Official reports of the town of Wayland 1917-1918, Part 10

Author: Wayland (Mass.)
Publication date: 1917
Publisher: Printed at the Middlesex Freeman Office
Number of Pages: 406


USA > Massachusetts > Middlesex County > Wayland > Official reports of the town of Wayland 1917-1918 > Part 10


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


Cochituate Road


Cochituate Road from its junction with State Road at Way- land to Pond Street in Cochituate. also West Pond Street to the Natick line has been kept in repair and oiled during the past year by the Massachusetts Highway Commission. The


67


Town paying five hundred dollars ($500) for part of the ex- pense of oiling the roads. Owing to the high prices and scar- city of labor and material, also the heavy traffic over the road caused by the detour of travel from the State Road until late in the season, we did not think that it was for the best interests of the Town to rebuild the road in the village of Cochituate the past year.


In all departments of the Town we believe the business has been conducted in a conscientious manner during the year, and that the affairs of the Town are generally in good condition.


CHARLES A. BENSON, FRANK HAYNES, NAPOLEON PERODEAU.


68


REPORT OF FIANCE COMMITTEE


The Committee recommend the following appropriations : GENERAL ADMINISTRATION


Salaries


$3,500.00


Moderator


Selectmen


Treasurer


Auditor


Collector


Assessors


Overseers of the Poor


Town Clerk


Election Officers


Registrars


Sealer of Weights and Measures


Incidentals 1,400.00


Protection of life and property


Police


$1,400.00


Fire Department


1,500.00


2,900.00


Tree Warden Department


100.00


Health and Sanitation


Board of Health


250.00


Inspector of Animals, salary


75.00


325.00


Highways. Bridges and Sidewalks 4.500.00


69


Oiling Highways


2,500.00


7,000.00


Street Lighting


3,000.00


Moth Extermination


967.98


Charities


Support of Poor


1,600.00


Education


19,000.00


Covering School Committee salaries


Teachers and Janitors


Supplies


Transportation


Superintendent


Manual Training


Incidentals


Vocational School Tuition and including reimbursements 175.00


School Physician


75.00


Library and Reading Room


1,700.00


Memorial Day Celebration


200.00


Soldiers' Benefits


125.00


Cemeteries


Lake View


250.00


North and Centre


250.00


500.00


Sinking Fund


1,408.80


Wayland Schoolhouse Equipment Bonds


1,400.00


Cochituate Schoolhouse Bonds


1,500.00


Island Bridge Note


1,000.00


Interest


3,500.00


Total


$51,376.78


The above appropriations are recommended for the fiscal


70


year ending December 31st, 1919, in addition to such balances as appear on the Treasurer's books unexpended from last year's appropriations.


We recommend that the money for removing snow, town in- surance and surety bonds and requirements for legal claims be drawn from the Revenue Account. Also the overdrafts of the various accounts amounting to $1,289.88 be charged to Rev- enue Account.


FRANK IRVING COOPER, F. EDWIN DAVIS, GEORGE W. BISHOP, ERNEST F. LAWRENCE, WM. S. LOVELL.


71


ASSESSORS REPORT


Valuation of real estate April 1, 1918 .


$2,173,165.00


Valuation of personal estate April 1, 1918


246,797.00


Valuation of real estate April 1, 1917


2,148,300.00


Valuaton of personal estate April 1, 1917


204,268.00


Total valuation, 1918


2,419,962.00


Total valuation, 1917


2,352,568.00


Increase


67,394.00


Taxes required for town purposes


$52,214.83


State tax, regular


7,150.00


State highway tax


516.20


County tax


3,543.38


Overlay


173.38


Apportionment from State


22,294.18


Tax rate


16.60


Excise tax


829.98


Additional assessments


39.32


Polls assessed April 1. 1917


615


Polls assessed April 1, 1918


566


Number of assessed persons


1100


Number of residents assessed property


468


All others


7


Number of non-res. assessed prop.


263


All others 13


Total number of persons assessed on property 751


Total assessed on poll only 349


Number of horses assessed 234


Number of cows assessed 502


72


Number of swine assessed


306


Number of fowls assessed 2384


Numberof sheep assessed


14


Neat cattle other than cows


93


TAXES ABATED


Abated 1909, 1910, 1911, 1912 $44.45


Abated 1916


113.75


Abated 1917


134.12


AAbated 1918


26.56


NATHANIEL R. GERALD, DANIEL BRACKETT, ALFRED A. CARTER, Assessors of Wayland.


73


TAX COLLECTOR'S REPORT


1918


State Tax


$7,150.00


State Highway


516.20


County Tax


3,543.38


Town Tax


52,214.83


Overlay


173.38


Excise Tax


829.98


Additional


39.32


Collected. paid Treasurer


$13,975.81


Abated


26.56


Excise Tax


829.98


Balance


27,340.56


Apportionment from State


22,294.18


$64.467.09 $64.467.09


1917


Balance uncollected


$28,482.67


Collected. paid Treasurer


$10,572.23


Abated


134.12


Balance


$17.776.32


$28.482.67


$28.482.67


1916


Balance uncollected


$15,530.31


Collected, paid Treasurer


$6,698.45


Abated


113.75


74


Balance


8,718.11


$15,530.31


$15,530.31


1915


Balance uncollected


$4,616.57


Collected, paid Treasurer


$4,616.57


$4,616.57


$4,616.57


1914


Balance


$28.39


Collected, paid Treasurer


$28.39


$28.39


$28.39


1909. 1910. 1911, Amount Abated


$44.45


$44.45


Interest collected paid Treasurer Moth Tax


$490.78


1918


Amount Moth Tax


$619.61


Collected, paid Treasurer


323.16


Balance


$296.45


1917


Balance uncollected


$556.54


Collected, paid Treasurer


308.25


Balance


$248.29


1916


Balance uncollected


$333.42


Collected. paid Treasurer


240.82


Balance


$92.60


1915


Balance uncollected $50.68


75


31,23


Collected, paid Treasurer


Balance $19.45


All taxes for the year 1916 must be paid by March 1 or property will have to be advertised for sale.


The 1917 taxes must be paid in full before October 1.


LESTER R. GERALD, Collector.


76


TREASURER'S REPORT


Schedule I


Cash Statement


1918


Jan. 1 Cash balance


$3,193.58


Total receipts for 1918 (sched. II.)


139,616.19


$142,809.77


Total Payments (Sched. III)


142,401.61


Dec. 31. Cash balance


408.16


SCHEDULE II.


Cash Receipts Items


Jan. Interest on Deposit, revenue 5.70


City of Boston. G. C. Draper fund interest 20.00


James C. McKay. revenue 4.20


Town of Dover. Poor Department


136.20


Cambridgeport Savings Bank, Jas. Draper fund interest .. 10.00


E. F. Dorsheimer. police 1.25


State Treasurer. highways 951.43


State Treasurer, Mass. School Fund 1.029.65


C. A. Benson, cons. poor department 14.75


L. R. Gerald. collector tax 1914 28.39


L. R. Gerald, collector tax 1915 332.52


L. R. Gerald, collector tax 1916 999.13


L. R. Gerald, collector tax 1917 3,796.28


L. R. Gerald, interest on taxes 57.40


L. R. Gerald, moth taxes 10,71


Feb. Interest on dep. revenue 2.50


County Treasurer. dog license 384.56


State Treasurer, income tax 130.00


C. S. Williams, clerk, Water Department 219.93


School Board, education 8.00


Franklin Savings Bank, donation fund int 29.25


J. C. Vincent, hall rent 4.00


N. E. Tel. and Tel. Co., incidentals 4.30


C. S. Williams, clerk, Water Department 159.05


Natick Trust Co., tax note No. 90 5,000.00


Natick Trust Co., tax note No. 91 5,000.00


Mar. Interest on department revenue 2.01


L. R. Gerald, collector tax 1915 14.58


L. R. Gerald, colector tax 1916 21.47


L. R. Gerald, collector tax 1917 1,611.66 L. R. Gerald, collector interest on taxes 4.06


L. R. Gerald, collector moth taxe : 244.57


Hartford Steam Boiler Ins. Co., revenue 555.00


Natick Trust Co., tax note No.92 5,000.00 Natick Trust Co., tax note No. 93 5,000.00


C. S. Williams, clerk, Water Department 110.00


State Treasurer Income Tax 130.00


C. S. Williame, clerk Water Department 129.00


Apr. L. R. Gerald, collector tax 1915 928.64


L. R. Gerald, collector tax 1916 298.58


L. R. Gerald, colector tax 1917 1,787.66


L. R. Gerald, collector interest on taxes 87.75


T .. R. Gerald. collector moth taxes 15 89


78


1


C. S. Williams clerk, Water Department 101.50


Interest on dep. revenue 6.61


District Court fines, revenue 7.06


Natick Trust Co., tax note No. 94


5,000.00


Natick Trust Co., tax note, No. 95


5,000.00


Town of Natick, Poor Department


78.00


C. S. Wiliams, clerk, Water Department


304.23


State Treasurer, Schools 225.00


Suffolk Savings Bank, E. E. Draper fund interest 10.00


C. B. and Q. R.R. Bond coupon, Allen fund interest 20.00


C. S. Williams, clerk, Water Department 100.50


May Interest on dept. revenue 12.99


L. R. Gerald, collector tax 1915 873.16


L. R. Gerald, collector tax 1917 264.20


L. R. Gerald, collector interest on taxes


1.00


L. R. Gerald, moth taxes 0.93


Sinking Fund Commrs., tax note No.97 2,500.00


Natick 5c Savings Bank, cemetery trust funds 3,700.00


Natick 5c Savings Bank, cemetery trust funds 50.00


Sufolk Savings Bank, E. E. Draper trust funds 500.00


Natick Trust Co., tax note No. 96


5,000.00


D. J. Graham, supt. moth dept. 33.00


W. S. Draper, clerk, W. B. Braman fund


100.00


Natick 5c Savings Bank, cemetery funds interest 84.37


June Interest on dep. revenue 11.08


L. R. Gerald, collector tax 1915 384.12


L. R. Gerald, collector tax 1916


408.23


L. R. Gerald, collector tax 1917 85.44


79


1 .. R. Gerald, collector interest on taxes 43.90


Mass. Highway Com. police 2.62


W. S. Draper, clerk, cemetery 40.00


State Treasurer, Pond street 350.00


Natick Trust Co., tax note No. 98


5,000.00


County Treasurer, Pond Street


300.00


State Treasurer, moth department 24.00


D. J. Graham, supt. moth department 39.29 .


July


Interest on dep. revenue 6.45


F. H. Benedict supt. schools 9.66


L. R. Gerald, collector tax 1915


180.33


L. R. Gerald, collector tax 1916 10.10


L. R. Gerald, collector tax 1917 86.70


L. R. Gerald, collector interest on taxes 6.31


C. S. Williams, clerk Water Department 155.25


City of Boston, G. C. Draper fund interest 20.00


Natick 5c Savings Bank, tax note No. 99 5,000.00 District Court, fines, revenue 5.00


City of Boston, schools


18.00


C. S. Williams, clerk, Water Department


158.75


Cambridgeport Savings Bank, Jas. Draper fund interest .. 11.25


Natick Trust Co., tax note No.100


5,000.00


C. S. Williams, clerk, Water Department 205.58-


Aug. Interest on dept. revenue 4.46


N. E. Tel and Tel. Co., incidentals


2.12


L. R. Gerald, collector tax 1915 365.11


L. R. Gerald, collector tax 1916 225.75


L. R. Gerald, collector tax 1917 45.44


L. R. Gerald, collector interest on taxes 23.59


L. R. Gerald, moth taxes 4.19


C. S. Williams, clerk, Water Department 100 50


State Treasurer, Pond Street 550.00


County Treasurer Pond Street 550 00


80


County Treasurer, Pond Street 50.00


W. S. Draper, clerk, cemetery 12.00


J. C. Vincent, hall rent 4.00


Franklin Savings Bank, donation fund int. 29.25


Natick ốc Savings Bank, tax note No. 101 5,000.00


C. S. Williams, clerk, Water Department 111.00


W. S. Draper, clerk, Francis Moore fund 100.00


L. R. Gerald. collector, moth taxes 17.36


L. R. Ceraid, collector, tax 1915 231.92


L. R. Gerald, collector, tax 1916 1,294.99


L. R. Gerald, collector tax 1917 988.94


L. R. Gerald, collector interest on taxes 101 54


Sept. Interest on dep. revenue 4 15


State Treasurer, inspection animals 75.00


C. S. Williams, clerk, Water Department 222 50


U.S.' Treasurer, cemetery funds interest 55.87


U.S. Treasurer, cemetery funds interest 1.49


B. and A. R. R. Bonds, Loker fund interest 40.00


C. B. and Q. R. R. Bonds, Allen fund int. 20.00


U.S. Treasurer, E. E. Draper fund interest


7.45


L. R. Gerald, collector, tax 1915


166.18


L. R. Gerald, collector tax 1916 1,080.98


L. R. Gerald, collector tax 1917 671.05


L. R. Gerald, collector tax 1918 1,197.47


L. R. Gerald, collector interest on taxes 58.63


L. R. Gerald, collector moth taxes 44.82


Oct. Interest on dep. revenue 4.00


L. R. Gerald, collector tax 1915 649.37


L. L. Gerald, collector tax 1916 1,541.45


L. R. Gerald, collector tax 1917 132.08


L. R. Gerald, collector tax 1918 3,761.28


L. R. Gerad, collector interest on taxes 15.17


L. R. Gerald, collector moth taxes 295.58


District Court fines revenue 0.01


81


Cambridgeport Savings Bank, Jas Draper fund 500.00


Franklin Savings Bank, donation fund 1,300.00


District School Com. schools 625.00


L. R. Gerald, collector tax 1916 80.03


L. R. Gerald, collector tax 1917 608.09


L. R. Gerald, collector tax 1918 4,750.10


L. R. Geraid, collector interest on taxes 5.01


L. R. Gerald, collector moth taxes 91.48


C. S. Williams, clerk, Water Department 111.00


Nov. Interest on dep. revenue 6.56


L. R. Gerald, collector tax 1916 444.99


L. R. Gerald, collector tax 1917 157.34


L. R. Gerald, collector tax 1918 876.22


L. R. Gerald, collector interest on taxes


17.94


L. R. Gerald, collector moth taxes 21.19


L. R. Gerald, collector tax 1916 20.82


L. R. Gerald, collector tax 1917 35.22


L. R. Gerald, collector tax 1918 642.97


L. R. Gerald, Colllector interest on taxes 2.02


L. R. Gerald, collector moth taxes 16.38


State Treasurer, corporation tax


516.13


State Treasurer, corporation tax


7.14


State Treasurer, income tax


21,429.08


State Treasurer, National Bank tax


2,981.10


StateTreasurer, tuition children


440.05


State Treasurer, burial soldiers


74.00


State Treasurer, military aid


30.00


State Treasurer, State aid


1,032.00


State Treasurer, soldiers exemption 36.70


W. S. Draper, clerk, Edmund Rice Fund 100.00


B. and A. R.R. Bonds, Loker Fund interest 40.00


C. S. Williams, clerk, Water Department 122.67


L. R. Gerald, collector tax 1915 107.11


82


L. R. Gerald, collector tax 1916 12.94


L. R. Gerald, colector tax 1917 6.88


L. R. Gerald, colector tax 1918 414.91


L. R. Gerald, colector moth taxes 3.33


Dec. Interest on dep. revenue 8.78


W. S. Draper, clerk, cemetery ac. 60.00


W. S. Draper, clerk, Ira Underwood Fund 100.00


Frank Haynes, Moth Department


50.00


County Treasurer. Pond Street


785.52


State Treasurer, Pond Street


785.52


L. R. Gerald, collector tax 1915 377.53


L. R. Gerald, colector tax 1916 105.83


L. R. Gerald, collector tax 1917


114.27


L. R. Gerald, collector tax 1918


268.16


L. R. Gerald. collector interest on taxes


35.28


L. R. Gerald. collector moth taxes


15.27


Francis Shaw, treasurer. library 287.97


State Treasurer, corporation tax 22.18


C. S .Williams, clerk. Water Department k


132.08


W. S. Draper, clerk, semtery ac. 25.00


D. D. Griffin, board of health 20.00


Herbert Dudley, weights and measures 17.91


F. H. Benedict. supt. schools 1.81


L. R. Gerald. collector tax 1916 54.24


L. R. Gerald, collector tax 1917 180.98


L. R. Gerald. colector tax 1918 1070.10


L. R. Gerald. collector, interest on taxes 14.98


L. R. Gerald. collector, moth taxes 41.46


E. F. Dorsheimer. fire department 14.60


W. S. Draper. clerk. T. S. Sherman fund 200.00


Francis Shaw, treasurer library 26.53


James C. McKay. scales


5.20


State Treasurer, income tax 65.00


State Treasurer, income tax 195.00


83


L. R. Gerald, collector tax 1916 98.92


L. R. Gerald, collector tax 1918 994.60


L. R. Gerald, collector, interest on taxes 16.20


L. R. Gerald, collector moth taxes 50.33


Total Receipts $139,616.19


Schedule III.


TREASURER'S PAYMENTS BY DEPARTMENTS


Agency Payments


Taxes to County


3,543.38


Taxes to State


7,666.20


Taxes to State (National Bank)


12.46


Town Administration


Salaries


3,155.88


Incidentals


1,424.34


Insurance


549.18


Bonds


162.00


Town House Repairs


218.16


School House Boiler Repairs


555.00


Protection Life and Property


Police


1,414.43


Fire Department, Cochituate


1,170.89


Fire Department, Wayland


682.09


Fire Department Repairs


151.52


Tree Warden


122.26


Moth Department


1,866.11


Health and Sanitation


Board of Health


338.42


Inspection of Animals


100.00


Inspection of Schools


75.00


84


Highways, Bridges and Sidewalks


General Highways


6,897.14


4,489.39


Pond Street Removal of Snow


514.33


Street Lights


3,198.28


Charities


Poor Department


1,815.33


Poor Funds Income


142.75


Soldiers' Benefits


State Aid


1,287.00


Soldier's Relief


160.00


Education


19,753.83


Vocational School


352.50


Library and Reading Room


2,198.59


Memorial Day


195.69


Water Department


2,395.06


Cemeteries


525.00


Cemetery Funds Income


122.74


Interest


4,187.86


Sinking Fund


1,408.80


Town Indebtedness


Tax Notes Paid


55,000.00


Highway Notes Paid


3,500.00


Bridge Notes Paid


1000.00


School Bonds Paid


2,900.00


Funds invested (Liberty Bonds)


6,650.00


. Total Cash Payments


$142,401.61


TAX NOTES ACCOUNT Borowed in anticipation of Taxes


. .


1918


Jan. 1 Notes outstanding (76-78-80-82-83-84- 85-88) 40,000.00


Feb. 25 Natick Trust Co., No. 90, 8 mos. @ 51/2% 5,000.00 Feb. Natick Trust Co., No. 91, 1year @ 51/2% 5,000.00


Mar. 4 Natick Trust Co., No.92, 8 mos. @ 51/2% 5,000.00


Mar Natick Trust Co., No. 93, 1 year @ 51/2 5,000.00


Apr. 6 Natick Trust Co., No. 94, 8 mos, @ 51/2% 5,000.00


Apr.


Natick Trust Co., No. 95, 1 year @ 51/2% 5,000.00 6


May 3 Natick Trust Co., No. 96, 1 year @ 51/2% 5,000.00


May 3 Sinking Fund Com. No. 97, 9 mos. @ 51/2% 2,500.00


June 8 Natick Trust Co., No. 98, 1 year @ 51/2% 5,000.00 July 6 Natick ốc Sav. Bk, No. 99, 1 year @ 51/2% 5,000.00 July 20 Natick Trust Co., No. 100, 1 year @ 51/2% 5,00.00 Aug. 10 Natick 5c Sav. Bk., No. 101, 1 year @ 5% 5,000.00


NOTES PAID


1918.


Jan. 9 Natick Trust Co., No. 88 5,000.00


Feb. 27 Natick Trust Co., No. 84 5.000.00


Mar. 3 Natick Trust Co., No. 76 5.000.00


April Natick Trust Co., No. 78 5.000.00


May 5 State Treasurer, No. 80 5,000.00


June 9 Natick 5c Sav. Bk., No. 82


5,000.00


July 27 Natick 5c Sav. Bk., No. 83


5,000.00


Aug. 10 Natick 5c Sav. Bk., No. 85 5.000.00


Oct. 25 Natick Trust Co., No. 90 5.000.00


Nov. 4 Natick Trust Co., No. 92 5,000.00


Dec. 6 Natick Trust Co .. No. 94


5,000.00


$55,0000.00


86


Dec. 31 Notes outstanding (No. 91-93-95-96- 97-98-99-100-101) 42,500.00


$97,500.00 $97,500.00


NOTES AND BONDS OUTSTANDING


42 Town Bonds due Mar. 1,1919 42,000.00


12 School House Bonds due $1,000 annually 12,000.00


4 School House Bonds due $500 annually 2,000.00


3 School House Equipment due $1000 annually 3,000.00


3 School House Equipment due $400 annually 1,200.00


1 Bridge Note No. 54 due July 15, 1919 1,000.00


1 Tax Note No. 91 due Feb. 25. 1919 5,000.00


1 Tax Note No. 93 due Mar. 4, 1919 5,000.00


1 Tax Note due No. 95 April 6, 1919 5,000.00


1 Tax Note due No. 96, May 3, 1919 5.000.00


1 Tax Note due No. 97 Feb. 3, 1919 2,500.00


1 Tax Note due No. 98, June 8, 1919 5,000.00


1 Tax Note due No. 99, July 6, 1919 5,000.00


1 Tax Note due No. 100, July 20, 1919 5,000.00


1 Tax Note due No. 101, August 10, 1919 5,000.00


$103,700.00


INTEREST ACCOUNT.


Appropriation 5,000.00


Interest on Taxes 470.48


Trans. from Revenue Acct. 1,617.49


Payments


On Town Bonds 1,680.00


On School Bonds 620.00


87


On School Equipment Bonds


196.00


On Tax Notes


1,448.19


On Concord Road Notes


10.00


On Cochituate Road Notes


153.67


On Bridge Notes


80.00


On Overdraft of last year


1,617.49


Balance


1,282.62


$7,087.97


$7,087.9:


REVENUE ACCOUNT


Receipts


Interest on Bauk Deposits


75.89


Scales


9.40


District Court


12.07


Additional Assessments


39.32


Corporation Taxes


546.05


National Bank


2,968.64


State Aid


1,062.00


Hartford Boiler Insurance Co.


555.00


Soldier's Burial


74.00


Town Scales Appropriation


455.00


Fire Department Repairs Appropriation


.19


Gravel Path Appropriation


500.00


School Fire Protection Appropriation


21.33


Unexpended Balance of last year


10.340.53


Payments


Snow Bills


514.33


Town Insurance


549.18


Town Official Bonds


162.00


School Boiler Repairs


555.00


State Aid


1.787.00


Highway Notes (transfer)


3.500.00


88


Bridge Notes (transfer) 1,000.00


Abatement Taxes (overdraft 1917) 2,359.04


Interest Acct. (overdraft 1917) Balance December 31, 1918


1,617.49


4,615.38


$16,659.42


$16,659.42


LIBRARY TRUST FUNDS . .


Invested by Library Trustees :-


James Sumner Draper Fund


5,000.00


Cynthia Roby Fund 3,155.76 Childs Fund 100.00


$8.255.76


Invested by Sinking Fund


Commissioners, Securities turned over to Town


Treasurer. as per vote October 2, 1914 :- *Ella E. Draper Fund 500.00


*James Draper Fund 500.00


Grace Campbell Draper Fund


1000.00


*Reinvested bv Town Treasurer in 41/4% Reg. Liberty Bonds.


POOR TRUST FUNDS


Donation Fund (Reg.) 41/4% Liberty Bonds $1,300.00


Allen Fund (Reg.) C.B and Q.R.R. Bonds 4% 1.000.00


Loker Fund (Reg.) 2 B. and A.R.R. Bonds 4% 2,000.00


CEMETERY TRUST FUND


. .


All Invested in 414% Liberty Bonds (Reg.) W. S. Draper Fund $100.00


89


D. B. Heard Fund


100.00


Jackson Fund


100.00


A. M. Lovejoy Fund


200.00


E. L. Moore Fund


300.00


Parsons Fund


200.00


Henry Reeves Fund


100.00


Calvin Rice Fund


100.00


Roby Fund


400.00


A. M. Page Fund


50.00


E. R. Frost Fund


100.00


L. V. Thomas Fund


100.00


J. M. Russell Fund


100.00


P. M. Lee Fund


100.00


E. R. Johnson Fund


100.00


Edwin Gale Fund


100.00


Chas Holbrook Fund


150.00


Jude Damon Fund


100.00


Marshall Russell Fund


100.00


F. C. Heard Fund


100.00


Geo. Harrington Fund


100.00


A. H. Wellington Fund


100.00


A. C. Loker Fund


100.00


Edward Rice Fund


100.00


Brvand and Miller Fund


100.00


Ellen Ricker Fund


100.00


F. A. Wellington Fund


100.00


W. S. Wheeler Fund


100.00


Noyes Morse Fund


100.00


C. F. Miller Fund


50.00


Otis Locker Fund


100.00


WV. B. Braman Fund


100.00


Francis Moore Fund


100.00


Edmund Rice Fund 100.00


Ira U'nderwood Fund


100.00


90


T. S. Sherman Fund 200.00


$4,350.00


TRIAL BALANCES


Revenue


4,615.38


Abatement of Taxes


145.50


Salaries


99.66


Fire Department (Wayland)


288.08


Fire Department ( Cochituate)


248.08


Police


624.82


Board of Health


293.01


Inspection of Animals


125.00


Main Street


2,385.19


Sudbury Road Conduit


150.00


Pond Street


27.18


Highways


505.19


Street Light


453.19


Tree Warden


53.11


Poor Department


1 .


515.84


Incidentals


37.47


Town House Repairs Repairs


381.84


Education


41.28


State School Fund


.. 1,029.65


Vocational Schools


37.50


Library


73.49


Memorial Day


4.31


Moth Department


365.37


Soldiers Relief


328.41


Cemetery Account


251.29


North and Center Cemetery


.12


Lake View Cemetery


1.00


Interest


1,282.62


Water Department


147.40


91


Cash


.. 408.16


Cemetery and Poor Trust Funds


8,650.00


Library and Sinking Funds


53,846.89


Tax Loans


42,500.00


Town Bonds .


42,000.00


Bridge Note


1,000.00


School Bonds


. . 18,200.00


Cemetery Poor and Library Funds


18,905.76


Tax 1916


8,718.11


Tax 1917


17,891.81


Tax 1918


27,973.96


Cemetery Funds Income


361.44


Poor Funds Income


178.50


Library Funds Income


20.00


Net Debt


17,608.87


$136,387.68 136,387.68


APPROPRIATIONS FOR 1918 Additional credits thereto, and payments therefrom, and balances at end of year Dec. 31, 1918.


Additional


Apprn.


Credits $178.59


Payments


Balance


Abatement of taxes


Salaries


$3,200.00


55.54


3,155.88


99.66


Incidentals


1,200.00


186.87


1,424.34


*37.47


Police


2,000.00


39.25


1,414.43


624.82


FireDepartment, Cochituate


900.00


22.81


1,170.89


*248.08


Fire Department, Wayland


100.00


293.13


682.09


*288.96


Tree Warden


175.37


122.26


53.11


Board of Health


500.00


131.43


338.42


293.01


Inspection, Animals


150.00


75.00


100.00


125.00


Inspection Schools


75.00


75.00


Highways


6,000.00


1,191.95


+7,697.14


*505.19


Cochituate Road


2,000.00


285.19


2,385.19


Pond Street


4,462.21.


4,489.39*


*27.18


Street Lights


3,000.00


651.47


3,198.28


453.19


Moth Department


941.03


1,290.45


1,866.11


365.37


Poor Department


1,200.00


1,131.17


1,815.33


515.84


School Department


18,500.00


1,295.11


19,753.83


11.28


$324.09


*145.50


92


Library and Reading Room Memorial Day


1,600.00


672.08


2,198.59


$3.49


200.00


195.69


4.31


Soldiers' Relief


450.00


38.41


160.00


328.41


Lake View Cemetery


250.00


249.00


1.00


North and Center Cemetery


250.00


.62


250.50


.12


Sinking Fund


1,408.80


1,408.80


School Equipment Bonds


1,400.00


1,400.00


School House Bonds


1,500.00


1,500.00


Vocational School


90.00


225.00


352.50


*37.50


Interest


5.000.00


470.48


4,187.86


1,282.62


Repairs on Town House


600.00


218.16


381.84


Repairs on Engine House


150.00


150.00


Sudbury Road Conduit


150.00


150.00


State School Fund


1,029.65


1.029.65


Water Department


2,542.46


2,395.06


147.40


7


$52,214.83


$17.144.24


$62,293.64


$9,645.19


*Overdrafts.


+ Includes $800.00 transferred to Pond Street.


93


94


APPROPRIATIONS FROM REVENUE ACCOUNT


State Aid


$1,787.00


Removal of Snow


514.33


Insurance and Bonds


711.18


Highway and Bridge Notes


4,500.00


Overdrafts of 1917


3,976.53


$11,489.04


95


COMPARATIVE STATEMENT OF RECEIPTS


Taxes, current year


$35,365.69 $35,636.59


COMPARATIVE STATEMENT OF RECEIPTS


1917.


1918.


Taxes, current year


$35,365.69


$35,636.59


Taxes, prior years


24,143.18


22,240.64


Corporation Taxes from State


1,033.46


546.05


National Bank taxes from State


2,206.72


2,981.10


Street Railway taxes from State


73.20


Dog licenses, from County


281.70


384.56


Other Licenses


5.00


TownAdministration


Rent of Hall


27.00


8.00


Town scales


1.55


9.40


Protection of life and property


Court fines


168.06


12.07


Fire Department


25.78


14.60


Weights and Measures


16.57


17.91


Moth Department, from State


22.50


24.00


Moth Department, from others


272.10


122.29


Moth Department, from Tax Collector 519.50


903.46


Police


4.42


3.87


Highways


St. Ry. Excise tax


877.32


From State and County


4,470.79


4,322.47


Charities


Poor Department reimbursements


598.04


14.75


Other Cities and Towns


400.27


214.20


Income of Poor Trust Funds


142.75


178.50


96


Soldiers' Benefits


State Aid, from State


855.00


1,062.00


Burial Soldiers, from State


74.00


Education


Tuition, from State


572.55


440.05


Tuition, from others


27.00


18.00


Salaries, from State


625.00


625.00


Income of Trust Funds


8.00


8.00


Refunds and damages


46.99


11.47


Half dog licenses


140.85


192.28


Vocational School, from State


150.00


225.00


State School Fund


1,029.65


Library and Reading Room


Half dog licenses


140.85


192.28


Treasurer of Library Funds


405.62


314.50


Income of Trust Funds


110.00


110.00


Water Department


2,345.74


2,443.54


Cemeteries


Sale of lots, etc.


100.00


137.00


Income from Funds


156.97


141.73


Interest


On Treasurer's Bank Deposit


76.69


75.89


On taxes


864.89


490.78


Town Indebtedness


Tax Notes


62,500.00


57,500.00


Cochituate Road Note


3,000.00


Trust Funds


Cemetery Funds received


150.00


600.00


97


COMPARATIVE STATEMENT OF PAYMENTS


1917.


1918.


County Tax


$3,270.02


$3,543.38


State Tax


7,150.00


7,150.00


State Highway Tax


516.00


516.20


National Bank Tax


22.20


12.46


Town Administration




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.