Norwood annual report 1936-1938, Part 55

Author: Norwood (Mass.)
Publication date: 1936
Publisher: The Town
Number of Pages: 1104


USA > Massachusetts > Norfolk County > Norwood > Norwood annual report 1936-1938 > Part 55


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Assets


Bonds at Amortized Value


$21,334.62


Deposits in Banks Not at Interest


192.00


Deposits in Banks at Interest


10,789.23


Interest Due on Bonds


270.94


Interest Due on Deposits in Banks


162.40


32,749.19


Liabilities


Annuity Savings Fund Group I


$16,052.85


Group II


178.41


Annuity Reserve Fund


Group I


65.09


Group II


11.27


Pension Accumulation Fund Group I


15,949.88


Group II


4.43


Expense Fund


487.26


Total


32,749.19


Membership


Membership Dec. 31, 1937: Group I-Male, 122; Female, 30.


Group II-Male, 1


Total, 153


Enrolled During Year:


Group I-Male,


9; Female, 1.


Group II-Male, 1


Deaths:


Group I-


Withdrawals:


Group I-Male 5; Female, 2.


Membership Dec. 31, 1938 157


Pensioners Dec. 31, 1938


4


126 Male eligible for prior service credit: salaries


$243,088.07


29 Female eligible for prior service credit: salaries S 2 Male, Group II 2,954.66


177


CONTRIBUTORY RETIREMENT SYSTEM


Income


Balance of Previous Year


From Members


$ 5,966.21


Group I


$10,844.32


Group II


139.15


10,983.47


From Town


Appropriations as Contributions


Accrued Liability


11,268.00


Normal Liability


5,859.00


Guaranteed Interest


96.96


Administration Expense


407.00


Extraordinary Pensions


1,724.00


19,354.96


From Interest


Gross Interest Required on Bonds


272.50


Interest on Deposits


148.03


420.53


Increase by Adjustment Bond Interest


239.73


Increase by Adjustment Bank Deposits


193.61


433.34


37,158.51


178


CONTRIBUTORY RETIREMENT SYSTEM Disbursements .


Annuity Payments


Group I


$ 8.51


Group II


2.04


$ 10.55


Pension Payments


Group I


2,923.93


Group II


498.26


3,422.19


Refunds


By Deaths, Group I


102.23


Interest


2.52


Other Withdrawals


135.11


Interest


1.50


241.36


Administration Expenses


Clerical Services


360.00


Postage


14.77


Furnishings and Equipment


120.72


495.49


Accrued Interest on Bonds


239.73


239.73


4,409.32


Balance of Funds


32,749.19


$37,158.51


179


To the Selectmen of the Town of Norwood Charles E. Houghton, Chairman


Gentlemen:


The foregoing is submitted as the report of the Town Clerk and Ae- countant for the year ending December 31, 1938, setting forth abstracts of the records of Town Meetings and Elections, Vital Statistics and state- ments of the appropriations and expenditures and the receipts from each source of income. Also statement of funded debt, temporary loans, in- formation relative to maturities and debt, the balance sheet showing the assets and liabilities at the close of the fiscal year together with a statement of the Town Treasurer's cash.


The cash balance of the Town Treasurer has been verified by recon- ciliations of the bank statements and amount on deposit at banks as of the same date in accordance with the requirements of the statutes is here- with submitted:


Bank Balance, Norwood Trust Co., December 31, 1938


Deposit of January 3, 1939


$111,125.04 24,382.61


135,507.65


Checks Outstanding


13,724.73


121,782.92


Bank Balances December 31, 1938


Second National Bank, Boston


84,398.02


Second National Bank, Boston P.W.A. 1515-F


36,171.90


Second National Bank, Boston P.W.A. 1514-F


46,240.54


Merchants National Bank


4,403.94


Norwood Trust Co. Chap. 464 Account


155.85


Office Cash


425.00


293,578.17


I further certify that I have examined the trust fund securities and cash in the hands of the Town Treasurer and find them to be correct and securi- ties on hand as shown in the following schedule:


FUNDED SECURITIES DECEMBER 31, 1938


Cemetery Perpetual Care Trust


Norwood Trust Co. Savings Dept. No. 9054


$25,648.42


Dedham Inst. Savings No. 70351 9,866.00


U. S. Treasury Bonds 23 percent, 1955-60


500.00


288698J, 288699J, 199162B, 63C, 64D (5) 179298J. 277430L (2)


2,000.00


Town of Norwood Water Note 2556


1,000.00


180


Town of Norwood Highway Note 2875


577.00


39,591.42


Alice H. Plimpton Library Trust


City of Lynchburg, W. Va., Water Bonds 5 at $1,000 each, Nos. 22, 23, 24, 25, 26 United States Treasury Bonds 1944-46


5,000.00


(6) Nos. 43578J, 79K, 80L, 81A, 82B, 83C Norwood Trust Co. Savings Dept. B27276


6,000.00


1,041.63


$12,041.63


Anna M. Day Cemetery Trust


Norwood Trust Co. Savings Dept. 27703


5,000.00


Warren H. Cudworth Library Trust


500.00


Dedham Inst. for Savings Book 62375 High School English Prize Trust U. S. Treasury Bonds 23 percent (5) Nos. 199157H, 58J, 59K, 60L, 61A


500.00


Consumers' Deposits Electric Service Norwood Trust Co.


400.00


Town of Norwood Sewer Note 2552


2,000.00


Town of Norwood Sewer Note 2553


1,000.00


Town of Norwood Highway Notes 2701, 2, 3, 4


4,000.00


7,400.00


Contributory Retirement Trust


Central Maine Power Co. 1st. Gen. 4s. 1960


5,350.00


Narragansett Elec. Co. 1st Series 32 1966


5,287.50


Pacific Gas and Electric 1st Series 34 1961


3,240.00


Southern California Edison 1st Series 34 1960


5,407.12


Westchester Lighting Gen. Mtg. 3} 1967


2,050.00


Norwood Trust Co.


110.39


Dedham Institution for Savings


4,633.84


East Boston Savings Bank


2,005.00


Malden Savings Bank


4,040.00


Norwood Trust Co. Checking Account


192.00


$32,315.85


JAMES E. PENDERGAST, Town Clerk and Accountant March 13, 1939


Norfolk, ss.


Then personally appeared the above named, James E. Pendergast and made oath that the foregoing statement is true.


CHARLES P. STONE, Justice of the Peace


The Commonwealth of Massachusetts DEPARTMENT OF CORPORATIONS AND TAXATION


DIVISION OF ACCOUNTS


REPORT OF AN AUDIT OF


THE ACCOUNTS OF


THE TOWN OF NORWOOD


For the Period from January 1, 1936 to October 23, 1937


Made in Accordance with the Provisions of Chapter 44, General Laws


March 29, 1938


183


THE COMMONWEALTH OF MASSACHUSETTS Department of Corporations and Taxation Division of Accounts


State House, Boston March 29, 1938


To the Board of Selectmen Mr. Sture Nelson, Chairman Norwood, Massachusetts


Gentlemen:


I submit herewith my report of an audit of the books and accounts of the town of Norwood for the period from January 1, 1936, to October 23, 1937, made in accordance with the provisions of Chapter 44, General Laws. This is in the form of a report made to me by Mr. Herman B. Dine, As- sistant Director of Accounts.


Very truly yours,


THEODORE N. WADDELL, Director of Accounts.


Mr. Theodore N. Waddell Director of Accounts


Department of Corporations and Taxation State House, Boston


Sir:


As directed by you, I have made an audit of the books and accounts of the town of Norwood for the period from January 1, 1936, to October 23, 1937, and report thereon as follows:


The financial transactions of the town, as recorded on the books of the several departments receiving or disbursing money for the town or com- mitting bills for collection, were examined and checked for the period covered by this audit.


The books and accounts of the town accountant were examined and checked. The reported receipts were compared with the records of the several departments collecting money for the town and with the treas- urer's cash book. The payments, as recorded in the accountant's books, were checked to the treasury warrants and with the tresurer's cash book.


An analysis of the ledger was made, a trial balance was taken off, and a balance sheet, which is appended to this report, was prepared showing the financial condition of the town as of October 23, 1937.


The appropriation accounts were examined and all appropriations, trans- fers, and loans authorized, as entered, were checked with the town clerk's record of financial votes passed in town meeting.


184


The books and accounts of the town treasurer were examined and checked. The recorded receipts were compared with the records in the several departments collecting money for the town, with the other sources from which money was paid into the town treasury, and with the ac- countant's records. The payments, as entered, were compared with the selectmen's warrants authorizing the treasurer to disburse town funds and with the accountant's books.


The cash book was footed and the cash balance on October 23, 1937, was verified by actual count of cash in the office and by a reconciliation of the bank balances with statements furnished by the banks of deposit.


The payments on account of maturing debt and interest were checked with the amounts falling due and with the cancelled coupons, bonds and notes on file.


The securities and savings bank books representing the investments of the several trust and retirement funds in the custody of the town treasurer were examined and listed. The income was proved and the receipts and dis- bursements were verified.


The records of tax titles held by the town were examined, checked, and compared with the deeds on file.


The books and accounts of the collector of taxes were examined and checked. The commitments of poll, property, and motor vehicle excise taxes were verified and compared with the assessors' warrants for their collection. The recorded collections were checked with the payments to the treasurer as shown by the treasurer's books, while the abatements as entered were compared with the assessors' records of abatements granted. The taxes transferred to the tax title account were checked with the records of tax titles held by the town, and the outstanding tax accounts were listed and proved to the accountant's ledger.


The outstanding accounts were further verified by mailing notices to a number of persons whose names appeared on the books as owing money to the town, the replies received thereto indicating that the accounts, as listed, are correct.


The records of the town clerk for receipts on account of dog licenses issued on behalf of the county, sporting licenses, the proceeds of which are paid to the State, as well as from marriage intentions and recording fees which are paid into the town treasury, were examined. The payments to the State, County, and town were checked with the receipts on file and with the treasurer's cash book, and the cash balance was verified by a count of the cash in the office.


The records of the several departments committing bills for collection were examined and reconciled with the treasurer's and the accountant's books.


The books and accounts of the sealer of weights and measures were ex- amined and checked. The payments to the treasurer were verified by a comparison with the treasurer's and the accountant's books.


185


The records of the school department on account of school lunches, etc., were examined, and the recorded payments to the treasurer were verified.


The records of receipts of the library for fines, etc., were examined and the recorded payments to the treasurer were verified by a comparison with the treasurer's and the accountant's books, the cash on hand being verified by actual count.


The books and accounts of the water department were examined and checked. The commitments were examined, the recorded receipts being checked and compared with the treasurer's and the accountant's books and the outstanding accounts were listed and proved.


The books and accounts of the Municipal Light Department were ex- amined and checked. The records of accounts receivable, guarantee de- posits, and of cash receipts were examined and checked, the payments to the treasurer being compared with the treasurer's and the accountant's books. The outstanding accounts were listed and reconciled with the accountant's ledger.


Considerable difficulty was encountered in auditing the accounts re- ceivable of the Municipal Light Department, since no reports of com- mitments, discounts, and adjustments had been made to the accountant for the period from January 1 to October 23, 1937. It was therefore neces- sary to compile these figures in the course of the audit, this work increasing the length of the audit and, consequently, its cost. Daily and monthly summary sheets have been installed and in the future monthly reports should be made to the accountant.


In addition to the departments and accounts mentioned, the records of all other departments collecting money for the town or committing bills for collection were examined. The recorded collections were checked with the payments to the treasurer, the outstanding accounts were listed and proved, and the cash balances were verified.


The surety bonds on file for the several officials required by law to furnish such surety were examined and found to be in proper form.


Appended to this report, in addition to the balance sheet, are tables showing a reconciliation of the treasurer's cash, summaries of the tax, as- sessment, tax title, departmental, water, and municipal light accounts, as well as schedules showing the condition and transactions of the several trust and retirement funds.


For the courtesies extended by the various town officials and employees during the progress of the audit, I wish, on behalf of my assistants and for myself, to express appreciation.


Respectfully submitted,


HERMAN B. DINE, Assistant Director of Accounts.


186


RECONCILIATION OF TREASURER'S CASH


Balance January 1, 1936 Receipts


$ 338,127.78 2,223,322.49


$2,561,450.27


Payments


2,361,927.20


Balance December 31, 1936


199,523.07


2,561,450.27


Balance January 1, 1937


199,523.07


Receipts January 1 to October 23, 1937


1,563,159.45


1,762,682.52


Payments January 1 to October 23, 1937


1,337,447.63


Balance October 23, 1937


425,234.89


1,762,682.52


Balance October 23. 1937


425,234.89


Receipts not entered on cash book


111.00


Cash on hand October 23, 1937: In office, verified


436.00


In banks, per check register:


Norwood Trust Company, General


124,912.61


Second National Bank of Boston,


General


267,768.29


Merchants National Bank of Boston,


General


24,561.72


Norwood Trust Company, Highway


Fund,


155.85


Second National Bank of Boston,


P.W.A. 7,511.42


425,345.89


Norwood Trust Company-General


Balance October 23, 1937, per statement $ 125,452.35


Deposit in transit verified 8,933.37


$134,385.72


Balance October 23, 1937, per check register 124,912.61


Outstanding checks October 23, 1937, per list 9,473.11


134,385.72


Second National Bank of Boston-General


Balance October 23, 1937, per statement $ 267,768.29


Balance October 23, 1937, per check register 267,768.29


425,345.89


187


Merchants National Bank of Boston-General


Balance October 23, 1937, per statement


Balance October 23, 1937, per check register


$ 24,561.72 24,561.72


Norwood Trust Company-Highway Fund


Balance October 23, 1937, per statement


$ 155.85


Balance October 23, 1937, per check register


155.85


Second National Bank of Boston-P.W.A.


Balance October 23, 1937, per statement


$ 7,511.42


Balance October 23, 1937, per check register


7,511.42


PROPERTY TAXES-1932


Tax titles disclaimed January 1 to October 23, 1937


$ 45.64


Abatements January 1 to October 23, 1937


45.64


PROPERTY TAXES-1933


Transferred to tax titles in error


$ 40.69


Payments to treasurer 1936


40.69


Tax titles disclaimed January 1 to October 23, 1937 Abatements January 1 to October 23, 1937


$ 68.86


68.86


POLL TAXES-1934


Outstanding January 1, 1936


$ 2.00


Payments to treasurer 1936


2.00


PROPERTY TAXES-1934


Outstanding January 1, 1936


$ 6,870.67


Payments and abatements refunded


2,756.32


Tax titles disclaimed


4.83


Transferred to tax titles in error


41.86


$9,673.68


Payments to treasurer


6,194.76


Abatements


3,141.11


Transferred to tax titles


337.81


9,673.68


Tax titles disclaimed January 1 to October 23, 1937


70.84


Abatements January 1 to October 23, 1937


70.84


188


POLL TAXES-1935


Outstanding January 1, 1936


$ 326.00


Additional commitment


30.00


Abatement cancelled


2.00


$ 358.00


Payments to treasurer


138.00


Abatements


166.00


Abatements poll taxes 1935 recorded as poll taxes 1936


30.00


Outstanding December 31, 1936


24.00


358.00


Outstanding January 1, 1937


24.00


Payments to treasurer January 1 to October 23, 1937


16.00


Abatements January 1 to October 23, 1937


8.00


24.00


PROPERTY TAXES-1935


Outstanding January 1, 1936


$


140,142.97


Payments and abatements refunded


6,096.59


Tax titles disclaimed


652.33


Transferred to tax titles in error


42.38


$146,934.27


Payments to treasurer


122,608.47


Abatements


6,711.39


Transferred to tax titles


11,993.54


Abatement taxes 1935 recorded as taxes 1936


95.84


Outstanding December 31, 1936


5,525.03


146,934.27


Outstanding January 1, 1937


5,525.03


Tax titles disclaimed January 1 to October 23, 1937


74.00


5,599.03


Payments to treasurer, January 1 to Octo- ber 23, 1937


4,225.78


Abatements January 1 to October 23, 1937


547.68


Transferred to tax titles January 1 to Octo- ber 23, 1937


825.57


5,599.03


POLL TAXES-1936


Commitment per warrant $ 10,144.00


Additional commitment 104.00


189


Payment and abatement refunded Abatement cancelled


2.00


2.00


Abatement poll taxes 1935 recorded as poll taxes 1936


30.00


$ 10,282.00


Payments to treasurer


9,650.00


Abatements


348.00


Outstanding December 31, 1936


284.00


10,282.00


ยท


Outstanding January 1, 1937


284.00


Payments to treasurer January 1 to October 23, 1937


96.00


Abatements January 1 to October 23, 1937


186.00


Outstanding October 23, 1937, per list


2.00


284.00


PROPERTY TAXES-1936


Commitment per warrant $ 780,768.44


Abatement taxes 1935 recorded as taxes 1936


95.84


Payments and abatements refunded


3,424.60


Overpayments refunded


9.72


$ 784,298.60


Payments to treasurer


578,233.31


Abatements:


Machinery tax


$60,432.48


Other


5,584.84


66,017.32


Transferred to tax titles


21,484.37


Abatements taxes 1936 recorded as motor vehicle excise taxes 1936


13.93


Outstanding December 31, 1936


118,549.67


784,298.60


Outstanding January 1, 1937


118,549.67


Overpayments refunded January 1 to Octo- ber 23, 1937 29.94


Tax titles disclaimcd January 1 to October 23, 1937


325.62


118,905.23


Payments to treasurer January 1 to Octo- ber 23, 1937 104,406.12


Abatements January 1 to October 23, 1937


511.60


190


Transferred to tax titles January 1 to Octo- ber 23, 1937 6,808.76


Taxes 1936 reported as taxes 1937


39.51


Interest on taxes refunded as taxes 1936


1.64


Outstanding October 23, 1937, per list


7,137.60


118,905.23


POLL TAXES-1937


Commitment per warrant $ 9,762.00


Additional commitment 46.00


$ 9,808.00


Payments to treasurer January 1 to Octo- ber 23, 1937


9,314.00


Abatements January 1 to October 23, 1937 242.00


Outstanding October 23, 1937, per list


252.00


9,808.00


PROPERTY TAXES-1937


Commitment per warrant


$ 722,787.52


Payments and abatements:


Refunded


33.60


To be refunded


20.80


Overpayments refunded


52.00


Taxes 1936 reported as taxes 1937


39.51


Interest on taxes reported as taxes 1937


.49


722,933.92 $


Payments to treasurer January 1 to Octo- ber 23, 1937


249,747.45


Abatements January 1 to October 23, 1937


3,749.83


Transferred to tax titles January 1 to Octo- ber 23, 1937


3,315.20


Outstanding October 23, 1937, per list


466,121.44


722,933.92


MOTOR VEHICLE EXCISE TAXES-1934


Outstanding January 1, 1936


$ 46.96


Payments to treasurer $ 24.76


Abatements


10.00


Motor vehicle excise taxes 1934 recorded as


motor vehicle excise taxes 1935 3.86


Outstanding December 31, 1936 8.34


46.96


191


Outstanding January 1, 1937


8.34


Payments to treasurer January 1 to Octo- ber 23, 1937


6.25


Abatements January 1 to October 23, 1937


2.09


8.34


MOTOR VEHICLE EXCISE TAXES-1935


Outstanding January 1, 1936


$ 1,270.78


Additional commitment per warrant


474.29


Payments and abatements refunded


34.14


Abatement cancelled


2.00


Motor vehicle excise taxes 1934 recorded as motor vehicle excise taxes 1935


3.86


Payments to treasurer


1,495.43


Abatements


37.58


Abatements motor vehicle excise taxes 1935


recorded as motor vehicle excise taxes 1936


123.98


Outstanding December 31, 1936


128.08


1,785.07


Outstanding January 1, 1937


128.08


Motor vehicle excise taxes 1937 recorded as


motor vehicle excise taxes 1935


62.93


191.01


Payments to Treasurer January 1 to Octo- 23, 1937


159.95


Abatements January 1 to October 23, 1937


28.55


Outstanding October 23, 1937, per list


2.51


191.01


MOTOR VEHICLE EXCISE TAXES-1936


Commitment per warrant $ 25,568.20


Payments and abatements refunded


962.81


Abatements motor vehicle excise taxes 1935 recorded as motor vehicle excise taxes 1936


123.98


Abatements taxes 1936 recorded as motor


vehicle excise taxes 1936


13.93


$ 26,668.92


Payments to treasurer


24,383.51


$ 1,785.07


.


192


Abatements Outstanding December 31, 1936, per list


1,728.56 556.85


26,668.92


Outstanding January 1, 1937


556.85


Additional commitment January 1 to Octo- ber 23, 1937


666.62


Payments and abatements refunded Janu- ary 1 to October 23, 1937


28.01


1,251.48


Payments to treasurer January 1 to Octo- ber 23, 1937


1,041.87


Abatements January 1 to October 23, 1937


142.11


Outstanding October 23, 1937, per list


67.50


1,251.48


MOTOR VEHICLE EXCISE TAXES-1937


Commitment per warrant $ 30,810.01


Payments and abatements refunded


1,069.92


$ 31,879.93


Payments to treasurer January 1 to Octo- ber 23, 1937


27,488.26


Abatements January 1 to October 23, 1937


2,008.56


Motor vehicle excise taxes 1937 recorded as


motor vehicle excise taxes 1935


62.93


Outstanding October 23, 1937, per list


2,320.18


31,879.93


SEWER ASSESSMENTS ADDED TO TAXES-1934


Outstanding January 1, 1936


$ 18.73


Tax titles disclaimed 10.25


$ 28.98


Payments to treasurer 1936


2.71


Transferred to tax titles 1936


26.27


28.98


SEWER ASSESSMENTS ADDED TO TAXES-1935


Outstanding January 1, 1936 $ 816.06


Payments and abatements refunded 11.20


$ 827.26


Payments to treasurer


683.75


Abatements 32.34


193


Transferred to tax titles


Outstanding December 31, 1936


35.81 75.36


827.26


Outstanding January 1, 1937


75.36


Payments to treasurer January 1 to Octo- ber 23, 1937


75.36


SEWER ASSESSMENTS ADDED TO TAXES-1936


Commitment per warrant


$ 1,930.22


Payments to treasurer


$ 1,047.48


Transferred to tax titles


252.36


Outstanding December 31, 1936


630.38


1,930.22


Outstanding January 1, 1937


630.38


Sidewalk assessments added to taxes 1936


reported as sewer assessments added to taxes 1936


21.01


651.39


Payments to treasurer January 1 to Oeto- ber 23, 1937


571.09


Transferred to tax titles January 1 to Oeto- ber 23, 1937


47.96


Sewer assessments added to taxes 1936 re- ported as sewer assessments added to taxes 1937


11.20


Outstanding October 23, 1937, per list


21.14


651.39


SEWER ASSESSMENTS ADDED TO TAXES-1937


Commitment per warrant $ 1,281.73


Sewer assessments added to taxes 1936 re-


ported as sewer assessments added to taxes 1937 11.20


$ 1,292.93


Payments to treasurer January 1 to Octo- ber 23, 1937 403.56


Transferred to tax titles January 1 to Octo- ber 23, 1937 116.03


Outstanding October 23, 1937, per list


773.34


1,292.93


194


SIDEWALK ASSESSMENTS ADDED TO TAXES-1935


Outstanding January 1, 1936


$ 417.50


Payments to treasurer $ 341.69


Abatements


21.77


Transferred to tax titles


27.00


Sidewalk assessments added to taxes 1935 reported as sidewalk assessments added to taxes 1936 11.17


Outstanding December 31, 1936


15.87


417.50


Outstanding January 1, 1937


15.87


Transferred to tax titles January 1 to Octo-


ber 23, 1937 15.87


SIDEWALK ASSESSMENTS ADDED TO TAXES-1936


Commitment per warrant $ 605.68


Sidewalk assessments added to taxes 1935


reported as sidewalk assessments added to taxes 1936 11.17


$ 616.85


Payments to treasurer


376.96


Transferred to tax titles


11.32


Outstanding December 31, 1936


228.57


616.85


Outstanding January 1, 1937


228.57


Payments to treasurer January 1 to Octo- ber 23, 1937


180.87


Transferred to tax titles January 1 to Octo- ber 23, 1937


15.87


Sidewalk assessments added to taxes 1936 reported as sewer assessments added to taxes 1936


21.01


Sidewalk assessments added to taxes 1936 reported as sidewalk assessments added to taxes 1937


10.82


228.57


SIDEWALK ASSESSMENTS ADDED TO TAXES-1937 Commitment per warrant $ 262.91


Sidewalk assessments added to taxes 1936 reported as sidewalk assessments added to taxes 1937 10.82


195


Payments to treasurer January 1 to Octo- ber 23, 1937


41.93


Outstanding October 23, 1937, per list


231.80


273.73


STREET BETTERMENTS ADDED TO TAXES-1934


Outstanding January 1, 1936


$ 760.29


Tax titles disclaimed 315.00


$ 1,075.29


Payments to treasurer 1936


345.89


Transferred to tax titles


718.40


Street betterment assessments added to


taxes 1934 recorded as street better- ment assessments added to taxes 1935 11.00


1,075.29


STREET BETTERMENT ASSESSMENTS ADDED TO TAXES-1935


Outstanding January 1, 1936 $ 1,474.40


Street betterment assessments added to taxes 1934 recorded as street better- ment assessments added to taxes 1935 Tax titles disclaimed


11.00


301.00


Abatements in excess


17.28


$ 1,803.68


Payments to treasurer


583.30


Abatements


73.08


Transferred to tax titles


1,029.80


Outstanding December 31, 1936


117.50


1,803.68


Outstanding January 1, 1937


117.50


Payments to treasurer January 1 to Octo- ber 23, 1937 79.50


Transferred to tax titles January 1 to Octo- ber 23, 1937


38.00


117.50


STREET BETTERMENT ASSESSMENTS ADDED TO TAXES-1936


Commitment per warrant


$


3,043.50


Payments to treasurer $ 1,688.09


$ 273.73


196


Transferred to tax titles Outstanding December 31, 1936


667.56 687.85


3,043.50


Outstanding January 1, 1937


687.85


Payments to treasurer January 1 to Octo- ber 23, 1937 572.35


Transferred to tax titles January 1 to Octo- ber 23, 1937 59.70


Outstanding October 23, 1937, per list


55.80


687.85


STREET BETTERMENT ASSESSMENTS ADDED TO TAXES-1937


Commitment per warrant $ 2,768.70


Payments to treasurer January 1 to Octo- ber 23, 1937 $ 365.45


Transferred to tax titles January 1 to Octo- ber 23, 1937 353.96


Outstanding October 23, 1937, per list




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