Norwood annual report 1930-1932, Part 7

Author: Norwood (Mass.)
Publication date: 1930
Publisher: The Town
Number of Pages: 1172


USA > Massachusetts > Norfolk County > Norwood > Norwood annual report 1930-1932 > Part 7


Note: The text from this book was generated using artificial intelligence so there may be some errors. The full pages can be found on Archive.org (link on the Part 1 page).


Part 1 | Part 2 | Part 3 | Part 4 | Part 5 | Part 6 | Part 7 | Part 8 | Part 9 | Part 10 | Part 11 | Part 12 | Part 13 | Part 14 | Part 15 | Part 16 | Part 17 | Part 18 | Part 19 | Part 20 | Part 21 | Part 22 | Part 23 | Part 24 | Part 25 | Part 26 | Part 27 | Part 28 | Part 29 | Part 30 | Part 31 | Part 32 | Part 33 | Part 34 | Part 35 | Part 36 | Part 37 | Part 38 | Part 39 | Part 40 | Part 41 | Part 42 | Part 43 | Part 44 | Part 45 | Part 46 | Part 47 | Part 48 | Part 49 | Part 50 | Part 51 | Part 52 | Part 53 | Part 54 | Part 55 | Part 56 | Part 57 | Part 58 | Part 59 | Part 60 | Part 61 | Part 62 | Part 63 | Part 64 | Part 65 | Part 66 | Part 67 | Part 68 | Part 69 | Part 70 | Part 71 | Part 72 | Part 73


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




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