616
Add. Junior High
Junc 1, 1929
June 1,1932
4.25
9,000.00
Highway
1798-1801
June 1,1930
June
1,1932
4
4,000.00
Sewer
1780-1783
June 1,1930
June 1, 1932
4
4,000.00
Water
O. D. L.
107-108
Filter Plant
June 15, 1921
June
1,1932
5.75
2,000.00
Water
O. D. L.
731-733
Filter Plant No. 2
July 1, 1925
July
1,1932
4
3,000.00
Sewer
O. D. L.
184
Aug.
1,1908
Aug.
1,1932
4
1,000.00
School
1823-1828
East Side Elem.
Aug.
1,1930
Aug.
1,1932
4
6,000.00
Playground
1883-1888
Aug. 1,1930
Aug. 1,1932
4
6,000.00
Highway
1987-1989
Street Pavement
Aug. 1,1931
Aug. 1,1932
3.5
3,000.00
School
2001-2004
Senior High Add.
Aug. 15, 1931
Aug. 15, 1932
3.75
4,000.00
Water
O. D. L.
77-80
Additional Supply
Sept. 1, 1911
Sept. 1, 1932
4
4,000.00
M. M. Building
1496-1498
Construction
Sept. 1,1928
Sept. 1, 1932
4.25
3,000.00
Highways
2053-2062
Construction
Sept. 15, 1931
Scpt. 15, 1932
3.5
5,000.00
64
St. Pavement
Extension
Schools O. D. L. 1101-1108
Sept. 15, 1926
Sept. 15, 1932
4
8,000.00
M. M. Building
1367-1376
Sept. 15, 1928
Sept. 15, 1932 3.75
10,000.00
M. M. Building O. D. L.
1229-1236
Construction
Sept. 15, 1927
Sept. 15, 1932 3.50
8,000.00
School
O. D. L.
211-212 Junior High Add.
Oct. 15, 1921
Oct. 15, 1932
5
2,000.00
School
O. D. L.
255-
Junior High Add.
Oct. 15, 1921
Oct. 15, 1932
4.5
1,000.00
Park
545-547
Memorial Park
Nov. 1, 1924
Nov. 1,1932
4
3,000.00
Highway
581-583
Orig. Construction
Nov. 1, 1924
Nov. 1,1932
4
4,000.00
Highway
2071
Orig. Construction
Dec.
1,1931
Dec. 1,1932
4.5
1,500.00
Sewer
2066
Extensions
Dec.
1,1931
Dec.
1,1932
4.5
1,600.00
Water
O. D. L.
2068
Extensions
Dec.
1,1931
Dec.
1,1932
4.5
1,000.00
Sewer
O. D. L.
39-40
Extensions
Dec.
1,1912
Dec.
1,1932
4
2,000.00
School
O. D. L.
792-798
Senior High
Dec. 1,1925
Dec.
1,1932
4.25
7,000.00
Water
O. D. L.
1946-1950
Extensions
Dec. 15, 1930
Dec. 15, 1932
4
5,000.00
Sewer
1969-1971
Extension
Dec. 15, 1930
Dec. 15, 1932
4
3,000.00
School
92
Balch
Dec. 30, 1913
Dec. 30, 1932
4.25
1,900.00
Senior High Construction
$157,800.00
65
66
STATEMENT OF MONEY BORROWED
Amounts Authorized
Anticipation of Revenue of 1931
Chap. 44, General Laws. $1,015,414.40
Street Pavement, Macadam
Art. 6, D2, Adjourned Town Meeting March 18, 1931 . 13,500.00
Addition to School Building (Senior High)
Art. 1, Special Town Meeting April 1, 1931
48,000.00
Public Ways, Original Construction Nichols Street
Art. 5, Special Town Meeting July 27, 1931. 9,900.00
Public Ways, Original Construction GarSell Avenue Art. 4-5, Special Town Meeting November 6, 1931 4,500.00
Water, Extension of Mains
Art. 3, Special Town Meeting November 6, 1931. 3,000.00
Sewer System Art. 2, Special Town Meeting November 6, 1931 2,600.00
Amounts Borrowed Under Authority of Vote to Borrow In Anticipation of Revenue
February 4, 1931
On Notes 1974-1975.
$ 75,000.00
Date Due, November 4, 1931
Sold to Shawmut Corp.
Discounted at 2.36
March 9, 1931
On Notes 1976. 75,000.00
Date Due, November 4, 1931
Sold to Shawinut Corp.
Discounted at 2.25
April 13, 1931 On Notes 1977-78-79. 75,000.00
Date Due, November 4, 1931
Sold to Merchants Nat'l Bank
Discounted at 2.12
May 25, 1931 On Notes 1980-1981 100,000.00
· Date Due, November 23, 1931 Sold to Shawmut Corp. Discounted at 1.64
July 6, 1931 On Notes 1982-1986 75,000.00
Date Due, November 23, 1931 Sold to Bank of Commerce and Trust
Discounted at 1.925
67
August 24, 1931
On Notes 2049-2052. 100,000.00
Date Due, December 10, 1931
Sold to R. L. Day Co. Discounted at 1.69
October 24, 1931 On Notes 2063-2065 100,000.00
Date Due, October 23, 1932
Sold to Faxon Gade & Co.
Discounted at 5.75
Total $600,000.00
Street Pavement Loan
August 1, 1931
On Notes 1987-1992.
$ 13,500.00
32 per cent coupon, payable
$3,000 cach year 1932-1935
$1,500.00 in year 1936
Addition to School Building Senior High School
August 15, 1931 On Notes 2001-2048. 48,000.00
32 per cent coupon, payable
$4,000.00 each year 1932-1943
Public Ways, Construction
September 15, 1931 On Notes 2053-2062 9,900.00
32 per cent coupons, payable
$5,000.00 September 15, 1932
$4,900.00 September 15, 1933
December 1, 1931 On Notes 2071-2073. 4,500.00
42 per cent coupon, payable $1,500.00 December 1, 1932-1933-1934
Water Extension of Mains
December 1, 1931 On Notes 2068-2070. 3,000.00
42 per cent coupon, payable $1,000.00 cach year 1932-1933-1934
68
Sewer System
December 1, 1931
On Notes 2066-2067 . 4} per cent coupon, payable $1,600.00 December 1, 1932 $1,000.00 December 1, 1933
2,600.00
Highways, Anticipation of Reimbursement Chap. 44, 6A G. L.
December 30, 1931 On Note 2078. Date Due, June 30, 1932 Sold to Norwood Trust Company Discounted
1,600.00
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, 1931, are as follows:
1929 Real Estate and Personal . .
$26,416,920.00
1929 Motor Vehicle Excise Tax
1,340,807.00
1930 Real Estate and Personal .
26,699,081.00
1930 Motor Vehicle Excise Tax
1,218,013.00
1931 Real Estate and Personal .
26,662,254.00
1931 Motor Vehicle Excise Tax .
1,141,600.00
Total .
$83,478,675.00
Three Per Cent of the Average of which is the Debt Limit, namely
834,786.00
Total Debt Issued and Authorized to December 31, 1931 . $1,221,000.00
Authorized and Issued Outside of Debt Limit
505,680.00
$ 715,320.00
$ 715,320.00
Available Borrowing Capacity within Limit of Indebtedness .
$ 119,466.00
69
70
NORWOOD TOWN REPORT
Receipts and Expenditures for Year Ending December 31, 1931
Receipts
Revenue for Expenses Outlays Totals
GENERAL REVENUE
Taxes
1931 Property Tax (Collector)
$608,862.15
Property Tax, Tax Titles
(Treasurer)
4,137.72
Tax on Polls
8,964.00
Motor Vehicle Excise Tax
26,218.89
648,182.76
State and County Taxes are shown elsewhere as receipts and are deducted herewith
63,372.43
$584,810.33
1930 Property Tax (Collector)
133,632.06
Property Tax, Tax Titles (Treasurer)
16,150.10
Tax on Polls
30.00
Motor Vehicle Excise Tax
1,459.68
1929 Property Tax (Collector)
1,403.47
Property Tax, Tax Titles (Treasurer)
7,992.11
Motor Vehicle Excise Tax
168.11
1928 Property Tax, Tax Titles (Treasurer)
4,336.35
1927 Property Tax, Tax Titles (Treasurer)
2,548.98
1926 Property Tax, Tax Titles
42.63
Property Tax, Tax Titles
(Treasurer) Sundry
131.98
167,895.47
From Commonwealth of Massachusetts
Corporation Tax
Business, 1931
63,992.47
Public Service, 1931
4,413.62
Other
35.42
Business, 1930
231.16
Income Tax
1931
93,156.60
Banks, Tax
1,210.98
St. Rwy. Tax
56.39
163,096.64
Total Tax Revenues
915,802.44
71
ACCOUNTANT'S REPORT
Receipts
Revenue for Expenses Outlays Totals
GENERAL REVENUE-Continued
Licenses
Auto Sales
$ 130.00
Auctioneer
10.00
Common Victuallers and Inn Holders
71.00
Denatured Alcohol
13.00
Garage, Explosives, etc.
42.75
Junk
50.00
Milk
41.00
Peddlers
40.50
Public Amusements
297.00
Pool
87.00
Transportation
111.00
Transient Vendors
67.86
Sunday Sales
130.00
Other
63.00
$ 1,154.11
Fines
District and Superior Court
1,177.00
1,177.00
Grants
Dog License Returns
1,297.74
1,297.74
In Lieu of Taxes
13,000.00
13,000.00
Gasolene Tax from State for
Highway Purposes
9,962.24
9,962.24
Total
26,591.09
Total Tax Revenues Forward
915,802.44
Total for General Revenue
:
:
942,393.53
72
NORWOOD TOWN REPORT
Receipts
Revenue for Expenses Outlays Totals
COMMERCIAL REVENUES
Moth Assessments
1931 Levy
$ 438.05
1930 Levy
133.50
1929 Levy
.65
1929 Tax Titles
2.52
$ 574.72
Sewer Assessments
Unapportioned Assessments
5,051.91
Advance Apportionments
1,309.90
1931 Apportionments
1,190.94
1931 Tax Title Apportionments
155.60
1930 Apportionments
830.51
1930 Tax Title Apportionments
206.67
1929 Apportionments
5.85
1929 Tax Title Apportionments
54.85
1928 Apportionments
5.62
1928 Tax Title Apportionments
99.26
8,911.11
Sidewalk Assessments
Unapportioned Assessments
2,993.55
Advance Apportionments
389.29
1931 Apportionments
592.07
1930 Apportionments
258.93
4,233.84
Park Betterments
Advance Apportionments
549.50
1931 Tax Title Apportionments
68.00
1930 Tax Title Apportionments
56.10
1929 Tax Title Apportionments
56.10
729.70
Street Betterments
Unapportioned Assessments
1,673.02
Advance Apportionments
5,448.95
1931 Apportionments
709.23
1931 Tax Title Apportionments
731.00
1930 Apportionments
260.20
1930 Tax Title Apportionments
62.60
1929 Apportionments
6.70
1929 Tax Title Apportionments
333.60
1928 Tax Title Apportionments
305.00
9,530.30
Total for Commercial Revenue
23,979.67
73
ACCOUNTANT'S REPORT
Receipts
Revenue for Expenses Outlays
Totals
DEPARTMENTAL REVENUE
General Government Selectmen's Incidentals
Advertising General Manager
$ 13.00
$ 13.00
Telephone Tolls
42.39
Refund of Petty Cash Advance
50.00
.
92.39
Town Clerk and Accountant
Marriage Intention Fees
112.00
Recording Fees
297.09
Sporting License, Issue Fee
134.50
Dog Licenses, Issue Fees
134.20
Telephone Tolls
68.77
746.56
Town Treasurer and Collector of Taxes
Costs and Fees on General Taxes
1,403.15
Costs and Fees on Tax Titles re- deemed
553.31
Statements of Leins
12.00
Return of Premium on Bond of Previous Collector
396.00
2,364.46
Memorial Municipal
Office Building
Rest Room Receipts
23.26
Telephone Tolls
39.73
62.99
Engineering Department
Sales of Maps and Supplies
7.00
7.00
Total for General Government 3,286.40
74
NORWOOD TOWN REPORT
Receipts
Revenue for Expenses Outlays Totals
PROTECTION OF PERSONS AND PROPERTY
Police Department
Ambulance Service
$ 561.00
Personal Service
654.45
Property Damages
75.00
Telephone Tolls
145.16
Service and Material
4.83
$ 1,440.44
Fire Department
Sales of Chemicals
24.20
Telephone Tolls
25.44
Sales of Containers
1.50
Property Damages a /c Fire Alarm
18.60
69.74
Forestry
Services
106.70
Sales of Chemicals
4.74
111.44
Sealer of Weights and Measures Fees
114.49
114.49
Armory
Reimbursement on Account of
Rentals paid for Armory by
the Town in 1930
150.00
150.00
Total for Protection of Persons and Property
1,886.11
75
ACCOUNTANT'S REPORT
Receipts
Revenue for Expenses Outlays
Total
HEALTH AND SANITATION
Health
Dental Clinic
$ 451.91
Eye Clinic
34.50
Hospital Care
1,406.10
Tuberculosis Subsidy
3,375.66
Dangerous Diseases,
(Commonwealth of Mass.)
473.20
Plumbing Permit Fees
269.50
Total for Health
$ 6,010.87
Sanitation
Sewer Construction
Sales of Material
47.75
Entrance Fees
168.00
215.75
Surface Drainage
Sales of Material
17.79
17.79
Particular Sewers
Service and Material
1,509.55
1,509.55
Ash Removal
Sales of Coupon Books
853.50
853.50
Total for Sanitation
2,596.59
76
NORWOOD TOWN REPORT
Receipts
Revenue for Expenses Outlays Totals
HIGHWAYS
Use of Equipment
$ 20.00
Repairing Trenches
347.56
Oiling Drives
165.12
Sale of Containers
1.00
Service and Material
137.29
Snow Removal
158.65
Other General Receipts Gravel Pit Operation
52.00
Sales of Material Public Works
201.36
Telephone Tolls Garage
18.33
Gasolene Tax Refunds
264.00
Sales of Gas and use of Equip- ment
127.91
Granolithic Sidewalks
Repairs of Drive
10.95
Winter Street Widening
Commonwealth of Massachusetts
$ 5,657.46
County of Norfolk
5,657.46
Total for Highways PUBLIC WELFARE
1,504.17
11,314.92 $ 12,819.09
From Commonwealth of Massachusetts
Dependant Mother's Aid
3,962.40
Temporary
2,415.85
Other Municipalities
City of Cambridge
680.23
Town of Walpole
224.00
From Individuals
40.00
Total for Welfare 7,322.48
77
ACCOUNTANT'S REPORT
Receipts
Revenue for Expenses Outlays
Totals
EDUCATION
Tuition from
State Wards
$ 646.07
City of Boston Wards
1,273.06
Town of Walpole
257.20
Town of Westwood
2,980.18
Individuals Gen. Education
151.39
Individuals Gym Classes
238.00
Evening School Registration Fees
16.00
Commonwealth of Mass.
4,209.10
Sale of
Instruction Supplies
13.49
Manual Training Supplies
316.44
Other Supplies
5.55
Text Books
44.87
Telephone Tolls
40.13
Lunch Room Receipts
Balance from Previous Years
1,202.71
Receipts of Current Year
9,061.18
Petty Cash Advance Refunded
100.00
Rentals of School Buildings
233.00
Insurance Refund on Boilers
9.88
Sale of Everett School Building
75.00
Transportation
10.00
Refund of Petty Cash Advance
50.00
Smith Hughes Fund Income
71.15
Geo. H. Reid Fund Income
3.60
High School English Prize Income
21.25
Total for Education
$ 21,029.25
LIBRARIES
Book Replacements
85.06
Fincs
532.50
Income Chickering and Cudworth
Funds
33.61
Sale of Waste
2.00
Refund of Petty Cash Advance
10.00
Total for Libraries
Parks and Playgrounds
Rental of Tenement Property
385.00
Demolition of Structures
16.25
Tennis Court Rentals
247.00
Other
45.19
663.17
Total
693.44
78
NORWOOD TOWN REPORT
Receipts
Revenue for
Expenses
Outlays
Totals
PUBLIC SERVICE
Electric Light
Electric Energy Sales
$233,371.05
Penalties
130.80
Maint. of Overhead Structures
5,357.53
Maint. of Conduits
276.00
Operation of Transmission Lines
516.00
Office Expense
110.86
Repairs Street Lights
12.21
Maint. of Station Equipment
57.25
Sales of Stock
235.03
Maint. of Autos
40.50
Jobbing
74.65
Sales of Incandescent Lamps
1,262.33
Interest on Consumers' Deposits
202.00
Total for Electric Light
$241,646.21
Water
Water Rates
75,430.04
Hydrant Rentals
7,500.00
Fees On and Off
107.00
Sales of Junk
9.63
Service and Material Sales
2,034.43
Repairs of Hydrants
395.07
Penalties
89.20
Telephone Tolls
4.49
Total for Water
85,619.86
Cemeteries
Lots Sold
4,299.00
Graves Sold
667.00
Interments
2,140.00
Work Ordered
897.25
Telephone Tolls
39.91
Care of Lots
1,021.50
Interest on Perpetual Care Funds
1,148.37
Other
10.00
Total for Cemeteries 10,223.03
79
ACCOUNTANT'S REPORT
Receipts
Revenue for Expenses Outlays Totals
MUNICIPAL INDEBTEDNESS
Interest
On Taxes and Deferred Assess- ments
$ 6,727.29
Committed on Assessments
1,271.72
On Tax Titles
4,630.75
On General Deposits
1,023.97
On Corporation Taxes (Commonwealth of Mass.)
3.34
Acerued Interest on Loan 3
38.66
Total for Interest Debt
$ 13,695.73
Proceeds of Notes Sold for Anti-
cipation of 1931 Revenue
700,000.00
Anticipation of Reimbursement (Chap. 90) 1,600.00
701,600.00
School Purposes
48,000.00
Highway Purposes
27,900.00
Sewer Purposes
2,600.00
Water Purposes
3,000.00
81,500.00
Premiums
On Highway Loans
14.36
On School Loans
278.40
292.76
Total for Debt
783,392.76
Refunds
Certification of Notes
48.00
Electric Light Maint. (Insurance)
5,236.24
Engineering
18.00
Excise Tax Abatement Overpaid
2.00
Highways Maint.
5.60
Insurance
36.49
Playgrounds (Cash Advancee)
20.00
Police
9.00
Publie Works
12.00
School
26.97
Soldiers' Relief
50.00
Welfare, Publie
106.20
Total for Refunds 5,570.50
80
NORWOOD TOWN REPORT
Receipts
Revenue for Expenses Outlays Totals
AGENCY TRUST AND INVESTMENT
Old Age Assistance Tax
$ 4,423.00
State Tax
28,575.00
County Tax
34,797.43
Total $ 67,795.43
Trust
Bequests for Perpetual Care of Cemetery Lots 1,425.00
Electric Consumers' Deposits
4,015.00
Deposits received from Sundry Persons in Excess of Cost of
Service and Adjusted by Re- turn of Monies, viz .:
Police Service 5.00
Particular Sewer
288.48
Water Connections
198.93
Evening School Registration
97.00
Dog License Fees received for County 1,524.80
Sporting License Fees received for State
1,335.50
8,889.71
Investment
Income Alice H. Plimpton Library Fund
650.00
650.00
Tax Title Excess Receipts Account
Sale of Land of Low Value
12.20
12.20
Erroneous Receipt (overpayment)
20.15
20.15
Harold W. Gay, Cash to Adjust Account
1,321.09
1,321.09
78,688.58
81
ACCOUNTANT'S REPORT
Expenditures Charges for Expenses Outlays Total
DEPARTMENTAL GENERAL GOVERNMENT
Selectmen
Salary of Clerk Personal Expense
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