USA > Massachusetts > Norfolk County > Norwood > Norwood annual report 1930-1932 > Part 7
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485.81
Material
296.78
782.59
Page Total
34,203.69
34,203.69
110
NORWOOD TOWN REPORT
Expenditures Charges for
Expenses Outlays Totals
PUBLIC SERVICE-WATER-Continued
Hydrant Maintenance
Payrolls
$ 959.70
Trucking
42.50
Material
1,381.50
$ 2,383.70
Service Repairs
Payrolls
611.48
Trucking
65.75
Material
163.71
840.94
Auto Maintenance
Gas and Oil
87.96
Repairs and Supplies
65.91
Other Expense
87.73
241.60
Tools and Equipment
420.65
420.65
Claim of Damages to Boilers
425.00
425.00
Construction of
Street Mains and Services
Extensions of Mains
$19,576.97
Extensions, Reimbursements of Costs of
2,988.05 .
Extensions of Services
6,356.10
Meters
521.78
Meter Installation
561.69
Material
4,013.98
34,018.57
Page Total
38,330.46
Total Forwarded
34,203.69
Total for Water Works
72,534.15
111
ACCOUNTANT'S REPORT
Expenditures Charges for Expenses Outlays
Totals
CEMETERIES
Maintenance
Salary of Superintendent
$ 1,521.52
Payrolls
5,441.47
Trucking
23.40
Material
510.68
Gas and Oil
5.05
Telephone Service
84.55
Mower and Repair Parts
204.88
Electric and Water Service
16.00
Markers
125.00
Other Expense
79.72
$ 8,012.27
Improvement
Salary of Superintendent
$ 578.48
Payrolls
4,204.89
Trucking
44.00
Material and Supplies
28.28
Plants
251.89
Markers
125.00
Purchase of Single Graves
34.00
5,266.54
Totals for Cemeteries
8,012.27
5,266.54
13,278.81
112
NORWOOD TOWN REPORT
Expenditures Charges for Expenses Outlays Totals
MUNICIPAL INDEBTEDNESS Debt
Maturing Debt paid, viz .:
School Purposes
$ 71,700.00
Sewerage Purposes
9,000.00
Municipal Office Building
21,000.00
Highway Purposes
4,000.00
Park Purposes
3,000.00
Town Office Lot
2,000.00
Water
12,000.00
$122,700.00
Anticipation of Revenue, 1929
75,000.00
Anticipation of Revenue, 1930
525,000.00
600,000.00
Total for Debt
722,700.00
Interest
On School Loans
30,516.50
Sewerage
5,405.00
Municipal Office Building
10,510.00
Highway
1,060.00
Park Purposes
560.00
Town Office Lot
160.00
Water
2,302.50
50,514.00
Anticipation of Revenue Loans
9,993.11
9,993.14
Total for Interest
60,507.14
113
ACCOUNTANT'S REPORT
Expenditures Charges for Expenses Outlays Totals
AGENCY AND TRUST
Agency
State Tax
$ 26,670.00
County Tax
32,978.42
South Metropolitan Sewer
Assessment
22,112.63
Sinking Fund Requirement and Interest Requirement
13,304.00
Auditing Municipal Accounts
63.24
Soldiers' Exemptions
60.00
Neponset River Improvement
1,960.36
Trust
Dog Licenses, Fees
Paid to County Treasurer
1,546.40
Sporting Licenses, Fees,
Paid to State
1,249.50
$ 99,944.55
Refunds
1929 Excise Taxes
4.60
1930 Excise Taxes
698.09
1929 Property Taxes
103.84
1930 Property Taxes
65.25
Bank Tax
4.06
Water Rates
78.42
Electric Service Charges
121.40
Electric Service Deposits
1,509.00
2,584.66
To Sundry Persons, Monies Received, Returned
Cemetery Work Ordered
19.00
Police Service
27.00
Particular Sewers
552.41
Schools (Evening)
90.00
Water Connections
256.64
945.05
Total for Agency 103,474.26
114
NORWOOD TOWN REPORT
Summary of Receipts
Revenue for
Page
Expenses
Outlays
Totals
78 General Revenue
$ 960,497.42
$ 960,497.42
79 Commercial Revenue
12,797.25
12,797.25
80 General Government
2,401.76
2,401.76
81 Protection of Persons and Property
2,482.16
2,482.16
82
Health
3,289.54
3,289.54
82
Sanitation
21.87
$3,672.29
3,694.16
83
Highways
1,907.83
1,381.25
3,289.08
83
Public Welfare
6,822.93
6,822.93
84
Education
5,474.87
451.14
5,926.01
84
Libraries
681.25
681.25
84
Parks and Playgrounds Public Service
1,811.13
1,811.13
S5
Electric Light
253,449.27
851.68
254,300.95
85
Water
81,892.01
2,982.77
84,874.78
Other
85
Cemeteries
11,224.32
11,224.32
86
Debt
811,219.50
811,219.50
S6
Interest
10,177.42
10,177.42
87
Agency
62,437.57
62,437.57
87
Trust
7,025.23
7,025.23
88
Refunds
281.13
281.13
Total Receipts
2,235,894.46
9,339.13
2,245,233.59
Cash, Balance January 1, 1930
133,636.67
Warrants Payable, December 31, 1930
2,391.93
$2,381,262.19
115
NORWOOD TOWN REPORT
Summary of Expenditures
Page
Expenses $ 72,275.25
$ 2,917.89
$ 75,193.14
94
Protection of Persons and Property
118,724.58
10,911.11
129,635.69
95
Health
33,560.80
134.23
33,695.03
97
Sanitation
14,089.49
41,100.20
55,189.69
100
Highways
78,505.33
92,687.51
171,192.84
101
Welfare
37,494.01
37,494.01
104
Education
341,950.12
157,987.03
499,937.15
105
Libraries
17,914.45
610.68
18,525.13
105
Parks
4,792.89
3,351.52
8,144.41
106
Playgrounds
8,457.69
63,000.00
71,457.69
107
Unclassified
13,189.17
13,189.17
Public Service
108
Electric Light
172,457.14
40,283.85
212,740.99
110
Water
38,515.58
35,218.57
73,734.15
Other
111
Cemeteries
8,012.27
5,266.54
13,278.81
112
Debt
722,700.00
722,700.00
112
Interest
60,507.14
60,507.14
113
Agency
103,474.26
103,474.26
Warrants of Previous Year
11,468.11
11,468.11
2,311,557.41
Less charges representing expenditures, not Warrant Payments
138.00
2,311,419.41
Cash on hand, December 31, 1930
69,842.78
$2,381,262.19
91
General Government
Outlays
Totals
REVENUE ACCOUNTS Appropriations, Expenditures and Balances
Appropriations Transfer
Taxation
Total
Accounts
Payments
Warrants Payable
Total Expenditure
Balance
$ 300.00
$ 300.00
Selectmen, Salary of Clerk
$ 300.00
$ 300.00
200.00
200.00
Selectmen, Personal Expenses
11.90
11.90
$ 188.10
$
750.00
780.00
1,530.00
General Government Incidentals
1,451.64
$ 78.36
1,530.00
3,450.00
2,550.00
6,000.00
General Manager, Salary
6,000.00
6,000.00
1,300.00
2,850.00
4,150.00
General Manager, Incidentals
4,029.19
98.07
4,127.26
22.74
1,700.00
2,550.00
4,250.00
Town Clerk and Accountant,
Salary
4,250.00
4,250.00
12,050.00
4,440.00
16,490.00
Town Clerk and Accountant, In- cidentals
16,353.49
129.15
16,482.64
7.36
2,500.00
2,500.00
2,500.00
2,500.00
4,900.00
4,900.00
Assessors, Incidentals
4,425.49
268.30
4,693.79
206.21
750.00
2,000.00
2,750.00
Treasurer and Collector, Salary
2,750.00
2,750.00
2,307.00
4,631.00
6,938.00
Treasurer and Collector, Incid.
6,920.36
6,920.36
17.64
400.00
400.00
Election and Registration, Sal- aries
400.00
400.00
800.00
2,327.00
3,127.00
Election and Registration, Incid.
3,124.79
3,124.79
2.21
500.00
500.00
Finance Commission
286.18
286.18
213.82
.27
350.00
350.27
Certification of Notes
350.27
350.27
3,200.00
3,200.00
Engineering, Salary
3,200.00
3,200.00
3,246.00
3,246.00
Engineering, Incidentals
3,242.39
85
3,243.24
2.76
2,000.00
2,000.00
Engineering, New Survey Plans
1,493.71
1,493.71
506.29
1,459.55
6,750.00
8,209.55
Memorial Municipal Building, Maintenance
8,209.55
8,209.55
Assessors, Salary
116
1,850.00
1,850.00
Memorial Municipal Building, Improvement
1,126.53
1,126.53
500.00
500.00
Carillon Concerts
475.00
475.00
723.47 25.00
500.00
1,500.00
2,000.00
Town Counsel, Salary
2,000.00
2,000.00
475.00
475.00
Town Counsel, Incidentals
326.85
326.85
148.15
1,000.00
1,000.00
Planning Board
791.07
991.07
8.93
400.00
400.00
Board of Survey
375.00
200.00 25.00
400.00
611.50
43,675.00
44,286.50
Police Salaries
44,286.50
44,286.50
1,130.00
4,165.00
5,295.00
Police Incidentals
5,220.66
73.48
5,294.14
.86
5,760.00
5,760.00
Police Dept., New Equipment
5,713.48
46.52
5,760.00
1,071.68
24,773.00
25,844.68
Fire Department, Salaries
25,844.68
25,844.68
400.00
6,795.00
7,195.00
Fire Department, Incidentals
6,965.93
39.09
7,005.02
189.98
272.00
2,800.00
3,072.00
Fire Alarm Maintenance
2,998.18
2,998.18
73.82
300.00
.300.00
American Legion
Quarters,
Lease of
100.00
100.00
200.00
112.50
112.50
Armory, Rental
112.50
112.50
500.00
3,170.00
3,670.00
Trees, Care of
3,644.34
4.96
3,649.30
20.70
2,230.00
2,230.00
Moth Suppression
2,229.87
2,229.87
.13
1,200.00
1,200.00
Inspector of Buildings, Salary
1,200.00
1,200.00
1,860.00
1,860.00
Inspector of Buildings, Incid.
566.15
566.15
1,293.85 Res.
200.00
200.00
Inspector of Animals
200.00
200.00
500.00
500.00
Sealer of Weights and Measures, Salary
500.00
500.00
200.00
200.00
Sealer of Weights and Measures, Incidentals
178.04
178.04
21.96
7,500.00
7,500.00
Hydrant Rentals
7,500.00
7,500.00
19,344.00
19,344.00
Street Lighting
19,344.00
19,344.00
117
REVENUE ACCOUNTS-Continued Appropriations, Expenditures and Balances
Appropriations
Transfer
Taxation
Total
Accounts
Payments
Warrants Payable
Total Expenditure
Balance
175.00
175.00
Town Game Warden, Salary
175.00
175.00
50.00
50.00
Town Game Warden, Incidentals
50.00
50.00
250.00
250.00
Board of Health, Salaries
250.00
250.00
4,500.00
19,050.00
23,550.00
Board of Health, Incidentals
23,261.89
23,261.89
288.11
7,744.98
7,744.98
Norfolk County Hospital Maint.
7,744.98
7,744.98
2,500.00
2,500.00
Town Dumps
2,438.16
2,438.16
61.84
7,800.00
7,800.00
Sewer Maintenance
7,717.01
81.25
7,798.26
1.74
7,000.00
7,000.00
Sewers, Particular
6,082.64
6,082.64
917.36
4,300.00
4,300.00
Main Drains, Maintenance
4,209.42
4,209.42
90.58
12,920.00
12,920.00
Main Drains, Construction
12,883.19
9.60
12,892.79
27.21
2,100.00
2,100.00
Ash Removal
2,081.81
2,081.81
18.19
26,000.00
17,900.00
43,900.00
Highway, Maintenance and Re- pair
43,760.61
38.35
43,798.96
101.04
6,290.00
6,290.00
Highway Equipment
6,210.00
6,210.00
80.00
2,325.00
4,000.00
6,325.00
Pensions and Vacations
6,093.48
6,093.48
231.52
1,200.00
1,200.00
Garage, Gas and Oil
411.07
411.07
788.93
300.00
300.00
Garage, Maintenance and Oper- ation
111.61
181.30
292.91
7.09
11,644.00
11,644.00
Permanent Sidewalks
11,604.43
11,604.43
39.57
3,000.00
43,022.00
46,022.00
Highway Construction
45,909.10
45,909.10
112.90
1,359.87
8,000.00
9,359.87
Snow and Ice Removal
9,359.87
9,359.87
400.00
400.00
Crusher Operation
304.62
2.00
306.62
93.38
2,890.00
2,890.00
Crusher Equipment
2,880.10
2,880.10
9.90
118
-
3,600.00
3,600.00 Public Works, Salary of Supt.
3,600.00
3,600.00
6,340.00
7,365.00
13,705.00
Public Works, Incidentals
13,693.68
.55
13,694.13
7,000.00
25,418.00
32,418.00
Public Welfare
32,417.32
32,417.32
10.77 68
2,200.00
2,700.00
4,900.00
Soldiers' Benefits
3,679.04
3,679.04
1,220.96 Res. 302.35 Res.
200.00
200.00
Town Physician, Salary
200.00
200.00
80.30
349,863.00
349,943.30
Schools, Support of
349,756.99
178.86
349,935.85
7.45
500.00
4,300.00
4,800.00
Parks, Maintenance
4,792.89
4,792.89
7.11
3,475.00
3,475.00
Parks, Improvement
3,351.52
3,351.52
123.48
516.00
4,000.00
4,516.00
Playgrounds, Maintenance
4,492.85
4,492.85
23.15
4,000.00
4,000.00
Playgrounds, Demolition
of
Structures
3,964.84
3,964.84
35.16
1,748.38
16,688.25
18,436.63
Morrill Memorial Library
18,330.73
63.45
18,394.18
21.42
132.00
750.00
882.00
Memorial Day
863.29
863.29
18.71
500.00
500.00
Band Concerts
500.00
500.00
195.52
1,800.00
1,995.52
Town Reports
1,995.52
1,995.52
788.00
4,338.00
5,126.00
Insurance
5,125.69
5,125.69
.31
158,202.00
158,202.00
Electric Light Maint. and Oper.
158,202.00
158,202.00
26,810.11
26,810.11
Electric Light Construction
26,702.16
26,702.16
107.95
13,913.89
13,913.89
Electric Light Depreciation
13,913.89
13,913.89
13,891.00
13,891.00
Electric Light, in Lieu of Taxes
13,891.00
13,891.00
38,780.00
38,780.00
Water Works, Maintenance and Operation
37,829.75
685.83
38,515.58
264.42
25,600.00
25,600.00
Water Works Construction
25,600.00
25,600.00
331.94
331.94
Expense of Official, Outside State
331.90
331.90
.04
1,500.00
1,500.00
Care in Hospitals
1,090.65
107.00
1,197.65
21.03 Res.
119
REVENUE ACCOUNTS-Continued Appropriations, Expenditures and Balances
Appropriations
Transfer
Taxation
Total
Accounts
Payments
Warrants Payable
Total Expenditure
Balance
13,278.81
13,278.81
Cemetery, Maintenance and Im- provement
13,278.81
13,278.81
12,134.60
110,565.40
122,700.00
Maturing Debt
122,700.00
122,700.00
2,290.00
63,973.50
66,263.50
Interest
60,507.14
60,507.14
5,756.36
503.65
3,309.87
3,813.52
Unpaid Bills, prior to Dec. 31, 1929
3,813.52
3,813.52
343.08
343.08
Furnishings at Armory
343.08
343.08
12.00
12.00
Land Damage, Electric Easement
12.00
1,000.00
1,000.00
Drain Taking, First Baptist Church
1,000.00
308.50
308.50
American Legion Expense
308.50
308.05
200.00
200.00
Emergency Committee on Un- employment Warrants Payable, Dec. 31, 1929
159.39
21.56
180.95
19.05
11,315.71
11,315.71
11,315.71
11,315.71
$403,977.34
$945,340.52
$1,349,317.86
$1,331,238.59
$2,383.53
$1,333,622.12
$15,695.74
120
NON-REVENUE ACCOUNTS
Appropriations Transfer Taxation
Borrowing
Total
Accounts
Payments
Accounts Total Payable Expenditures Balances
Over- draft
$7,500.00 $ 55,500.00
$ 63,000.00
Purchase of Civic Play- ground
$ 63,000.00 22,124.77
$ 63,000.00 22,124.77
$ 1,875.23
21,000.00
21,000.00
Highways, Construc-
tion
20,985.64
20,985.64
14.36
$ 51,321.19
59,000.00
110,321.19
School, East Side
9,610.17 109,600.82
9,618.57 109,600.82
720.37
4,615.09
4,615.09
Washington Widening
Street
4,732.58
4,732.58
$117.49
41,372.56
41,372.56
Addition to Junior
High School
40,200.52
40,200.52
1,271.04
600.00
600.00
Demolition of Guild
School
401.70
401.70
198.30
2,300.00
2,300.00
Police Garage
2,299.23
2,299.23
.77
413.69
413.69
Morrill Memorial Li- brary Addition
130.95
130.95
282.74
$100,622.53
$7,500.00
$184,500.00
$292,622.53
$273,086.38
$8.40
$273,094.78
$19,645.24
$117.49
24,000.00
24,000.00
Sewer Construction
25,000.00
25,000.00
Water Construction
$8.40
15,381.43
121
OTHER OPERATING ACCOUNTS No Appropriations by Town Meeting Required Therefor and Shown Here to Establish Payments on Warrants to Town Treasurer
Loans in Anticipation of Revenue . Refunds
$ 600,000.00 3,529.71
Warrants of Previous Years . . .
152.40
Agency and Trust Transactions
101,158.40
704,840.51
Expenditures as Shown, Revenue Accounts .
1,333,622.12
Expenditures as Shown, Non-Revenue Accounts
273,094.78
Total . .
2,311,557.41
Deducting: Warrants Payable, December 31, 1930
$2,391.93
and Excess Operating Credits .
138.00
2,529.93
Equals Warrants Issued to and Paid by Treasurer .
$2,309,027.48
.
.
.
.
.
.
122
TABULATED STATEMENT OF ESTIMATED AMOUNTS Necessary for Proper Maintenance of the Several Departments of Town of Norwood, Massachusetts, Chapter 41, Section 59-60 General Laws
Department
Appropriated 1930
Expended 1930
1931 Estimate for Maintenance Outlays
Total
6-A- 1. Selectmen
A. Salaries Clerk
$ 300.00
300.00
$ 300.00
$ 300.00
B. Personal Expense
200.00
11.90
200.00
200.00
2. Town Clerk and Accountant
A. Salary
4,250.00
4,250.00
4,250.00
4,250.00
B. Wages
12,319.04
12,700.00
Other
2,799.94
3,165.00
Equipment Total
16,490.00
15,865.00
3. Town Treasurer and Collector
A. Salary
2,750.00
2,750.00
2,750.00
2,750.00
B. Wages
4,343.20
4,500.00
Other
2,577.16
2,757.00
.
Total
6,881.00
7,257.00
4. Assessors
A. Salaries
2,500.00
2,500.00
2,500.00
2,500.00
B. Wages
2,365.63
2,500.00
Other Total
4,900.00
3,950.00
5. Certification of Notes
350.27
350.27
300.00
300.00
6. Finance Commission
500.00
286.18
500.00
500.00
2,428.16
1,450.00
1,363.66
123
TABULATED STATEMENT OF ESTIMATED AMOUNTS-Continued Necessary for Proper Maintenance of the Several Departments of Town of Norwood, Massachusetts, Chapter 41, Section 59-60 General Laws
Department
Appropriated 1930
Expended 1930
1931 Estimate for Maintenance Outlays
Total 2,000.00
7. Town Counsel Salary
2,000.00
2,000.00
2,000.00
Incidentals
475.00
326.85
450.00
450.00
8. Election and Registration
A. Salaries
400.00
400.00
400.00
400.00
B. Incidentals
3,127.00
3,124.79
944.00
944.00
9. Memorial Municipal Building
A. Maintenance
8,209.55
8,209.55
7,950.00
7,950.00
B. Improvements
1,850.00
1,126.53
C. Carillon Concerts
500.00
475.00
500.00
500.00
10. General Manager
A. Salary
6,000.00
6,000.00
6,000.00
6,000.00
B. Incidentals
4,150.00
4,127.26
3,900.00
3,900.00
11. Engineering
A. Salary
3,200.00
3,200.00
3,200.00
3,200.00
B. Incidentals
3,246.00
3,243.24
3,750.00
3,750.00
C. Assessors' Survey Plans
2,000.00
506.29
1,000.00
1,000.00
12. Board of Survey
400.00
400.00
700.00
700.00
13. Planning Board
1,000.00
991.07
1,000.00
1,000.00
PROTECTION OF PERSONS AND PROPERTY
6-B- 1. Police Department
A. Salaries
44,286.50
44,286.50
46,515.00
46,515.00
B. Incidentals
5,295.00
5,294.14
4,700.00
4,700.00
C. New Equipment
5,760.00
5,760.00
124
2. Fire Department
A. Salaries
25,844.68
25,844.68
28,700.00
28,700.00
B. Incidentals
7,195.00
7,005.02
6,695.00
6,695.00
3. Maintenance, Fire Alarm
3,072.00
2,998.18
485.00
485.00
4. Hydrant Service
7,500.00
7,500.00
7,500.00
7,500.00
5. Inspector of Buildings
A. Salary
1,200.00
1,200.00
1,200.00
1,200.00
B. Incidentals
1,860.00
1,860.00
90.00
90.00
6. Inspector of Animals, Salary
200.00
200.00
200.00
200.00
7. Sealer of Weights and Measures
A. Salary
500.00
500.00
500.00
500.00
B. Incidentals
200.00
178.04
150.00
150.00
8. Inspector of Wires
A. Salary
None
None
None
None
9. Town Game Warden A. Salary B. Incidentals
175.00
175.00
175.00
175.00
50.00
50.00
50.00
50.00
10. Moth Suppression
2,230.00
2,229.37
1,900.00
1,900.00
11. Care of Trees
3,670.00
3,649.30
2,900.00
2,900.00
12. Street Lighting
19,344.00
19,344.00
19,344.00
19,344.00
HEALTH AND SANITATION
6-C- 1. Board of Health
A. Salaries
250.00
250.00
250.00
250.00
B. Incidentals
23,550.00
23,261.89
23,232.50
23,232.50
C. Public Dump
2,500.00
2,438.16
2,500.00
2,500.00
2. Sewers
A. Maintenance of
7,800.00
7,798.26
7,275.00
7,275.00
B. Particular Sewers
7,000.00
6,082.64
5,000.00
5,000.00
125
TABULATED STATEMENT OF ESTIMATED AMOUNTS-Continued Necessary for Proper Maintenance of the Several Departments of Town of Norwood, Massachusetts, Chapter 41, Section 59-60 General Laws
Department
Appropriated 1930
Expended 1930
1931 Estimate for Maintenance Outlays
Total
3. Sewer Construction
24,000.00
22,124.77
5,330.00
5,330.00
4. Main Drains, Maintenance
4,300.00
4,209.42
4,300.00
4,300.00
Drains, Construction
12,920.00
12,892.79
11,900.00
11,900.00
5. Removal of Ashes
2,100.00
2,081.81
2,100.00
2,100.00
Miscellaneous
6-D- 1. Public Works
A. Salary of Superintendent
3,600.00
3,600.00
3,900.00
3,900.00
B. Other Maintenance, Expense
13,705.00
13,693.68
13,223.00
13,223.00
2.
A. Highways, Maintenance
43,900.00
43,798.96
39,400.00
39,400.00
B. Removal of Snow and Ice
9,359.87
9,359.87
8,000.00
8,000.00
C. Equipment
D. Highway Construction
67,022.00
66,894.04
95,900.00
95,900.00
E. Permanent Sidewalks
11,644.00
11,604.43
11,600.00
11,600.00
F. Highway Equipment
6,290.00
6,210.00
G. Gravel Pit, Maintenance and Repairs
2,890.00
2,880.10
H. Gravel Pit, Operation
400.00
306.62
300.00
300.00
I. Pensions and Vacations
6,325.00
6,093.48
5,732.00
5,732.00
J. Gasolene and Oil, Purchase
1,200.00
411.07
500.00
500.00
K. Garage and Garage Equipment
300.00
292.19
300.00
300.00
3. Public Welfare
32,418.00
32,417.32
31,050.00
31,050.00
126
4. Assistance to Aged Citizens
5. Salary to Town Physician
6. Soldiers' Benefits
200.00 4,900.00
200.00 4,900.00
200.00 4,000.00
200.00 4,000.00
A. Support
343,719.20
341,750.16
356,000.00
356,000.00
B. Improvement and Equipment
6,224.00
8,185.69
6,225.00
6,225.00
8. Morrill Memorial Library
18,415.60
18,394.18
17,784.00
17,784.00
9. Memorial Day Observance
882.00
863.29
800.00
800.00
10. Parks, Maintenance and Improvement
8,275.00
8,144.41
7,600.00
7,600.00
11. Publie Playgrounds
8,516.00
8,457.69
6,480.00
6,480.00
12. Town Reports, Printing of
1,995.52
1,995.52
13. General Government Incidentals
1,530.00
1,530.00
700.00
700.00
14. Band Concerts
500.00
500.00
500.00
500.00
PUBLIC SERVICE ENTERPRISES
6-E- 1. Electric Light Department
A-B. Maintenance, Operation and Repairs
158,202.00
158,534.00
143,825.00
143,825.00
C. Depreciation
13,913.89
13,913.89
14,700.00
14,700.00
D. New Construction
26,641.11
26,200.96
24,785.00
24,785.00
E. Repairs
In Lieu of Taxes Total
13,891.00
13,981.00
13,000.00
13,000.00
2. Water
A. Maintenance
38,780.00
38,515.58
35,819.00
B. Construction
49,600.00
35,218.57
16,598.00
C. Debt
12,000.00
12,000.00
15,000.00
D. Interest
2,290.00
2,290.00
2,850.00
Total
70,267.00
127
1
7. Schools
TABULATED STATEMENT OF ESTIMATED AMOUNTS-Continued Necessary for Proper Maintenance of the Several Departments of Town of Norwood, Massachusetts, Chapter 41, Section 59-60 General Laws
Department
Appropriated 1930
Expended 1930
1931 Estimate for Maintenance Outlays
Total
F- 1. Cemeteries
A. Maintenance
7,190.00
7,190.00
6,900.00
6,900.00
B. Improvement
7,078.81
7,078.81
3,000.00
3,000.00
G- 1. Interest Requirements
63,973.50
58,217.14
57,635.00
57,635.00
2. Debt Requirements
110,700.00
110,700.00
135,000.00
135,000.00
H Insurance
5,126.00
5,125.69
4,050.00
4,050.00
Articles
.
10-11. Care in Hospitals
1,500.00
1,500.00
1,400.00
1,400.00
13. Norfolk County Hospital
7,744.98
7,744.98
7,175.91
7,175.91
ยท 14. Expense Outside of State
331.93
331.90
General Manager
250.00
250.00
Superintendent Public Works
100.00
100.00
Schools
250.00
250.00
Morrill Memorial Library
150.00
150.00
15. Entertainment of Distinguished Guests Unpaid Bills Prior to January First
3,813.52
3,813.52
Sundry Emergency Contingencies
467.89
467.89
Purchase of Public Playgrounds
7,500.00
7,500.00
Totals
$1,413,461.29
$1,384,796.82
$1,345,339.41
$1,345,339.41
I
Reserve Fund
24.47
128
COMPARISON OF ESTIMATED REQUIREMENTS For the Year 1931 with Similar Expenditures for the Year 1930
1930 Expenditures
1931
1930
Requirements
By Tax Levy
1931 Estimated Revenue
General Government
$ 76,723.14
$ 70,766.00
$ 52,199.00
$ 1,450.00
Protection of Persons and Property
128,074.73
121,104.00
124,809.00
1,000.00
Health
23,511.89
23,482.50
19,300.00
3,000.00
Sanitation
57,627.85
38,405.00
36,620.00
3,000.00
Highways, Inc. Public Works
165,149.44
178,955.00
106,616.00
1,600.00
Welfare
39,017.32
36,650.00
31,218.00
4,000.00
Schools
349,935.85
362,475.00
349,863.00
19,375.00
Librarics
18,394.18
17,784.00
16,688.25
650.00
Parks and Playgrounds
16,602.10
14,080.00
15,775.00
1,100.00
Others
3,690.74
1,300.00
3,381.94
*Cemeteries
3,058.81
Interest
58,217.14
57,635.00
63,973.50
Debt
110,700.00
135,000.00
110,565.40
Insurance
5,125.69
4,050.00
4,338.00
County Hospital Assessment
7,744.98
7,175.91
7,744.98
$1,063,573.86
$1,068,862.41
$943,092.07
$35,175.00
SELF SUSTAINING DEPARTMENTS
Electric
212,629.85
196,310.00
Water
88,024.15
70,267.00
*Cemeteries
11,220.00
9,900.00
$1,375,447.86
$1,345,339.41
129
TOWN OF NORWOOD, BALANCE SHEET, DECEMBER 31, 1930 REVENUE ACCOUNTS
Assets
Liabilities
Accounts Receivable
Taxes, 1930, Property and Poll $144,763.98
$ 2,945.62
Taxes, 1930, Excise 1,215.77
Supplemental Taxes 1,026.51
3,972.13
Reserve for
Special Assessments
6,947.35
Deferred Assessments 63,231.06
Committed Interest 762.01
Special Assessments
Departmental Accts. Receivable 23,241.37
94,181.79
Sewer Assessments
1,212.44
Reserved Revenue Balances
130
Sidewalk Assessments
3,149.74
Strcet Betterments
2,419.89
Soldiers' Benefits 1,220.96
6,947.35
Care in Hospitals
302.35
Land Takings
1,813.00
Library Repairs 282.74
4,912.91
Park Betterment Apportioned
3,013.40
Departmental Revenues
Water
6,779.20
63,231.06
Electric Light
16,385.82
Committed Interest
762.01
23,165.02
762.01 Reserve for Warrants Payable
2,391.93
Departmental Accounts
2,391.93
Electric Accounts Received
8,863.62
Reserve for Tax Titles
61,512.24
Outstanding Revenue Loans Overlay, 1930
$100,000.00
Taxes, 1929, Property
426.70
Taxes, 1929, Excise 134.22
Taxes, 1928, Property 162.08
Taxes of Previous Years
993.16
$147,695.91
Moth
165.28
Inspector of Buildings, Incidentals 1,293.86
Deferred Assessments
Sewer Apportioned
23,089.71
Sidewalk Apportioned
8,187.61
Street Betterment Apportioned
28,940.34
-
Water Accounts Received 14,377.75
23,241.37
Soldiers' Exemption Overdraft
60.00
Overlay Overdraft (1929)
250.22
Overlay Overdraft (1928)
5.80
Tax Titles Cash
316.02 61,512.24 48,712.63 Surplus Excess and Deficiency
62,282.57
$352,418.59
$352,418.59
131
TOWN OF NORWOOD, BALANCE SHEET, DECEMBER 31, 1930 NON-REVENUE ACCOUNTS
Assets
Liabilities
Cash, General Account Overdraft, Washington Street, Widening
$19,144.94
Appropriations for
$ 1,875.23
Sewer Construction Highway Construction
14.36
Water Construction
15,381.43
School Building, East Side
720.37
School Building, Junior High
1,271.04
$19,262.43
$19,262.43
TRUST ACCOUNTS
Assets
Liabilities
General Cash
$ 1,985.21 Perpetual Care Funds High School English Fund
500.00
Norwood Trust Co. Sav. D. 9054
22,008.92
Alice H. Plimpton Trust Fund
14,712.42
Norwood Trust Co. Sav. D. 23649
5,000.00
Warren H. Cudworth Trust Fund
500.00
Dedham Institution Savings
5,000.00
Warren H. Cudworth Trust Fund, Income
21.03
Liberty Loan Bonds
16,600.00
Deposits for Services
90.50
City of Lynchburg, Va., Bonds
5,000.00
Consumers' Deposits, Electric
8,371.00
Over Deposit of Collection of Taxes 3.18
$55,594.13
$55,594.13
132
$31,396.00
.
117.49
DRAINS CONSTRUCTION
Payroll
Material and Others $1,254.05
Total
Rear Fleming's Bindery-Norwood Press
$2,144.23
$ 3,398.28
Catch Basin Railroad Avenue-Washington Street
29.45
40.43
69.88
Foot Phillips Avenue to Elks Parkway
343.45
221.42
564.87
Cateh Basin, Corner Granite and Warren Street
51.95
26.74
78.69
Broadway-Park to Day Street
530.50
321.77
852.27
School Street-Fulton Street
939.46
713.68
1,653.14
Everett Avenue
21.40
45.85
67.25
Prospect Street and Upland Road
632.43
418.35
1,050.78
Washington Street-Fairview Road-Walnut Avenue
453.70
237.90
691.60
Atwood Avenue-Cedar Street
449.15
729.08
1,178.23
Prospect Street-Nahatan Street, South
946.90
539.90
1,486.80
Grant Avenue-Cleveland Street, West
445.10
82.35
527.45
Front of Junior High School
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