USA > Massachusetts > Norfolk County > Norwood > Norwood annual report 1948-1950 > Part 40
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187.53
187.53
Expense of Officials Out of State
179.53
179.53
8.00
$2,719,625.40
$2,719,625.40
$2,386,838.71
$75,878.12 $2,462.716.83 $256,908.57
TOWN OF NORWOOD
270
OTHER OPERATING ACCOUNTS
Taxation and Available
Warrants
Transfers
Receipts
Total
Account
Payments $175.00
Payable
Total $175.00 13,390.73
$595.65
5,868.88
289.17
6,158.05
Garage, Gasoline and Oil
6,117.63
40.42
6,158.05
2,988.57
2,988.57
Public Works Stock Credits
2,988.57
Income High School English
Prize Fund
14.40
14.40
Smith Hughes Fund
1,060.56
1,060.56
George Barden Fund
400.00
400.00
Chickering Fund
16.00
16.00
Henry O. Peabody Fund
23,084.05
165.78
23,249.83
Library, Plimpton Fund
176.00
176.00
Morse Fund
16.04
16.04
Veterans' Housing Rentals
15,235.98
15,235.98
Veterans' Housing Guarantee
50.00
50.00
Agency
156,536.24
8,255.57
164,791.81
Estimated Receipts
72.08
72.08
Investment
4,875.00
4,875.00
Refund Guarantee, Deposits for
1,428.00
1,428.00
Trust
1,329.19
1,329.19
Refunds
8,186.63
8,186.63
Income Perpetual Care Fund
6.00
6.00
Purchase Savings Bond
1,624.00
150.00
1,774.00
$22,678.83
$454.17
$23,133.00
$232,797.87
$9,607.43
$242,405.30
$3,584.22
271
REPORT OF TOWN ACCOUNTANT
Unclaimed Land Damage Checks
$13,821.38
$165.00
$13,986.38
Garage Maintenance and Operation
12,395.07
$995.66
Balance
Deposits
Specification Forms
TOWN OF NORWOOD BALANCE SHEET, DECEMBER 31, 1949 GENERAL ACCOUNTS
.
Liabilities and Reserves
Cash:
Payroll Deductions:
In Banks and Office
$830,326.53
War Bond Purchases $126.50
Accounts Receivable:
Proceeds of Dog Licenses-Due County
14.40
Proceeds of Sporting Licenses-Due State 301.00
Levy of 1949
Poll Tax
$56.00
Tailings
40.12
Personal Property
2,772.12
Real Estate
42,617.23
Sale of Real Estate Fund
32,503.80
45,445.35
Warrants Payable
85,485.55
Motor Vehicle Excise Taxes Levy of 1949
2,700.66
Guarantee Deposits:
Electric Consumers'
$3,512.00
Electric Service Connections
997.01
Sewers Added to 1949 Tax
53.55
Committed Interest 1949
4.53
Sewer
15,360.82
Water
11,107.93
Contract Specifications
115.00
Tax Titles
38,598.88
Real Estate
100.00
31,192.76
Tax Title Possessions
27,862.29
Land Damage Checks Unclaimed
1,070.75
Departmental:
Real Estate
115.00
Cemetery Perpetual Care-Bequests
125.00
Sidewalks
55.65
Moth
199.25
General Government
1,181.35
Cemetery-Sale of Lots and Graves
70,077.39
TOWN OF NORWOOD
272
Assets
Taxes
Special Assessments:
58.08
Highway
348.92
Police
2,367.61
Sanitation 431.33
Schools
8,945.06
Welfare
3,035.66
Old Age Assistance
616.73
Fire
168.90
Rental Town Accounts
184.90
17,650.36
Public Service Enterprise:
Municipal Electric Light Rates
35,282.27
Miscellaneous
764.95
36,047.22
Water Department:
Rates
28,062.29
Miscellaneous
752.49
Water Liens Added to 1949 Taxes .... 154.25
28,969.03
Cemetery:
Sale of Lots and Graves
3,326.80
Care of Lots
6,949.50
10,276.30
Underestimates: County Tax 1949
5,058.44
Old Age Assistance Admins. 105.67
373.06
Electric Light Deposits Refunded in
Error 15.00
Veterans' Housing: 390.00 Surety Deposits Rentals 4,968.14
5,358.14
Overestimates 1949: State Assessments Income-Trust and Investment Funds:
1,451.28
Cemetery Perpetual Care Fund 11,687.34
Anna M. Day Cemetery Fund 1,226.98
Chickering Fund 9.05
Warren H. Cudworth Library Fund
35.23
Alice H. Plimpton Library Fund
1,884.78
E. Florence Morse Library Fund
17.29
William T. Whedon Library Fund
25.21
High School English Prize Fund
7.15
Harriet W. Lane Fund
40.00
Post War Rehabilitation Fund
680.00
Henry O. Peabody Fund 22,346.69
Electric Light-Consumers' Deposits 275.00
38,234.72
Library-Film Lending Service 261.00
Federal Grants:
Aid to Dependent Children Admins 267.39
REPORT OF TOWN ACCOUNTANT
273
BALANCE SHEET - Continued
Assets
Liabilities and Reserves
Revenue 1950
24,584.00
Unexpended Balances:
Revenue
196,992.16
Overpayment of Admissions Tax
7.92
Public Works Stock Credits
2,990.96
Reserve Fund-Overlay Surplus 2,868.10
Overlay Reserved for Abatement of Taxes:
Levy 1948
6,782.09
Levy 1949
4,732.73
Smith Hughes Fund
600.00
Revenue Reserved Until Collected:
Departmental Revenue
27,926.66
Motor Vehicle Excise Revenue
2,700.66
Special Assessment Revenue
58.08
Tax Title Revenue
38,598.88
Tax Title Possessions Revenue
27,862.29
Electric Light Revenue
36,047.22
Water Revenue
28,969.03
Surplus Revenue
423,855.73
$1,067,600.06
$1,067,600.06
274
TOWN OF NORWOOD
DEFERRED REVENUE ACCOUNTS
Apportioned Sewer Assessments Not Due $183.76
Apportioned Sewer Assessments Revenue: Due in 1950
$140.38
Due in 1951
43.38
Apportioned Street Betterment Assessments Not Due 357.21
$183.76
Apportioned Street Assessments Revenue:
Due in 1950
104.09
Due in 1951
104.08
Due in 1952
37.26
Due in 1953
37.26
Due in 1954
37.26
Due in 1955
37.26
357.21
$540.97
$540.97
.
REPORT OF TOWN ACCOUNTANT
275
276
DEBT ACCCOUNTS
Net Funded or Fixed Debt: Inside Debt Limit
$10,000.00
Outside Debt Limit
108,000.00
Loans Inside Debt Limit:
Sewers
$10,000.00
Loans Outside Debt Limit:
Schools
$86,000.00
Sewer
12,000.00
Water
8,000.00
Municipal Relief
2,000.00
108,000.00
$118,000.00
$118,000.00
TOWN OF NORWOOD
TRUST, INVESTMENT AND RETIREMENT ACCOUNTS
Trust, Investment and Retirement Funds:
Cemetery Perpetual Care Fund
$78,809.92
Cash and Securities
Anna M. Day Fund
5,000.00
In Custody of Town Treasurer $433,316.87
High School English Prize Fund
500.00
In Custody of Trustees
769,846.14
Warren H. Cudworth Fund
500.00
Municipal Light Consumers' Deposit Fund
13,400.00
Alice H. Plimpton Fund
11,000.00
E. Florence Morse Fund
500.00
William T. Whedon Fund
500.00
Harriet W. Lane Fund
800.00
Post War Rehabilitation Fund
52,500.00
Henry O. Peabody Fund
769,846.14
Municipal Contributory Retirement Funds
269,806.95
$1,203,163.01
$1,203,163.01
REPORT OF TOWN ACCOUNTANT
277
278
TOWN OF NORWOOD
TRIAL BALANCE December 31, 1949
Credits
Cash
Warrants Payable
56.00
Poll Taxes 1949
2,772.12
Personal Taxes 1949
42,617.23
Real Estate Taxes 1949
2,700.66
Apportioned Sewer Assessments 1949
53.55
Committed Interest 1949
4.53
Water Liens Added to 1949 Taxes
154.25
Tax Titles
38,598.88
Tax Title Possessions
'Accounts Receivable
Real Estate
115.00
Sidewalks
55.65
Moth
199.25
Cemetery
3,326.80
Cemetery, Care of Lots
6,949.50
General Government
1,181.35
Highway
348.92
Police
2,367.61
Sanitation
431.33
Schools
8,945.06
Welfare
3,035.66
Old Age Assistance
35,282.27
Electric Light
764.95
Water Rates
752.49
Fire
168.90
Rental Town Accounts
184.90
Revenue Appropriations
2,990.96
Bond Deductions
126.50
Admissions Tax
7.92
Federal Grant-Aid to Dependent Children Adm.
267.39
Old Age Assistance Adm.
105.67
Smith Hughes Fund
600.00
Federal Housing-Rents
4,968.14
Deposits
390.00
Revenue 1950
24,584.00
Guarantee Deposits-Consumers' Electric Light
3,512.00
Electric Service Connections
997.01
Dogs
14.40
Sewers
15,360.82
Sporting
301.00
Debits
$830,326.53
$85,485.55
196,992.16
Public Works Stock Account
616.73
Electric Light Rates
28,062.29
Water Department
27,862.29
Motor Vehicle Excise Taxes 1949
279
REPORT OF TOWN ACCOUNTANT
Debits
Credits
Water
11,107.93
Real Estate
100.00
Specification Forms
115.00
Sale of Real Estate Fund
32,503.80
Interest on Consumers' Deposits
275.00
Tailings
40.12
Electric Light Deposits Refunded in Error
15.00
Land Damage Checks Unclaimed
1,070.75
Cemetery Perpetual Care Bequests
125.00
Cemetery Perpetual Care Fund Income
11,687.34
Anna M. Day Fund Income
1,226.98
Chickering Fund Income
9.05
W. H. Cudworth Fund Income
35.23
Alice H. Plimpton Fund Income
1,884.78
E. Florence Morse Fund Income
17.29
William T. Whedon Fund Income
25.21
High School English Prize Fund Income
7.15
Post War Rehabilitation Fund Income
680.00
Harriet W. Lane Fund Income
40.00
Henry O. Peabody Fund Income
22,346.69
County Tax
5,058.44
State Assessments
1,451.28
Library Film Lending Fund
261.00
Cemetery Available Funds
70,077.39
Reserve Fund Overlay Surplus
2,868.10
Overlay-1948 1949
4,740.73
Departmental Revenue
27,926.66
Motor Vehicle Excise Revenue
2,700.66
Special Assessments Revenue
58.08
Tax Title Revenue
38,598.88
Tax Title Possessions Revenue
27,862.29
Electric Light Revenue
36,047.22
Water Revenue
28,969.03
Excess and Deficiency
423,855.73
Apportioned Sewer Assessments Not Due
183.76
140.38
Apportioned Sewer Assessment Due in 1950
43.38
Apportioned Street Betterment Assessments Not Due Apportioned Street Betterment Assessments Due in 1950 Apportioned Street Betterment Assessments Due in 1951
357.21
104.09
Apportioned Street Betterment Assessments Due in 1952
37.26
Apportioned Street Betterment Assessments Due in 1953
37.26
Apportioned Street Betterment Assessments Due in 1954 Apportioned Street Betterment Assessments Due in 1955
37.26
Net Bonded Debt Inside
10,000.00
Net Bonded Debt Outside
108,000.00
Sewer Loans-Inside
10,000.00
86,000.00
School Loans-Outside
104.08
37.26
Apportioned Sewer Assessment Due in 1951
6,782.09
280
TOWN OF NORWOOD
Debits
Credits
Sewer Loans-Outside
2,000.00
Water Loans-Outside
933,356.06
Trust Funds Cash and Securities
78,809.92
Cemetery Perpetual Care Fund
5,000.00
Anna M. Day Cemetery Fund
500.00
High School English Fund
500.00
Warren H. Cudworth Fund
11,000.00
Alice H. Plimpton Fund
13,400.00
Municipal Light Consumers' Trust Fund
500.00
E. Florence Morse Fund
500.00
William T. Whedon Fund
800.00
Harriet W. Lane Fund
52,500.00
Post War Rehabilitation Fund
769,846.14
Henry O. Peabody Fund
$2,119,497.09
$2,119,497.09
12,000.00
Municipal Relief Loans-Outside
8,000.00
MUNICIPAL ELECTRIC LIGHT DEPARTMENT Plant Investment Account
Total Cost
$9,636.68
Land
Book Value Jan. 1, 1949 $9,636.68
Additions During Year
Deprecia-
tion
Book Value $9,636.68
80,759.53
Structures
37,578.46
$253.60
$4,025.75
33,788.31
216,460.69
Transformer Station Equipment
59,866.12
10,830.61
10,281.50
60,415.23
264,864.15
Poles, Fixtures and Conductors
55,320.14
24,395.06
12,080.15
67,635.05
53,256.90
Underground Conduits
24,636.11
5,056.71
2,410.01
27,282.81
66,952.11
Underground Conductors
37,135.87
7,149.11
3,144.11
41,140.87
69,917.60
Consumers Meters
12,198.43
1,103.16
3,440.72
9,860.87
42,778.79
Consumers Meters Installation
30,475.21
3,886.74
1,944.60
32,417.35
62,291.63
Line Transformers
14,614.48
3,057.30
2,961.72
14,710.06
30,189.16
Transformer Installation
14,232.88
11,205.67
949.17
24,489.38
67,307.20
Street Light Equipment
9,031.91
31,758.71
1,777.43
39,013.19
$964,405.44
$304,726.29
$98,678.67
$43,015.16
$360,389.80
REPORT OF TOWN ACCOUNTANT
281
COMPARATIVE BALANCE SHEET STATEMENT
Assets
Jan. 1, 1949
Investments
Dec. 31, 1949 $360,389.80 20,827.73
Increase $55,663.51 1,987.37
Decrease
$304.726.29
Plant Investment
18,840.36
General Equipment
Current Assets
$16,232.41
Special Deposits
$17,909.01
$1,676.60
18,693.64
Accounts Receivable
36,047.24
17,353.60
4,787.80
Materials and Supplies
6,463.60
1,675.80
230.16
Prepaid Insurance
230.16
96,286.19
Depreciation Fund
31,109.93
$65,176.26
$459,796.85
$472,977.47
$13,180.62
$65,176.26
Liabilities
$16,232.41
Consumers Deposits
$17,909.01
$1,676.60
216,808.00
Loans Prepayments
216,808.00
32.724.15
Appropriated for Construction Repayment
32,724.15
194,032.29
Profit and Loss Balances
205,536.31
11,504.02
$459,796.85
$472,977.47
$13,180.62
OPERATING REVENUE STATEMENT
Metered Sales to Private Consumers Street Lighting Revenue Other Municipal Revenue
Dec. 31, 1949
Increase
Decrease
$408.100.32
$23,044.95
15,600.00
357.50
25,548.25
2,433.35
282
TOWN OF NORWOOD
INCOME STATEMENT
Operating Revenue Operating Expenses
$449,248.57 412,211.37
$25,835.80 12,778.49
Net Operating Revenue
$37,037.20
$13,057.31
Merchandise and Jobbing Revenue
526.14
$1,015.64
Interest Income
275.00
25.00
Gross Income
$37,786.06
$12,066.67
Interest on Bonds and Notes
415.36
62.22
Income Balance Transferred to Profit and Loss
$36,370.70
$12,004.45
PROFIT AND LOSS STATEMENT
Credits
Credit Balance at Beginning of Year
$194,032.29
Credit Balance Transferred from Income Account
36,370.70
$230,402.99
Debits
Deduction from Surplus Balance Profit and Loss December 31, 1949
$24,866.68
205,536.31
$230,402.99
REPORT OF TOWN ACCOUNTANT
283
OPERATING EXPENSE
Electric Energy Purchased
$257,338.07
Increase $6,325.89
Decrease
Operation:
Transformer Station Labor
16,428.44
874.44
Transmission and Distribution Lines
13,607.83
3,731.35
Inspecting and Testing Meters
815.11
$258.28
Removing and Resetting Meters
1,568.07
17.25
Removing and Resetting Transformers
404.98
1,180.87
Maintenance:
Transformer Station Structures
862.82
123.99
Transformer Station Equipment
3,825.31
1,256.81
Transmission and Distribution Lines
18,873.81
5,619.70
Underground Conduits
107.71
7.16
Underground Conductors
617.71
561.83
Consumers Meters
941.61
443.40
Transformers
.
1,358.51
1,226.17
UTILIZATION
Maintenance of Municipal Street Lamps
$4,485.58
$355.13
Maintenance of Consumers Installation
2,623.37
501.33
284
TOWN OF NORWOOD
COMMERCIAL
Salaries (Services by Other Departments) Advertising
$22,150.00 1,845.63
$1,191.65
MISCELLANEOUS
Salary of Superintendent
$4,825.59
$225.59
Other General Department Salaries
2,635.52
7.55
Office Supplies and Expenses
1,242.62
802.29
General Office Rents
1,800.00
Pensions
2,753.14
2.44
Insurance
2,460.85
892.33
Transportation
1,782.54
277.86
Inventory Adjustments
543.98
543.98
Maintenance of General Structures
1,779.12
82.40
Depreciation
43,946.51
584.11
Miscellaneous General Expenses
586.88
377.31
Total Operating Expenses
$412,211.37
$12,778.49
.
REPORT OF TOWN ACCOUNTANT
285
286
TOWN OF NORWOOD
WATER DEPARTMENT
Cash Received at Office of Town Treasurer:
Water Rates
$111,775.07
Fees
Service and Materials
1,034.06
Sale of Water, Veterans' Project
480.00
Hydrant Rental
6,720.00
Water Liens Added to 1949 Taxes
772.32
Water Liens Added to 1948 Taxes
358.50
Balance 1948 Maintenance and Construction
8,401.02
$129,559.97
Disbursements
Maintenance and Operation
$79,753.35
Extension of Mains (Construction)
57,336.81
Service Charges from Other Departments
16,950.00
Debt and Interest Charges
2,175.00
Reserved Balance December 31, 1949
Appropriations for:
Extension of Mains (Construction)
24,027.74
Water Maintenance
293.50
Water Operation
2,330.00
$182,866.40
Transfer from Surplus Revenue Account of Water
Revenue Returned to General Treasury 53,306.43
$129,559.97
CEMETERY PERPETUAL CARE BEQUESTS 1949
Total of Bequests to January 1, 1949
$81,066.42
Received during year 1949:
Lot No.
Donor
2402 Arnold M. Chamberlain
$125.00
2384 Eben W. Dean
125.00
609
Pauline O'Malley 125.00
150.00
1397
Ignace Grudinskas
150.00
1205
Julia Dempsey
150.00
295
Estate of Nettie J. Smith
150.00
61
Francis J. Squires
200.00
122
Albert Rafuse, Mrs. Edward Pendergast et al.
200.00
2424
Elmer and Hulda Honeth
125.00
1226
George A. White
150.00
1569
John Lukashewicz
125.00
1461
Anastasia Medivaskas
19.00
287
REPORT OF TOWN ACCOUNTANT
1672
Mary E. Stone
150.00
2321 Paul A. Kruchas
125.00
326 Charles E. Stewart 250.00
2426 Robert B. Early
125.00
2063
William and Victoria Grinkevicius
125.00
2415
John D. McMillen
125.00
1726
Michael and Annie Waytekunas
125.00
Single Graves
3438 Nader Kalliel, Jr.
25.00
3428
Axel E. Hertzberg
25.00
$83,916.42
CONTRIBUTORY RETIREMENT - 1949 Membership
Active Membership December 31, 1948:
Group A - Male 106, Female 37
Group B - Male 34 Total 177
Enrolled during year 1949: Group A - Male 3, Female 4
Group B - Male 4
Total 10
1
Withdrawals, Deaths and Retirements: Group A - Male 3, Female 3 Group B - Male 4 Total 10
Active Membership, December 31, 1949: Group A - Male 106, Female 38 Group B - Male 34
Total 178
Pensions
Inactive Membership December 31, 1948: Group A - Male 24, Female 6 Group B - Male 4 Total 34
Retirements during year 1949: Group A - Male 1 Total 1
Deaths of Retired Members during year: Group A - Male 3 Withdrawals and Transfers
Total 3
Total 2
Total 30
Inactive Membership on December 31, 1949 Total Active and Inactive Membership on December 31, 1949:
Group A - Male 127, Female 43 Group B - Male 38 Total 208
288
TOWN OF NORWOOD
CONTRIBUTORY RETIREMENT - 1949
Income
From Members:
Group A
4,144.75
$25,383.85
From Town:
Appropriation as Contributor,
$21,599.00
Pension Fund
1,500.00
$23,099.00
From Interest:
On Bonds and Stocks
298.39
On Deposits in Banks
7,024.64
$55,507.49
Disbursements
Annuity Payments:
Group A
1.80
$1,805.12
Pension Payments:
Group A
$19,395.23
Group B
1,127.64
$20,522.87
Refunds:
$2,252.04
Group A
108.96
Group B
$2,361.00
Investments
$29,852.85
Accrued Interest
22.92
$29,875.77
Administrative Expense:
Salary of Clerk
$1,053.93
Printing and Stationery
48.23
Travel and Members Association Expense
170.25
Postage and Incidentals
42.00
New Equipment
96.75
$1,411.16
$55,975.92
$1,803.32
Group B
$6,726.25
Administration Expense
$21,239.10
Group B
289
REPORT OF TOWN ACCOUNTANT
Assets
Bonds and Stocks at Book Value
$240,735.36
Cooperative Bank Shares at Book Value
6,000.00
Deposits in Banks Not at Interest
7,827.28
Deposits in Banks at Interest
13,545.00
Interest Due and Accrued December 31, 1949
1,699.31
$269,806.95
Liabilities
Annuity Savings Fund
$158,172.71
Annuity Reserve Fund
13,860.98
Special Fund for Military Service Credit
3,246.33
Pension Fund
91,583.29
Expense Fund
590.93
Inactive Members Annuity Savings Fund
2,352.71
$269,806.95
The Honorable Board of Selectmen,
Gentlemen:
The foregoing is submitted as the report of the Town Clerk and Accountant for the year ending December 31, 1949, setting forth abstracts of the records of town meetings and elections, vital statistics and statements of the appropriations and expenditures and the receipts from each source of income, also statement of funded debt, information relative to maturities and debt, the balance sheet showing the assets and liabilities at the close of the fiscal year.
I certify that I have examined the securities and savings deposits of the Trust Funds in the hands of the Town Treasurer and find them to be correct as shown in the following schedule:
TRUST FUND SECURITIES - DECEMBER 31, 1949
High School English Prize Fund
Interest Dates
27/8 Treasury Bonds 1955-60 Nos. 199157H, 58J,
59K, 60L, 61A M & S 15 $500.00
E. Florence Morse Library Fund
U. S. Bond Series G # D440133, October 1954 A & O 1 $500.00
Anna M. Day Fund
U. S. Bond Series G # V252070, April 1955 A & O 1 $5,000.00
William T. Whedon Fund U. S. Bond Series G #D349400, August 1954 F & A 1 $500.00
290
TOWN OF NORWOOD
Harriet W. Lane Fund
Interest
Dates
U. S. Bonds Series G # D774212, May 1955
M & N 1
$500.00
C1472468, 69, 70, May 1955 M & N 1 300.00
$800.00
Electric Service Deposits
U. S. Bonds Series G M69932, 33, 34, 35, May 1953.
M & N 1
$4,000.00
M160068, M802844, July 1954 J & J 1
2,000.00
M2810077, 078, May 1956 M & N 1
2,000.00
M3501483, May 1957 M & N 1
1,000.00
M6202563, 6201958, March 1960 M & S 1
2,000.00
M7345567, 568, December 1961
J & D 1
2,000.00
Norfolk County Trust Co. Checking Account
400.00
$13,400.00
Alice H. Plimpton Fund
U. S. Bonds Series G M178138, 39, 40, 41, 42
August 1953
F & A 1
$5,000.00
M2769479. April 1956
A & O 1
1,000.00
M2806226, 27, 28,29, 31, April 1956
A & O 1
5,000.00
$11,000.00
Post War Rehabilitation Fund
U. S. Bonds Series G X278729, 30, 31, 32, 33
April 1955
A & O 1
$50,000.00
M2807709, May 1956 M & N 1
1,000.00
C2736532, C2736816, May 1956 M & N 1
200.00
D1527366, October 1956
A & 0 1
500.00
C3100255, October 1956
A & O 1
100.00
D1822645, May 1957
M & N 1
500.00
C3487836, 837, May 1957
M & N 1
200.00
$52,500.00
Warren H. Cudworth Fund
Dedham Institution for Savings # 62375
M & N 10
$500.00
Cemetery Perpetual Care Fund
27/8 Treasury Bonds 1955-60, 179298J, 277430L, M & S 15 288698J. 99K, 199162B, 63C, 64D M & S 15
$2,000.00
10 Pd. up shares Forest Hills Co-op. Bank F, M, A, N 1
2,000.00
10 Pd. up shares Hyde Park Co-op. Bank M, J, S, D 1
2,000.00
U. S. Bonds Series G
M178143, August 1953 F & A 1 1,000.00
500.00
291
REPORT OF TOWN ACCOUNTANT
Interest Dates
D57565, August 1953
F & A 1
500.00
V126633, May 1954
M & N 1
5,000.00
M692051, 052, May 1954
M & N 1
2,000.00
X279701, April 1955
A & O 1
10,000.00
V252067, April 1955
A & O
5,000.00
C1231737, April 1955
A & O 1
100.00
M1635743, 44, 45, 46, April 1955
A & O 1
4,000.00
D1320213, April 1956
A & O 1
500.00
M2731593, April 1956
A & O 1
1,000.00
M2988147, June 1956
J & D 1
1,000.00
C2829358, 359, 360, June 1956
J & D 1
300.00
C3161643, 644, November 1956
M & N 1
200.00
M3178352, November 1956
M & N 1
1,000.00
M3499020, May 1957
M & N 1
1,000.00
D1822644, May 1957
M & N 1
500.00
C3487834, 835, May 1957
M & N 1
200.00
M4166577, November 1957
M & N 1
1,000.00
D2100144, November 1957
M & N 1
500.00
C3908904, 905, November 1957
M & N 1
200.00
M5056763, 764, 765, November 1958
M & N 1
3,000.00
C4477665, 666, 667, November 1958
M & N 1
300.00
M5637759, 760, July 1959
J & J 1
2,000.00
M6666005, 6, 7, November 1960
M & N 1
3,000.00
M7345569, 570, December 1961
J & D 1
2,000.00
D3267504, December 1961
J & D 1
500.00
C5733699, 700, 701, December 1961
J & D 1
300.00
Dedham Institution for Savings # 70351
M & N 10
6,143.00
Wildey Savings Bank # 169733
M & N 25
4,000.00
Brookline Savings Bank # 105782
J & J 20
1,450.00
Charlestown 5c Savings Bank # 227562
A & O 15
4,000.00
Boston 5c Savings Bank # 1147096
A & O 1
4,000.00
Franklin Savings Bank # 199149
F & A 10
2,000.00
Boston Penny Savings Bank # 235356
A & O 12
4,616.92
$78,809.92
Retirement Fund
Westchester Lighting Co. 31/2s 1967 8017-18 J & J 1 $2,000.00
Atchison, Topeka & Santa Fe 4s RB3166 A & O 1
5,000.00
N. Y. Central & Hudson River 31/2s 1997 J & J 1
Reg. M8800, 1, 2, 3, 4, M9463, 4, 5
8,000.00
Reg. X7509 J & J 1
10,000.00
Northern Pacific Prior Lien 4s 1997 Reg. 9654 J, A, J & O 1
10,000.00
Reading Co. 31/8s 1995 63393-63407 incl. M & N 1
15,000.00
Nashville, Chattanooga & St. Louis 3s 1986 13594-13603 incl. F & A 1 10,000.00
American Tel & Tel. Co. 23/4s 1980
292
TOWN OF NORWOOD
Interest Dates F & A 1 F & A 1
10,000.00
RV41
5,000.00
American Tel. & Tel. Co. 25/gs 1986
RX110
J & J 1
10,000.00
RV30
J & J 1
5,000.00
Narragansett Electric Co. 3s 1974 21391-95 incl. M & S1
5,000.00
Montana Power Co. 27/gs 1975 2707-11 incl. A & O 1
5,000.00
Ohio Power Co. 3s 1978 29256-260 incl.
A & O 1
5,000.00
New England Tel. & Tel. Co. 3s 1974 TM10336, 37, 38, 39, 40
M & S 15
5,000.00
100 Shares First Nat. Bank of Boston #236748
J & J 1
4,912.50
50 Shares First Nat. Bank of Boston #238466 J & J 1
2,537.50
100 Shares First Nat. Bank of Boston #242340
J & J 1
4,815.35
U. S. Savings Bonds Series G
V13129, May 1953 M & N 1
5,000.00
M70598, 599, 600, M73201, 202, May 1953
M & N 1
5,000.00
M226767, 768, 769, September 1953
M & S 1
3,000.00
X181352, X170194, May 1954
M & N 1
20,000.00
M740324, July 1954 J & J 1
1,000.00
X280180, X279703, April 1955
A & O 1
20,000.00
M2682496, 497, 498, March 1956
M & S 1
3,000.00
X482378, June 1956
J & D 1
10,000.00
M3374217, 218, December 1956
J & D 1
2,000.00
V575516, June 1957
J & D 1
5,000.00
X790674, 675, June 1959
J & D 1
20,000.00
V892554, June 1960
J & D 1
5,000.00
X1123403, 404, May 1961 M & N 1
20,000.00
10 Pd. up shares Merrimac Co-op Bank # 1358 F, M, A & N 1
2,000.00
10 Pd. up shares Norwood Co-op Bank #233 J, A, J & O 1
2,000.00
10 Pd. up shares Hyannis Co-op. Bank # 1209 J, A, J & O 18 2,000.00
Dedham Institution for Savings #72229
M & N 10
4,000.00
East Boston Savings Bank # 120970
J & J 15
1,005.00
Malden Savings Bank # 155338
A & O 10
4,040.00
Danvers Savings Bank # 6994
A & O 1
2,500.00
Natick 5c Savings Bank #59334
M & N 12
1,000.00
Newton Savings Bank # 85338
J & J 10
1,000.00
$260,810.35
WALTER A. BLASENAK, Town Clerk and Accountant
February 14, 1950
Norfolk, ss.
Then personally appeared the above named Walter A. Blasenak and made oath that the foregoing statement is true.
WARREN L. MILLIKEN, Notary Public, My Com. expires Sept. 20, 1951
RX234
293
REPORT OF STATE AUDIT
REPORT OF STATE AUDITORS
DEPARTMENT OF CORPORATIONS AND TAXATION
DIVISION OF ACCOUNTS Made in Accordance with the Provisions of Chapter 44, General Laws THE COMMONWEALTH OF MASSACHUSETTS
To the Board of Selectmen,
Mr. Walter J. Dempsey, Chairman, Norwood, Massachusetts.
Gentlemen:
I submit herewith my report of an audit of the books and accounts of the Town of Norwood for the year ending December 31, 1948, made in accordance with the provisions of Chapter 44, General Laws. This is in the form of a report made to me by Herman B. Dine, Assistant Director of Accounts.
Very truly yours,
FRANCIS X. LANG, Director of Accounts.
Mr. Francis X. Lang, Director of Accounts,
Department of Corporations and Taxation,
State House, Boston.
Sir:
In accordance with your instructions, I have made an audit of the books and accounts of the Town of Norwood for the year ending December 31, 1948, and submit the following report thereon:
The records of financial transactions of the several departments receiving or disbursing money for the Town, or committing bills for collection, were examined and verified by comparison with the books and records in the office of the Treasurer and the Town Accountant.
The books and accounts in the office of the Town Accountant were examined and checked. The recorded receipts were compared with the Town Treasurer's books and with the records of the several departments collecting money for the Town or
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