USA > Massachusetts > Middlesex County > Wayland > Official reports of the town of Wayland 1933-1935 > Part 5
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Recommitment August 15, 1932 $5.00
Outstanding December 31, 1932 and June 24, 1933
$5.00
84
MOTH ASSESSMENTS-1930 Theodore H. Harrington, Collector
Outstanding January 1, 1932 $54.50
Payments to treasurer
$34.50
Transferred to tax titles
7.00
Outstanding December 31, 1932
13.00
$54.50
Outstanding January 1, 1933
$13.00
Abatements January 1 to June 24, 1933
$1.25
Tax title on moth assessments reported as taxes 1930 3.50
Moth assessments 1931 reported as taxes 1931
6.50
Outstanding June 24, 1933, per list
1.75
$13.00
MOTH ASSESSMENTS-1931 Theodore H. Harrington, Collector
Outstanding January 1, 1932
$140.50
Payments to treasurer
$62.50
Transferred to tax titles
7.00
Outstanding December 31, 1932
71.00
$140.50
Outstanding January 1, 1933
$71.00
Payments to treasurer January 1 to June 24, 1933
$31.25
Tax title on moth assessments 1931 reported as taxes 1931
1.50
Moth assessments 1931 reported as
taxes 1931
2.00
Outstanding June 24, 1933, per list
36.25
$71.00
MOTH ASSESSMENTS-1932 Theodore H. Harrington, Collector
Commitment per warrant $332.75
85
Payments to treasurer Transferred to tax titles Outstanding December 31, 1932
$200.25 6.50 126.00
$332.75
Outstanding January 1, 1933
$126.00
Payments to treasurer January 1 to June 24, 1933
$27.75
Moth assessments 1932 reported as taxes 1932
3.00
Outstanding June 24, 1933, per list
95.25
$126.00
RECONCILIATION OF COLLECTOR'S CASH Theodore H. Harrington, Collector
Balances June 24, 1933 :
Taxes :
1931
$187.50
1932
203.75
Motor vehicle excise taxes :
1931
2.34
1932
36.43
1933
507.53
Interest :
Taxes 1931
15.37
Taxes 1932
8.58
Motor vehicle excise taxes 1931
.27
Motor vehicle excise taxes 1932
1.78
Old age assistance taxes 1932
2.00
Costs
2.10
$967.65
Balance June 24, 1933 :
Cash in office, verified
$ 76.19
Natick Trust Company
891.46
$967.65
NATICK TRUST COMPANY
Balance June 24, 1933, per statement
$2,016.85
Balance June 24, 1933 $ 891.46
Outstanding checks June 24, 1933, per list 1,121.71
Cash over June 24, 1933 3.68
$2,016.85
86
WATER ACCOUNTS RECEIVABLE
Outstanding January 1, 1932 Charges Adjustment of 1931 charges
$ 5,242.34 11,078.38 8.55
$16,329.27
Payments to treasurer
$10,290.93
427.00
· Abatements
Outstanding December 31, 1932
5,611.34
$16,329.27
Outstanding January 1, 1933
$5,611.34
Charges January 1 to June 24, 1933
4,222.36
Adjustment of 1932 charges
141.69
Adjustment of 1933 charges
497.83
Excess cash per previous audit, adjusted
53.01
$10,526.23
Payments to treasurer January 1 to
June 24, 1933
$2,913.37
-
Outstanding June 24, 1933
7,612.86
$10,526.23
Outstanding June 25, 1933
$7,612.86
Charges June 25 to July 19, 1933
6,823.66
$14,436.52
Payments to treasurer June 25 to July 19, 1933
$ 970.97
Outstanding July 19, 1933, per list
12,701.00
Cash balance July 19, 1933 : Natick Trust Company $632.59
Cash in office, verified
131.51
Cash variation .45
764.55
$14,436.52
DONATION CHARITY FUND
Securities
Par Value
Total
On hand at beginning of year 1932
$1,300.00
$1,300.00
On hand at end of year 1932
1,300.00
1,300.00
On hand June 24, 1933
1,300.00
1,300.00
·
87
Receipts
Payments
1932
Income
$55.25 Transferred to town $55.25
Income
January 1 to June 24, 1933 $27.62 Transferred to town $27.62
ALLEN CHARITY FUND
Securities Par Value
Total
On hand at beginning of year 1932
$1,000.00
$1,000.00
On hand at end of year 1932 On hand June 24, 1933 Receipts
1,000.00
1,000.00
1,000.00
1,000.00
Payments
1932
Income
$40.00 Transferred to town
$40.00
January 1 to June 24, 1933
Income
$40.00 Transferred to town
$40.00
LOKER CHARITY FUND
Securities Par Value
Total
On hand at beginning of year 1932
$2,000.00
$2,000.00
On hand at end of year 1932
2,000.00
2,000.00
On hand June 24, 1933
2,000.00
2,000.00
Receipts
Payments
1932
Income
$80.00
Transferred to town
$80.00
January 1 to June 24, 1933
Income
$20.00 Transferred to town
$20.00
JAMES AND ELLA E. DRAPER LIBRARY FUND
On hand at beginning of year 1932 On hand at end of year 1932 On hand June 24, 1933
Securities Par Value
Total
$1,000.00
$1,000.00
1,000.00
1,000.00
1,000.00
1,000.00
88
Receipts
Payments
Income
$45.00 Transferred to town $45.00
January 1 to June 24, 1933
Income
$22.50 Transferred to town $22.50
JAMES SUMNER DRAPER LIBRARY FUND
Securities Par Value
Total
On hand at beginning of year 1932 On hand at end of year 1932 On hand June 24, 1933 Receipts
$5,000.00
$5,000.00
5,000.00
5,000.00
5,000.00
5,000.00
Payments
1932
Income
$220.00
Transferred to town
$220.00
January 1 to June 24, 1933
Sale of securities
$1,000.00
Purchase of securities $1,000.00
Income
110.00
Transferred to town 110.00
$1,110.00
$1,110.00
GRACE CAMPBELL DRAPER LIBRARY FUND
Securities Par Value
Total
On hand at beginning of year 1932
$1,000.00
$1,000.00
On hand at end of year 1932
1,000.00
1,000.00
On hand June 24, 1933 Receipts
1,000.00
1,000.00
Payments
1932
Income
$40.00 Transferred to town
$40.00
January 1 to June 24, 1933
Income
$20.00 Transferred to town $20.00
SARAH WEBSTER HEARD LIBRARY FUND
Savings Securities Deposits Par Value
Total
On hand at beginning of year 1932
$1,100.00
$2,000.00
$3,100.00
On hand at end of year 1932
1,100.00
2,000.00
3,100.00
On hand June 24, 1933
1,100.00
2,000.00
3,100.00
89
,
1932
Receipts
Payments
1932
Income
$101.32 Transferred to town $101.32
January 1 to June 24, 1933
Sale of securities
$2,000.00
Purchase of securities $2,000.00 Transferred to town 40.00
$2,040.00
$2,040.00
JONATHAN M. PARMENTER LIBRARY FUND
On hand at beginning of year 1932 On hand at end of year 1932 On hand June 24, 1933 Receipts
$10,000.00
$10,000.00
10,000.00
10,000.00
10,000.00 10,000.00
Payments
1932
Income
$465.00 Transferred to town
$465.00
January 1 to June 24, 1933
Income
$187.50 Transferred to town $187.50
ADA H. WELLINGTON LIBRARY FUND
Securities Par Value
Total
On hand at beginning of year 1932
$500.00
$500.00
500.00
500.00
On hand at end of year 1932 On hand June 24, 1933 Receipts
500.00
500.00
Payments
1932
Income
$21.25 Transferred to town
$21.25
January 1 to June 24, 1933
Income
$10.60 Transferred to town
$10.60
ISSAC C. DAMON LIBRARY FUND
Securities Par Value
Total
On hand at beginning of year 1932 On hand at end of year 1932 On hand June 24, 1933
$1,000.00
$1,000.00
1,000.00
1,000.00
90
Income
40.00
Securities Par Value
Total
Receipts
Payments
1932
Bequest
$1,000.00
Deposited in savings bank $1,000.00
CYNTHIA G. ROBY LIBRARY FUND
Savings Securities Deposits Par Value
Total
On hand at beginning of year 1932
$200.00
$3,000.00
$3,200.00
On hand at end of year 1932
200.00
3,000.00
3,200.00
On hand June 24, 1933 Receipts
200.00
3,000.00
3,200.00
Payments
1932
Income
$157.50
Transferred to town $157.50
January 1 to June 24, 1933
Income
$75.00 Transferred to town
$75.00
LYDIA MARIA CHILD LIBRARY FUND
Savings Deposits $100.00
Total
On hand at beginning of year 1932
$100.00
On hand at end of year 1932
100.00
100.00
On hand June 24, 1933 Receipts
100.00
100.00
Payments
1932
Income
$3.75 Transferred to town $3.75
HARRIET COBURN DAMON LIBRARY FUND
Securities Par l'alue
Total
$3,000.00
$3,000.00
3,000.00
3,000.00
3,000.00
3,000.00
Payments
Income
1932 $135.00 Transferred to town
$135.00
January 1 to June 24, 1933
Income
$67.50 Transferred to town
$67.50
91
On hand at beginning of year 1932 On hand at end of year 1932 On hand June 24, 1933 Receipts
JONATHAN M. PARMENTER CEMETERY FUND
On hand at beginning of year 1932 On hand at end of year 1932 On hand June 24, 1933 Receipts
Securities
Par Value
Total
$5,000.00
$5,000.00
5,000.00
5,000.00
5,000.00
5,000.00
Payments
1932
Income
$225.00
Transferred to town
$225.00
January 1 to June 24, 1933
Income
$67.50
Transferred to town
$67.50
CEMETERY PERPETUAL CARE FUNDS
Cash in General Savings Securities Treasury Deposits Par Value
Total
On hand at beginning of year 1932
$400.00
$12,100.00
$12,500.00
On hand at end of year 1932
800.00
12,100.00
12,900.00
On hand June 24, 1933
$100.00
800.00
12,100.00
13,000.00
Receipts
Payments
1932
Income
$547.24
Transferred to town
$547.24
January 1 to June 24, 1933
Income
$204.59
Transferred to town
$204.59
Bequest
100.00
Cash on hand June 24, '33 100.00
$304.59
$304.59
92
TOWN OF WAYLAND-BALANCE SHEET-JUNE 24, 1933
General Accounts
ASSETS
LIABILITIES AND RESERVES
Cash :
In bank
$1,548.14
Temporary Loans : In Anticipation of Revenue : 1932 $25,000.00 84,000.00
Accounts receivable : Taxes :
1933
$109,000.00
Levy of 1926
$75.90
Levy of 1927
28.73
Levy of 1928
636.41
Levy of 1929
190.57
Partial Payments on Tax Titles 698.00
Levy of 1930
456.05
Tax Collector's Fees 136.70
Levy of 1931
18,822.68
Cemetery Perpetual Care Bequest
100.00
Poll Taxes 1933
1,958.00
Sale of Lots and Graves
25.00
65.502.60
Old Age Assistance Taxes :
Levy of 1931
$70.00
Cemetery
914.65
Levy of 1932 294.00
Levy of 1933
991.00
Donations-Public Welfare
54.15
Motor Vehicle Excise Taxes :
Levy of 1929 $42.99 Levy of 1930 245.54
Unexpended Appropriation Balances 74,034.67
Water Available Surplus
3,255.22
93
Levy of 1932
43,334.26
Trust Fund Income : Charity $87.62
1,002.27
1,355.00
Wilbur C. Gorman Cash Adjustment Account
164.94
BALANCE SHEET (continued)
ASSETS
LIABILITIES AND RESERVE
Levy of 1931 1,562.47
Levy of 1932
1,942.72
Levy of 1933 4,428.24
8,221.96
Levy of 1932 319.85
Special Assessments :
Moth 1929 $5.00
Moth 1930
1.75
Moth 1931
36.25
Moth 1932 95.25
138.25
Tax Titles
9,410.24
Departmental : Public Welfare
3,995.58
Water Rates and Connections
7,612.86
Aid to Highways :
Surplus Revenue
33,179.51
Com. of Mass. $3,000.00
County of Middlesex 3,000.00
6,000.00
Overlay Deficits :
Levy of 1924 $3.76
Levy of 1925 4.42
Levy of 1926
5.06
Overlays-Reserved for Abatement of Taxes :
Levy of 1929 $131.37
451.22
Revenue Reserved Until Collected :
Motor Vehicle Excise Tax $8,221.96
Special Assessment 138.25
Tax Title
9,410.24
Departmental 3,995.58
Water
7,612.86
29,378.89
94
Levy of 1927 4.42
Levy of 1928
77.49
Levy of 1930
115.04
Levy of 1931
458.66
668.85
Trust Fund Income : Library Funds 10.31
Revenue 1933 $154.798.25
Less Estimated Re- ceipts Collected 7,781.47
147,016.78
$251.480.57
95
$251,480.57
Debt Accounts
Net Funded or Fixed Debt
$57,890.00
Cochituate Schoolhouse Addition Loan $8,000.00 Water Main Extension Loan 49,890.00
$57,890.00
$57,890.00
-
Trust Accounts .
Trust Funds, Cash and Securities $50,100.00
Charity Funds :
Donation Fund $1,300.00
Allen Fund 1,000.00
Loker Fund 2,000.00
$4,300.00
Library Funds :
James and Ella E. Draper $1,000.00
James Sumner Draper 5,000.00
Grace Campbell Draper 1,000.00
Sarah Webster Heard 3,100.00
Jonathan M. Parmenter 10,000.00
Ada H. Wellington 500.00
Isaac C. Damon
1,000.00
Cynthia G. Roby
3,200.00
Lydia Maria Child 100.00
Harriet Coburn Damon
3,000.00
27,900.00
Jonathan M. Parmenter Cemetery Fund 5,000.00
Cemetery Perpetual Care Funds 12,900.00
-
$50,100.00
$50,100.00
96
SELECTMEN'S REPORT
All regular appointments have been made as required by law. They appear in list of Town Officers and Committees.
In accordance with a vote at a Special Town Meeting held in July, we, acting as the contractors, have completed the recon- struction of Cochituate Road and another portion of the Con- cord Road. Approximately eleven thousand hours of labor were furnished to citizens of the Town. The project was completed within the amount allotted by the Town, State and County, and this fact substantiates our belief that all such projects should be carried on under similar arrangements. We suggest that the Town, co-operating with the State and County, construct a sec- tion of Route 27 yearly and that succeeding Boards of Select- men, if possible, employ residents on these projects.
Acting in our capacity as licensing authorities, the Town has received in fees for licenses granted for sale of malt and alcoholic beverages approximately $3,500. An overwhelming vote of the townspeople for the repeal of the Eighteenth Amendment of the Constitution indicated that licenses should be granted under the General Chapters.
In November the Town was allotted about $8,000 by the Civil Work Administration. After consultation with various Town officials, we recommended to the State Board of the C. W. A. those projects which we believed would furnish the max- imum number of hours of work to those unemployed and in need of relief, and also only those projects which would benefit the Town generally.
The State Board finally approved projects totalling about $11,000 for the Town of Wayland and work started soon there- after under the direction of the local administrator who was ap- pointed by them. We are advised that the payroll exceeded $1,000 weekly in December.
We wish to thank the officers of the Town for their co-op- eration during the year.
WILLARD C. HUNTING, JOHN W. LEAVITT, PIERPOINT BLAIR.
97
REPORT OF BOARD OF COMMISSIONERS OF TRUST FUNDS
January 18, 1934.
To the Inhabitants of the Town of Wayland :
The Board of Commissioners of Trust Funds respectfully report as follows :
During the past year the following additional trust funds have been added to those under our management :
Cemetery Trust Funds
Louise E. Hayden $100
Solomon Anderson 100
Metcalfe 100
The following is a statement of the trust funds now under our jurisdiction in the custody of the Town Treasurer :
Library Trust Funds
$500 Fourth Liberty Loan 41/4% bonds due October 15, 1938 $500.00
$1,000 City of Boston Sewerage Loan 4% due July 1, 1937 1,000.00
$3,000 New York Tel. Co. 414% First and General Mortgage bonds due November 1, 1939
3,000.00
$1,000 New York Central Railroad Refunding and Improvement Mortgage 41/2% bonds due October 1, 2013, Series A 1,000.00
$2,000 Pennsylvania Railroad Co. General Mortgage 41/2% bonds due June 1, 1965 2,000.00
$2,000 Union Pacific Railroad Co. 41/2% bonds due July 1, 1967 2,000.00
98
$2,000 New York Central Railroad Refunding and Improvement Mortgage 5s, due October 1, 2013
2,000.00
$2,000 Northern Pacific Railroad Refunding and Improvement Mortgage 5s, due July 1, 2047 2,000.00 $2,000 Southern California Edison Co. Refunding Mortgage 5% bonds due Sept. 1, 1952 2,000.00
$3,000 New England Tel. & Tel. Co. First Mortgage 41/2% bonds due May 1, 1961
3,000.00
Deposit in Provident Institution for Savings 1,200.00
$19,700.00
Poor Trust Funds
$1,300 Fourth Liberty Loan 41/4% bonds due October 15, 1938 $1,300.00
$1,000 Chicago, Burlington and Quincy Railroad Co. General
Mortgage 4% bonds due March 1, 1958 1,000.00
$2,000 Boston & Albany Railroad Co. 4% bonds due May 1, 1934 2,000.00
$4,300.00
Cemetery Trust Funds
$2,400 First Liberty Loan Conv. 414% bonds due June 15, 1947 $2,400.00 $2,700 Fourth Liberty Loan 41/4% bonds due October 15, 1938 2,700.00
$2,000 Pacific Gas & Elec. Co. First and Refunding 41/2% bonds due June 1, 1957 2,000.00
$1,000 Boston Elevated Railway Co. debenture 41/2% bond due October 1, 1937 1,000.00
$2,000 New England Tel. & Tel. Co. First Mortgage 41/2% bonds due May 1, 1961 2,000.00
99
$500 New England Tel. & Tel. Co. First Mortgage, Series A 5% bond due June 1, 1952 500.00 $2,000 Chicago & Northwestern Railroad Co. First Refunding Mortgage 5% bonds due May 1,2037 2,000.00
$2,000 Boston & Albany Railroad Co. Improvement 4% bonds due May 1, 1934 2,000.00
$2,500 New York Central Railroad Refunding and Improvement Mortgage 41/2% bonds due October 1, 2013, Series A
Deposit in Provident Institution for Savings 1,100.00
2,500.00
$18,200.00
Total Trust Funds $42,200.00
Respectfully submitted, JOHN H. KNAPP, Chairman, J. SIDNEY STONE, ALBERT F. FLINT, Clerk, Board of Commissioners of Trust Funds.
100
REPORT OF TOWN TREASURER
Cash Statement
1933
Jan. 1 Cash Balance
$11,530.85
Total Receipts 321,586.42
$333,117.27
Total Payments
331,339.17
Dec. 31 Cash Balance
$1,778.10
Tax Notes Borrowed in Anticipation of Taxes
1933
Jan. 1 Notes Outstanding :
No. 190 due 2-15-'33 $10,000.00
No. 192 due 4-8-'33 15,000.00
No.194 due 8-20-'33 10,000.00
No. 196 due 12-7-'33 10,000.00
No. 199 due 7-30-'33 5,000.00
No. 197 due 3-23-'33 10,000.00
Borrowed 1933 :
Jan. 20 No. 200 Natick Trust Co. 514% due 11-20-1933 10,000.00
Feb. 8 No. 201 J. S. Stone, Trustee 5% due 10-23-1933
10,000.00
Mar. 23 No. 202 Natick Trust Co.
53/4% due 11-23-1933
10,000.00
Mar. 23 No. 203 Natick Five Cents Savings Bank : 53/4% due 11-23-1933 10,000.00
Apr. 5 No. 204 Natick Five Cents Savings Bank 53/4% due 3-5-1934
10,000.00
Apr. 5 No. 205 Natick Trust Co. 53/4% due 4-5-1934 5,000.00
Apr. 27 No. 206 Natick Five Cents Savings Bank 51/2% due 1-27-1934 10,000.00
101
May 15 No. 207 Town of Wayland Library Funds 5% due 5-15- 1934 3,000.00
June 1 No. 208 Natick Trust Co. 534% due 6-1-1934 10,000.00
June 28 No. 210 Natick Five Cents Savings Bank 512% due 6-28-1934 10,000.00
Aug. 2 No. 211 Natick Five Cents Savings Bank 51/2% due 8-2-1934
5,000.00
Dec. 14 No. 214 Natick Five Cents Savings Bank 5% due 11-14-1934
8,000.00
$161,000.00
Tax Notes Paid 1933
1933
Feb. 15 No. 190 due 2-15-33
$10,000.00
Mar. 23 No. 197 due 3-23-33
10,000.00
Apr. 8 No. 192 due 4-8-33
15,000.00
July 30 No. 199 due 7-30-33
5,000.00
Aug. 21 No. 194 due 8-20-33
10,000.00
Dec. 18 No. 196 due 12-7-33
10,000.00
Nov. 20 No. 200 due 11-20-33
10,000.00
Nov. 23
No. 202 due 11-23-33
10,000.00
Nov. 23
No. 203 due 11-23-33
10,000.00
Nov. 27
No. 201 due 10-23-33
10,000.00
$100,000.00
Tax Notes Outstanding
Dec. 31 No. 204 due 3-5-34
$10,000.00
No. 205 due 4-5-34
5,000.00
No. 206 due 1-27-34
10,000.00
No. 207 due 5-15-34
3,000.00
No. 208 due 6-1-34
10,000.00
No. 210 due 6-28-34
10,000.00
No. 211 due 8-2-34
5,000.00
No. 214 due 11-14-34
8,000.00
61,000.00
Total Paid and Outstanding
$161,000.00
102
Notes Borrowed in Anticipation of Reimbursement
June 14 No. 209 Natick Trust Co. 514% due 11-30-'33 $6,000.00
Sept. 27 No. 212 Natick Trust Co. 5% due 12-27-'33 6,000.00
Dec. 14 No. 213 J. S. Stone, Trustee, 4% due 1-25-'34 3,000.00
$15,000.00
Reimbursement Notes Paid
Dec. 5 No. 209 due 11-30-33
$6,000.00
Dec. 27 No. 212 due 12-27-33 6,000.00
$12,000.00
Reimbursement Notes Outstanding
Dec. 31
No. 213 due 1-25-34
3,000.00
Total Paid and Outstanding $15,000.00
Serial Notes and Bonds Outstanding
3 School Notes 4% due annually
$2,000.00 $6,000.00
16 Water Main Extension Notes of 1929 41/2% due annually 1,000.00
16,000.00
1 Water Main Extension Note of 1929 41/2% due 7-1-1942
1,000.00
8 Water Main Extension Notes of 1931 4% due annually
2,500.00
20,000.00
5 Water Main Extension Notes of 1931 4% due 1942 to 1946
10,000.00
Due in 1934 $6,500.00
Total Outstanding
$53,000.00
Interest Accounts
Appropriation
$5,000.00
Additional Appropriation July
750.00
From 1932 Water Receipts for Interest on Water Notes
2,050.60
Payments :
School House Notes $320.00
Water Main Extension Notes
2,140.60
Tax Notes Discount
4,616.40
1932 Notes Interest at Maturity
376.67
103
Interest Account Past Due Notes Reimbursements Notes
79.14
231.21
To Trust Funds
25.00
$7,789.02
Balance
11.58
$7,800.60
$7,800.60
Insurance Account
Appropriation
$2,100.00
Payments :
Highway Dept. Equipment
$393.00
Highway Employers' Liability 1932
106.65
Pumping Station
56.25
Fire Dept. Equipment
66.90
Paymaster Insurance, Treasurer
10.00
Tax Collector Insurance
31.26
Town Buildings
871.50
Wayland School Boilers
259.50
Standard Weights and Measures
62.63
$1,857.69
Balance
242.31
$2,100.00
$2,100.00
Surety Bonds
Appropriation
$400.00
Payments :
Treasurer's Bond
$120.50
Tax Collector's Bond
241.00
Town Clerk's Bond, $1,000
5.00
Water Clerk's Bond, $1,000
5.00
$371.50
Balance
28.50
$400.00
$400.00
Trust Funds Investment of Trust Funds Poor Funds
Loker Fund : 2 Boston & Albany Railroad 4% 5-1-1934
$2,000.00
104
Allen Fund :
1 Chicago, Burlington & Quincy 4% 3-1-1958 1,000.00
1 Chicago, Burlington & Quincy 4% 3-1-1958 1,000.00
Donation Fund :
1 Fourth Liberty Loan Bond 414% 10-15-1938 1,000.00
Third Liberty Loan Bonds 414% 10-15-1938 300.00
$4,300.00
Cemetery Funds
J. M. Parmenter Fund :
2 Pacific Gas & Elec. Co. 412% 6-1-1957
$2,000.00
1 Boston Elevated Railroad 412% 10-1-1937 1,000.00
2 N. E. Tel. & Tel. 412% 5-1-1961 2,000.00
$5,000.00
Other Funds :
1st Liberty Loan Bonds 414% 1947
$2,400.00
4th Liberty Loan Bonds 414% 1938 2,700.00
1 N. E. Tel. & Tel. 5% 1952
500.00
2 Boston & Albany R. R. 4% 1934
2,000.00
2 Chicago & Northwestern R. R. Co. 5% 2037
2,000.00
2New York Central R. R. 412% 2013
2,000.00
1 New York Central R. R. 412% 2013
500.00
Provident Institution for Savings
1,100.00
$18,200.00
Cemetery Perpetual Care Funds Received in 1933 and Included Above
Louise E. Hayden Fund
$100.00
Solomon Anderson Fund
100.00
Metcalfe Fund
100.00
Library Funds
J. M. Parmenter Fund
2 Pennsylvania Ry. 41/2% 6-1-1965
$2,000.00
2 Union Pacific Ry. 414% 7-1-1967
2,000.00
2 Southern California Edison 5% 9-1-1952 2,000.00
3 N. E. Tel. & Tel. Co. 414% 5-1-1961
3,000.00
1 N. Y. Central Ry. 5% 10-1-2013
1,000.00
Grace Campbell Draper Fund
1 City of Boston 4% 10-15-1937
1,000.00
105
Ada H. Wellington Fund
4th Liberty Loan Bonds 414% 10-15-1938 500.00
Cynthia G. Roby Fund
1 N. Y. Central Ry. 5% 10-1-2013 1,000.00
2 Northern Pacific Ry. 5% 7-1-2047 2,000.00
Provident Institution for Savings 200.00
Harriet Coburn Damon Fund 3 N. Y. Tel. Co. 414% 11-1-1939
3,000.00
James Draper Fund
Ella E. Draper Fund
1 N. Y. Central Ry. 412% 10-1-2013
1,000.00
Sarah Webster Heard Fund
Provident Institution for Savings 1,100.00
Town of Wayland Note 5% 5-15-1934
2,000.00
James Sumner Draper Fund
Town of Wayland Note 5% 5-15-1934
1,000.00
1 Delaware & Hudson 4% 5-1-1943
1,000.00
1 Chicago, Burlington & Quincy 4% 3-1-1958
1,000.00
1 B. & M. & Fitchburg 5% 5-1-1940
1,000.00
1 B. & M. 4-5% 9-1-1941
1,000.00
Lydia Maria Child Fund
Provident Institution for Savings
100.00
Isaac C. Damon Fund
Provident Institution for Savings
1,000.00
Total $27,900.00
All Trust Funds are under control of the Trust Funds' Commissioners with the exception of the Sarah Webster Heard, Lydia Maria Child, and James Sumner Draper Library Funds, these three, by terms of bequests, being under control of the Library Trustees.
Funds Income
Poor Funds Income
From Investments
$175.25
Distributed
$175.25
$175.25
$175.25
Library Funds Income
1933
Jan. 1 Balance From Investments Payments
$ 36.63
1,274.87
$1,266.58
106
Dec. 31 Balance
44.92
$1,311.50
$1,311.50
Cemetery Funds Income
Jan. 1 Balance From Investments Payments
$855.36
785.46
Dec. 31 Balance
976.77
$1,640.82
$1,640.82
Tax Titles
1933
TAKEN IN 1926 FOR 1924 TAXES
Jan.
1 Balance
$46.20
Charged Back to Collector
$41.36
Charged to Excess & Deficiency 4.84
$46.20
$46.20
TAKEN IN 1928 FOR 1926 TAXES
Jan.
1 Balance
$108.82
Property Sold
$ 1.00
Charged to Excess & Deficiency 107.82
$108.82
$108.82
TAKEN IN 1929 FOR 1927 TAXES
Jan.
1 Balance
$394.45
Paid in 1933
$233.77
Property Sold
3.00
Charged to Excess & Deficiency
157.68
$394.45
$394.45
TAKEN IN 1930 FOR 1928 TAXES
Jan.
1 Balance
$2,080.51
Paid in 1933
$700.07
Property Sold
5.00
Charged to Excess & Deficiency
175.37
Charged Back to Collector
435.75
Charged to Excess & Deficiency
25.32
Dec. 31 Balance
739.00
$2,080.51
$2,080.51
107
$664.05
TAKEN IN 1931 FOR 1929 TAXES
Jan. 1 Balance Paid in 1933
$4,366.77
Dec. 31 Balance
$1,295.47 3,071.30
$4,366.77
$4,366.77
TAKEN IN 1932 FOR 1930 TAXES
Jan. 1 Balance
$4,802.83
Paid in 1933
$1,174.72
Dec. 31 Balance
3,628.11
$4,802.83
$4,802.83
TAKEN IN 1933 FOR 1931 TAXES
Taxes 1931
$3,734.38
Recording Tax Title deeds
122.60
Costs of taking
367.40
Interest to Deed date
515.26
1932 Taxes
3,611.03
1932 Moth Tax
7.25
1928 Tax
31.50
1929 Tax
12.25
1930 Tax
11.00
Dec. 31 Balance
$8,412.67
$8,412.67
$8,412.67
TOTAL OUTSTANDING
1928
$ 739.00
1929
3,071.30
1930
3,628.11
1931
8,412.67
$15,851.08
Partial payment on Tax Titles under 1933 Law on deposit $349.67
Deposit account Tax Titles
$300.00
Number of Tax Titles Outstanding
1928 3
1929
14
1930
32
1931
79
Under the Laws of 1933 the 1933 Taxes on Tax Titles are not charged to Tax Title accounts until September 1st, 1934. FRANK G. MACKENNA, Town Treasurer.
108
REPORT OF TAX COLLECTOR for year ending December 31, 1933
TAXES OF 1924
Tax Title Void Abated
$3.76
$3.76
TAXES OF 1925
Tax Title Void
$4.42
$4.42
Abated
$4.42
$4.42
TAXES OF 1926
Balance
$75.90 5.06
$80.96
Tax Title Void Abated
$80.96
$80.96
TAXES OF 1927
Balance
Tax Title Void
Collections
$28.73
Abated
4.42
$33.15
TAXES OF 1928
Balance
Tax Title Void
$727.76 98.70
$826.46
Collections
$625.91
Tax Title Credit
31.50
Abated
169.05
$826.46
TAXES OF 1929 Poll, Personal and Real Estate
Balance Tax Title Void
$249.35 90.65 $340.00
Collections
$96.82
Tax Title Credit
12.25
$3.76
$3.76
109
$28.73 4.42
$33.15
Abated
146.40
255.47
Balance
$84.53
Excise
Balance
$66.20
$66.20
Collections
$40.40
Abated
25.80
$66.20
TAXES OF 1930
Poll
Balance
$28.00
$28.00
Collections
$18.00
Abated
10.00
$28.00
Real Estate and Personal
Balance
$1,045.19
Tax Title Void
81.40
Refund
24.20
Credited to Moth
10.75
$1,161.54
Collections
$903.15
Abated
234.19
Tax Title Credit
11.00
Credit from 1931 Taxes
8.80
1,157.14
Balance
$4.40
Moth
Balance
$13.00
$13.00
Collections
$1.00
Credit from Real Estate
10.75
Abated
1.25
13.00
Excise
Balance
$677.46
$677.46
Collections
$129.44
Abated
496.61
626.05
Balance
$51.41
TAXES OF 1931
Poll
Balance
$222.00
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