USA > Massachusetts > Middlesex County > Wayland > Official reports of the town of Wayland 1933-1935 > Part 6
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$222.00
Collections
$92.00
Abated
84.00
176.00
Balance
$46.00
110
Old Age Assistance Balance
$83.00
$83.00
Collected Abated
$45.00
19.00
64.00
Balance
$19.00
Real Estate and Personal
Balance
$33,505.68
Tax Title Void
101.75
Refunds
112.75
Credited to Moth
2.00
Abatements Void
22.00
Taxes 1930 plus Interest
10.05 $33,754.23
Collections
$28,479.14
Tax Title Credits
3,734.38
Abated
946.19
33,159.71
Balance
$594.52
Moth
Balance
$69.50
$69.50
Collections
$58.00
1931 Real Estate to Moth 2.00
60.00
Balance
$9.50
Excise
Balance
$1,704.59
$1,704.59
Collections
$723.77
Abated
569.39
Excise 1930
.02
1,293.18
Balance
$411.41
TAXES OF 1932
Poll
Balance To Poll 1929
2.00
Commitment
14.00
$698.00
Collections
$352.00
Abated
6.00
358.00
Balance
$340.00
111
$682.00
Old Age Assistance
Balance Commitment
$348.00 7.00 $355.00
Collections
$173.00
Commitment Credit
1.00
Cash from State
16.00
190.00
Balance
$165.00
Real Estate and Personal
Balance
Refunds
$56,993.04 124.55 86.95
Tax Title Void
Credited to Moth
3.00 $57,207.54
Collections
$27,925.86
Abatements
351.20
Tax Title Credits
3,611.03
31,888.09
Balance
$25,319.45
Moth
Balance
$126.00
$126.00
Collections
$49.25
Credit from Real Estate 3.00
Tax Title Credit
7.25
59.50
Balance
$66.50
Excise
Balance
$2,966.83 3.20
$2,970.03
Collections
$1,314.76
Abated
23.30
1,338.06
Balance
$1,631.97
TAXES OF 1933
Poll
Commitment
$1,958.00 $1,958.00
Collections
$1,054.00
Abated
4.00
1,058.00
Balance $900.00
112
Refunds
Old Age Assistance Commitment Collections
$535.00
$991.00
$991.00 535.00
Balance
$456.00
Real Estate and Personal
Commitment
Commitment
Refunds
Collections
$70,357.64 340.78
70,698.42
Balance
$84,402.10
Moth
Commitment
$324.75
$324.75
Collections
$146.25
146.25
Balance
$178.50
Excise
Commitment
$5,161.97
Commitment
1,718.13 197.35
Commitment
Refunds
21.06
$7,098.51
Collections
$3,651.65
Abated
267.48
3,919.13
Balance
$3,179.38
Betterment Assessment
Street
$582.00
$582.00
No Collections
Total Balance
$118,441.67
$154,876.27 219.51 4.74$155,100.52
Abated
113
REPORT OF THE TOWN ACCOUNTANT FOR THE YEAR 1933
To the Honorable Board of Selectmen :
In compliance with the provisions of Chapter 41 of the General Laws and Amendments, I herewith submit the follow- ing report of the Accountant's Department.
Cash Balance Jan. 1, 1933
$11,530.85
Receipts 1933
321.586.42
$333,117.27
Expenditures 1933
$331,339.17
Cash Balance Dec. 31, 1933
1,778.10
$333,117.27
Receipts Itemized General Revenue
Taxes 1927 Real Estate $ 28.73
1928 Personal and Real Estate
634.41
1929 Personal and
Real Estate
$94.82
Poll
2.00
Motor Excise
62.64
159.46
1930 Personal and
Real Estate
$903.15
Poll
18.00
Motor Excise
129.44
Moth
1.00
1,051.59
1931 Personal and
Real Estate
$28,479.14
Poll
92.00
. Old Age Assistance 66.00
Motor Excise
723.77
Moth
58.00
29,418.91
114
1932 Personal and
Real Estate $27,925.86
Poll 352.00
Old Age Assistance 173.00
Motor Excise 1,314.76
Moth 49.25
29,814.87
1933 Personal and
Real Estate $70,357.64
Poll 1,054.00
Old Age Assistance 535.00
Motor Excise 3,651.65
Moth 146.25
75,744.54
$136,852.51
Tax Titles
$2,782.98
Tax Title Deposits
593.32
Tax Title Partial Payments
163.26
3,539.56
Dog License Receipts
760.40
Collector's Fees
$379.45
Treasurer's Fees
21.00
400.45
U. S. Government. Federal Unemployment Relief
$4,358.06
Com. of Mass. Income, Corp. & Bank Taxes, etc.
11,575.87
Grants for Highway Maintenance 2,990.61
Grants for Highway Construction
5,668.57
$24,593.11
Middlesex County
From Dog Licenses
$ 701.87
For Highway Maintenance
2,990.62
3,692.49
28,285.60
Licenses and Permits
Victualler's and Inn Holders'
$85.00
Milk
13.00
Slaughtering
1.00
Dance & Picnic
7.00
Sunday Permits
7.00
115
Alcohol
11.00
Gasolene
5.00
Junk & Pedlar
10.00
Bus
10.00
Gun Permits
22.10
Sale of Used Cars
12.50
Beer & Liquor
3,525.00
Third Class
1.00
$3,709.60
Court Fines
$365.00
County Sheriff Fines
42.00
407.00
4,116.60
Departmental Revenue
Collector. Adv. Fees
$ 31.75
Town Hall. Rent
160.00
Police Dept. Tel. tolls refund
9.95
Moth Dept. Sale of lead
10.00
Sealer of Weights and Measures. Inspection
38.53
District Nurse. Collections
$41.60
Tel. refund 17.45
59.05
Board of Health.
Reimbursement from State Treas.
210.00
Highways. Tel. refund
$5.40
Cash refund 7.76
13.16
Public Welfare
Gifts from Individuals
$150.28
Reimbursements
Town of Wellesley
989.65
Town of Sudbury
902.35
City of Gloucester
120.00
City of Worcester
317.60
Commonwealth of Mass. 3,559.42
Commonwealth of Mass.
40.00
Cash Refunds 76.75
6,156.05
Old Age Assistance
Reimbursements
Commonwealth of Mass. $2,208.58
Cash Refunds 38.50
2,247.08
116
State Aid. Reimbursement Commonwealth of Mass. Soldiers' Benefits . Commonwealth of Mass. Veterans' Exemptions Cash Refunds
1,200.00
$82.19 44.00
126.19
School Department
Reimbursement. Tuition and Transportation of Wards $598.33
Com. of Mass. Reimburse- ment. Vocational Tuition Cash refund
342.47
1.56
Tel. tolls, refund
4.50
Sale of Pump
20.00
From Donation Fund Income 8.00
974.86
Library. Fines
Main Library
$53.17
Cochituate Reading Room
16.11
69.28
Water Dept. Water Rates
$8,933.16
Connection Fees
300.00
Installations
116.52
"On and Off"
2.00
Insurance refund
6.10
Telephone
3.00
Cemeteries. Sale of Lots and Graves
9,360.78 175.00
20,841.68
Interest
Taxes 1928
$233.24
1929
24.93
1930
174.90
1931
2,839.83
1932
1,061.73
1933
108.06
$4,442.69
Tax Titles Treasurer's Deposits
417.83 34.20
Trust Funds' Income Poor Funds
$175.25
117
Library Funds
Cemetery Funds
1,274.87 785.46
2,235.58
Bequests and Investment
Library Funds
Cemetery Funds
$3,000.00 300.00
3,300.00
Loans
Notes. Anticipation of Revenue $101,000.00
Anticipation of Reimbursement 15,000.00
116,000.00
Unclassified
Refunds. Tel. rates reduction
$40.41
Court. Taxable Costs
15.00
Insurance 26.25
County (Dogs killed)
7.00
Taxes on Gasoline, from State
35.91
Old Age Assistance, from State
16.00
Checks not cashed
20.03
Balance, Collector's Checking Account
198.72
359.32
Total Receipts $321,586.42
Expenditures Itemized General Government
Moderator
$ 9.00
Selectmen :
Salaries
$450.00
Printing, postage, etc.
24.50
Association dues, etc.
13.50
Typing, telephone, expense
Soldiers' Benefits-Agent, etc. 67.00
555.00
Accountant :
Salary
$500.00
Equipment
37.42
7,130.30
118
Departmental supplies, postage, printing, etc.
76.68 4.05
Telephone
618.15
Treasurer :
Salary
$675.00
Books and printing
43.41
Postage and envelopes
144.44
Rent of Safety Deposit Boxes, telephone, etc.
27.50
Tax Title Sales Expense
162.73
1,053.08
Treasurer's Fees
24.00
Collector's Fees
378.75
Collector :
Salary
$1,417.57
Equipment
85.60
Advertising and Recording
516.92
Books, stationery, printing
73.96
Postage and telephone
178.87
Clerical aid
19.50
2,292.42
Assessors :
Salaries
$1,620.00
Expense of Association
13.80
Printing, stationery, postage
133.07
Auto hire and carefares
118.60
Registration of Deeds
32.50
1,917.97
Town Clerk :
Salary
$180.00
Recording, oaths of office, statistical returns 97.50
Printing, stationery, postage and telephone
42.33
319.83
Elections and Registrations :
Registrars
$ 90.00
Election Officers
345.60
Printing, buses, preparing booths, etc.
308.60
744.20
119
Certification of Notes Legal Claims : Town Counsel Damage Claim
30.00
$436.37 7.80
444.17
Planning Board :
Association dues, postage, stationery
$ 20.49
Maps, blue prints, etc.
126.90
147.39
Town Hall :
Repairs to roof, drains, etc.
100.00
Maintenance
Janitor
$240.00
Labor and supplies
11.70
Fuel
91.50
Electricity and water
159.42
Repairs and upkeep
4.93
Telephone
17.85
525.40
$9,159.36
Protection of Persons and Property
Police Department :
Pay roll. Chief
$1,620.00
Call men
635.75
Transportation
200.00
Equipment
2.85
Traffic Signal
166.43
Traffic signs and lines
20.88
Medical attendance, ambulance
34.35
Telephone
118.25
Fire Department :
Pay roll. Clerk
$ 75.00
Supt. of Fire Alarm 75.00
Call men 300.00
Fires 721.00
Equipment and upkeep 558.63
Oil, gas, freight
54.92
Fire Alarm System
233.50
Rent of Church Tower
50.00
Stationery, telephone
5.15
2,798.51
120
Buildings,
Repairs
74.34
Janitors
145.00
Fuel
187.23
Electricity and water
22.60
2,502.37
Moth Extermination :
Superintendent
$1,220.00
Labor
24.00
Teaming
50.00
Equipment
3.95
Insecticides
51.46
1,349.41
Tree Warden :
Warden
$510.00
Labor
288.00
Equipment, gas, oil
101.50
899.50
Sealer of Weights and Measures :
Salary
$135.00
Transportation
45.00
Equipment
14.59
194.59
7,744.38
Health
Board of Health :
Salaries
$157.50
Milk Inspector
25.00
Inspecting hogs
7.60
Quarantine, posting
24.00
Medical treatment,
and medicines
106.40
Provisions
34.55
Rent and fuel
27.00
Tuberculosis,
Board and treatment
365.00
Hospital treatment
17.50
Burying dead animals
2.00
Printing, signs, telephone, auto hire
29.82
$796.37
121
District Nurse :
Salary
$1,080.00
Substitute
80.00
Medicines and telephone
131.29
1,291.29
Medical Inspection of Schools
135.00
Inspection of Animals
135.00
2,357.66
Highways
Highways and Bridges :
Labor
$2,780.50
Road materials
634.99
Truck hire
430.49
Equipment and upkeep
146.74
Trucks, Roller, etc., upkeep
1,553.24
Oil and gas
269.31
Stationery, blue prints, tel ..
mileage, freight
177.62
$5,992.89
Highways Surveyor, Salary Oiling Highways :
1,620.00
Labor
$2,010.75
Road materials
2,256.95
Truck hire
533.15
Oil and gas
104.77
Equipment, tel., mileage
94.38
5,000.00
Chapter 90, Maintenance :
Labor
$4,944.00
Road materials
2,369.61
Truck hire
863.13
Gas and oil
333.67
Equipment
123.16
Signs, fence, posts
143.38
Telephone, auto hire
94.90
8,871.85
Railings :
Labor
$197.00
Materials
101.51
298.51
Sidewalks :
Labor
$150.00
122
Materials Truck hire
112.18 36.25
298.43
Snow Removal :
Labor
$2,387.69
Truck and team hire
1,013.66
Sand, gravel, gas
116.29
Equipment, mileage
117.08
3,634.72
Equipment Building, Maintenance :
Repairs and upkeep
$ 71.05
Fuel
113.50
Water and electricity
65.05
249.60
Street Lighting
5,970.83
Construction, Cochituate Road from Legion Square :
Road materials $2,386.03
Curb, inlets, catch basins, etc.
355.26
Fence 994.08
Sidewalks 174.10
J. Butler Claims Acct.
270.34
Tel., gas, grease, oil, etc. 258.70
4,438.51
Construction, Cochituate Road, State Rd. to 500 ft. beyond Conn. Path : W. & L. Engineering Claims Acct. Labor $ 75.00
Mass. Broken Stone Co.
4,846.40
4,921.40
Construction, Castle Gate, South :
Labor $261.50
Truck hire 238.75
Materials 176.33
Excavation and fill 189.30
Legal service, plan of takings, etc. 176.61
1,042.29
Construction, Cochituate Road from MacKenna's to Conn. Path : Labor $2,958.83
Rent of trucks, steam shovel,
tractor
1,153.13
123
Gas and oil
137.46
Road materials
3,866.76
Blasting
118.16
Tools
25.75
Tel., note book, medical treatment
17.93
8,278.02
Construction, Concord Rd., Sect. 2 :
Labor
$1,872.13
Rent of trucks, steam shovel
1,435.00
Gas, oil, grease
57.71
Road materials
2,431.88
Tools
31.00
Tel., postage
1.92
5,829.64
Highways C. W. A .:
Blue prints
$6.02
Rent of trucks
430.50
Gas tax, grease
10.39
Equipment
49.68
496.59
56,943.48
Charities
Public Welfare :
Sundry Persons, Cash
$ 4,400.46
Provisions
10,676.55
Rents
3,300.00
Fuel
1,475.94
Clothing
197.48
Hospitals and auto hire
586.90
Medical attendance and medicines
580.65
Moving household furnitures and carfares
55.30
State Institutions
273.00
Relief by other Towns
270.75
Commissioners' Salaries
100.00
Clerk and Investigator, Salary
500.00
Equipment, printing, postage
135.79
$22,552.82
Old Age Assistance :
Sundry Persons, Cash $5,320.55
124
Medical attendance and medicine
128.95
Rent
20.00
Equipment, printing, tel., etc.
96.16
5,565.66
Public Welfare Gift Fund :
Provisions
$ 6.78
Fuel
48.00
Clothing
10.53
Medical attendance and medicines
49.98
Ambulance and auto hire
31.00
146.29
Public Welfare, C. W. A .:
Oil and gas and gas tax
$20.28
Carfares, tel., records, etc.
39.79
60.07
State Aid :
Sundry Persons, Cash
1,144.00
Soldiers' Benefits :
Sundry Persons, Cash
$2,519.25
Provisions
270.24
Rents and electricity
537.54
Fuel
198.18
Clothing, etc.
37.01
Medical attendance and
medicines
63.60
Town of Marshfield
162.55
City of Quincy
177.00
3,965.37
33,434.21
Schools and Libraries
Schools : Salaries,
Superintendent
$1,575.02
Teachers 29,816.40
Attendance Officers
54.00
School Nurse
540.00
Janitors
1,868.00
Transportation
7,531.01
Text and Reference books
793.69
125
Pupils' supplies, music, binding books
1,536.99
Buildings,
Fuel and water
1,208.40
Gas and electricity
253.83
Supplies
220.54
Equipment
190.04
Repairs and upkeep
1,020.20
General,
Printing, postage, etc.
58.33
Telephone
70.66
Supt., traveling expense
91.36
Freight and express
12.85
$46,841.32
Note : By estimate
High School cost
$16,997.92
Elementary School cost 29,843.40
$46,841.32
Vocational Tuition :
City of Boston
$200.70
City of Newton
535.13
735.83
Libraries :
Salaries, Librarians and
Assistant
$1,827.15
Books
28.05
Periodicals
42.25
Catalogue supplies, postage,
express
23.30
Telephone
39.05
Carting books
78.00
Buildings,
Janitors
588.70
Upkeep, etc.
46.55
Fuel
504.10
Electricity and water
133.15
Rent of Reading Room
300.00
3,610.30
51,187.45
Recreation and Unclassified
Park Commission :
Labor on grounds
$207.00
126
Materials and carting
112.61
Tools
15.58
Playground Equipment
14.27
$349.46
Memorial Day :
Band
$210.00
Refreshments
125.00
Markers and flags
26.91
Plants and wreaths
59.62
Buses and autos
27.50
Programmes
13.00
Postage, express, etc.
2.58
464.61
Care of Town Clocks
40.00
Insurance :
Town Buildings
$871.50
School boilers,
Wayland School
259.50
Highway Dept.,
401.00
Fire Dept., engines
66.90
Sealer, equipment
62.63
Highway, Employers' Liability 106.65
Pumping Station, burglary
56.25
Pay roll and collections
41.26
1,865.69
Surety Bonds :
Treasurer
$120.50
Tax Collector
241.00
Town Clerk
5.00
Water Board Clerk
5.00
371.50
Town Reports :
Printing
$320.48
Preparing
25.00
Distributing
28.00
383.48
Unpaid Bills of 1932. Voted Jan. 11, 1933 :
Public Welfare,
Peck & Davieau
$55.27
Napoleon Perodeau
96.41
Otto H. Kohler
33.62
127
trucks, roller, etc.
Benson's Store
26.29
Ida J. Kenrick 8.37
The Great A. & P. Tea Stores 66.55
Lawrence Collins 11.70
Hiram Nisbet 29.65
Florence Randolph
12.00
Paul Courville
21.60
Mrs. E. M. Hersey
40.00
I. A. Lupien
40.00
R. C. Dean
20.00
Waltham Cooperative Bank
17.00
James F. Tobin
20.00
Mrs. Janet Young
40.00
Com. of Mass., State Infirmary
183.00
Town of Natick
280.00
Town of Plymouth
120.00
Town of Marblehead
135.30
Earle F. Prior, M.D.
3.00
Benj. F. Johnson, Jr.
2.50
Leonard Morse Hospital
17.00
Hobbs & Warren
3.00
First National Stores
136.00
The Tillson Farm
10.08
Martin A. Holmes
30.77
A. W. Atwood
52.20
E. E. Sparks, M.D.
7.00
Metropolitan Ice Co.
8.00
S. J. McDonnell
3.00
Kerwin Shoe Store
6.41
Robinson & Jones Co.
35.40
Frank Piper
12.00
James Lamont
15.00
Margaret Morrell
16.00
John J. Cochran, M.D.
3.00
Loker Funeral Service
60.00
R. S. Campbell
27.60
1,705.02
Unpaid Bills of 1931 and 1932. Voted Mar. 8, 1933 : Town of Marblehead $ 48.00
Town of Holliston 258.97
128
Com. of Mass., State Infirmary
92.00
Town of Plymouth
201.00
Town of Marblehead
4.00
Dana H. Elkins
20.00
623.97
Soldiers' Benefits,
City of Quincy
92.00
Board of Health,
City of Quincy
858.00
Assessors' Salaries
84.00
Moth Extermination
21.45
Fire Department,
Rent of Church Tower, Cochituate
100.00
Vocational Tuition,
City of Boston
$ 46.32
City of Newton
193.42
239.74
Unpaid Bills of 1932. Voted July 17, 1933 : Welfare,
L. B. Rowe, M.D.
$ 50.00
Leonard Morse Hospital
93.00
Town of Natick 306.50
449.50
Notices of Meetings :
Printing, postage, etc.
148.38
7,796.80
Enterprises and Cemeteries
Water Department :
Salaries,
Commissioners
$135.00
Clerk
300.00
Assistant Clerk
100.00
Superintendent
1,532.82
Engineer (Pumping Sta.)
1,434.96
General,
Printing, postage, etc.
57.50
Recording liens
3.51
Telephone
44.91
Freight and Express
24.67
Labor and truck hire
512.00
Truck, upkeep, oil, gas, etc.
181.77
129
Equipment
237.22
Pipe and fittings
426.52
Hydrant-fittings
90.40
Wells
1,000.00
Pumps
700.00
Standpipe
1,698.87
Pumping Station,
Labor
396.00
Equipment
46.19
Repairs and upkeep
20.47
Light and fuel
808.61
$9,751.42
Lakeview Cemetery :
Labor
$675.90
Materials
10.45
Equipment
26.98
Oil and gas
26.25
Plants, seeds, etc.
9.00
748.58
North and Center Cemeteries :
Labor
$682.70
Equipment
28.54
Oil and gas
12.26
Plants, seeds, etc.
25.00
748.50
Cemeteries, General Improvement :
Labor
$71.10
Trucking
26.55
Loam and gravel
28.86
Tools
18.92
Oil and gas
17.65
163.08
11,411.58
Interest
Notes :
Anticipation of Revenue
$5,066.96
Anticipation of Reimburse- ment 236.46
School-house-addition, Cochituate 320.00
Water Main Extension
2,140.60
Interest on Library Funds
25.00
$7,789.02
130
Funds' Income :
Poor Funds, Sundry persons $ 175.25
Library Funds, Books 1,266.58 Cemetery Funds, Labor and materials 664.05
2,105.88
9,894.90
Maturing Debt
Notes :
Anticipation of Revenue
$100,000.00
Anticipation of Reimbursement
12,000.00
School-house-addition, Cochituate
2,000.00
Water Main Extensions
5,390.00
119,390.00
Trust Funds-Investments
Library :
Temporary loan, Town of Wayland
$3,000.00
Cemetery : Provident Inst. for Savings 300.00
3,300.00
Taxes
Commonwealth of Massachusetts :
Income
$7,020.00
Park
12.01
State Audit
53.52
Old Age Assistance
1,008.00
$8,093.53
County of Middlesex :
County Tax
$7,048.88
Tuberculosis Hospital
2,328.72
Dog Licenses
760.40
10,138.00
18,231.53
Refunds
Taxes 1930
$ 24.20
1931
114.75
1932
126.55
1933
4.74
Motor Excise 1932
3.20
Motor Excise 1933
21.06
$294.50
131
Interest on Taxes Beer Licenses Collector's Fees Treasurer's Checking Acct. (Credited checks cashed)
25.13 166.64 .70
.85
487.82
Total Expenditures
$331,339.17
132
RECEIPTS 1933. Classified. Total $321,586.42
$136,852.51
Taxes Tax Titles, Redemptions, Deposits, Partial Payments
3,539.56
Departmental Revenue
Licenses, Permits, Fines
Interest, Taxes, Tax Titles, Deposits
Grants and Gifts :
Federal Unemployment Relief
$4,358.06
State Income, Corp., etc., Taxes
11,575.87
County, Dog Licenses
701.87
State, Road Construction
5,668.57
State and County, Road Maintenance
5,981.23
Welfare Gifts from Individuals
150.28
28,435.88
Reimbursements :
Welfare
$5,929.02
Old Age Assistance
2,208.58
State Aid
1,200.00
Veterans' Exemptions
82.19
Board of Health
210.00
Schools, State Wards
598.33
Vocational Tuition
342.47
10,570.59
Loans :
Anticipation of Revenue
$101,000.00
Anticipation of Reimbursement
15,000.00
116,000.00
Agency :
Trust Funds, Reinvestment
$3,000.00
Trust Funds, Bequests
300.00
Trust Funds, Income
2,235.58
Water Receipts
9,357.78
Sale of Cemetery Lots and Graves
175.00
School, Donation Fund
8.00
Treasurer's Fees
21.00
Collector's Fees
379.45
Dog License Receipts
760.40
Bal. Collector's Checking Acct.
198.72
16,435.93
Cash Refunds
401.22
Total Receipts
$321,586.42
133
$140,392.07 339.41 4,116.60 4,894.72
PAYMENTS 1933. Classified. Total $331,339.17
Departmental Expenditures $143,469.96
Special Appropriations : Castle Gate South, Road Construction $1,042.49
Cochituate Road, Sec. 3 and Concord Road, Sec. 2, Reconstruction 6,000.00
7,042.49
Taxes :
State
$8,093.53
County
9,377.60
17,471.13
Indebtedness :
Funded debt
$ 7,390.00
Notes, Anticipation of Revenue
100,000.00
Anticipation of Reimbursement 12,000.00
119,390.00
Unpaid Bills of 1931, 1932 :
Public Welfare
$2,778.49
Board of Health
858.00
Soldiers' Benefits
92.00
Vocational Tuition
239.74
Fire Department
100.00
Assessors' Salary
84.00
Moth Extermination
21.45
4,173.68
Special Appropriations of 1931, 1932 : Cochituate Rd., Reconstruction Sec. 1
$4,921.40
Cochituate Rd., Reconstruction Sec. 2 4,438.51
9,359.91
Agency :
Funds' Income
$2,105.88
Funds' Investment
3,300.00
Collector's Fees
379.45
Treasurer's Fees
24.00
Dog Licenses ( Collections)
760.40
Dog Licenses ( Donated by the County)
701.87
Donation Fund (For School)
8.00
Welfare Gift Fund
146.29
Cemeteries, General improvement
163.08
Water Receipts for Maintenance 6,216.42
Water Receipts for Water Notes Interest 2,050.60
134
State and County Grants for Road Maintenance 5,981.23
State & Discount (for County) for Road Construction
8,107.66
Refunds
29,944.88 487.12
Total Payments
$331,339.17
TAX BALANCES, DECEMBER 31, 1933
Taxes 1929 Real Estate
$54.58
Moth
5.00
$59.58
Taxes 1930
Real Estate
$ 3.65
Motor Excise
51.45
Moth
.75
55.85
Taxes 1931
Real Estate and Personal
$594.52
Poll
46.00
Old Age Assistance
19.00
Motor Excise
420.15
Moth
9.50
1,089.17
Taxes 1932
Real Estate and Personal
$25,318.80
Poll
340.00
Old Age Assistance
165.00
Motor Excise
1,631.97
Moth
66.50
27.522.27
Taxes 1933
Real Estate and Personal $84,442.75 Poll
900.00
Old Age Assistance
456.00
Motor Excise
3,179.38
Moth
178.50
89,156.63
1933 Street Betterment Assessments
582.00
Total
$117,883.50
$118,465.50
135
T
17 377.40
WATER ACCOUNTS RECEIVABLE
1933
1933
Jan. 1 Balance
$5,611.34
Feb. 14 Collections
$1,010.90
Mar. 9 Additional Accounts of
21 Collections
1,316.48
1932
141.69
Apr. 30 Collections
585.99
Apr. 16 Accounts Receivable 1/1/33
4,222.36
Collections
1,453.17
July 25 Additional Accounts
2,090.94
of 1/1/33
497.83
Sept. 23
Collections
612.03
Cash Overage
53.01
Nov. 26 Collections
358.50
Accounts Receivable of 7/1/33
6,823.66
30 Collections
392.70
30 Abatements
231.00
Dec. 3 Additional Accounts 7/25-12/1
227.67
To balance
7,988.78
$175,777.56
$17,577.56
17,577:06
Dec. 26
Collections
566.10
Aug. 8 28 Collections
970.97
July 10
Collections
136
137
RESERVE FUND 1933
Transfers :
Appropriation
$5,000.00
Selectmen's Expense
$ 10.00
Treasurer's Expense
50.00
Collector's Expense
174.85
Certification of Notes
5.00
Election Officers
86.00
Election Expense
163.60
Town Hall, Maintenance
25.40
Fire Department
2.37
District Nurse's Expense
60.00
Snow Removal
632.22
Highways C. W. A.
792.00
Welfare C. W. A.
81.00
Public Welfare
1,876.07
State Aid
64.00
Soldiers' Benefits
521.37
Vocational Tuition
335.83
To balance
120.29
$5,000.00
$5,000.00
138
TRUST FUNDS ACCOUNT
1933
1933
Jan. 1
Balance
$50,100.00
Poor Funds
June 24 G. Trumbull P. C. Fund 100.00
Donation
$1,300
Aug. 17 S. Anderson P. C. Fund 100.00
Allen
1,000
28 Metcalfe P. C. Fund 100.00
Loker
2,000
Dec. 31
Funds Interest and Cps. 2,235.58
$4,300.00
Library Funds
Ella E. Draper
$500
James Draper 500
Grace Campbell Draper
1,000
James Sumner Draper 5,000
Sarah Webster Heard
3,100
J. M. Parmenter 10,000
Ada H. Wellington
500
Lydia Maria Child
100
Cynthia G. Roby
3,200
Harriet Coburn Damon
3,000
Isaac C. Damon 1,000
27,900.00
Cemetery Funds
J. M. Parmenter $5,000
Various Perpetual Care 13,200
18,200.00
139
Income Poor Library Cemetery
$175.25 1,274.87 785.46
2,235.58
$52,635.58
$52,635.58
NET FUNDED OR FIXED DEBT
1933 Jan. 1 Balance
1933
$60,390.00
May 15 Water Main Extension Note of 1931 $2,500.00
July 3 Cochituate School-house addition 2,000.00
July 3 Water Main Extension Note of 1929 2,890.00 To balance 53,000.00
$60,390.00
$60,390.00
ESTIMATED RECEIPTS 1933
Refunds, Interest on Taxes
$28.43
Interest, Taxes, T. T. $4,995.43
Refunds, Motor Excise Taxes
24.26
Licenses and Permits 3,709.60
Refunds, Beer Licenses
166.64
Court and County Fines 491.28
Departmental Refunds 173.22
Departmental Revenue
390.16
Reimbursements
Welfare, Health, State Aid 9,547.60
Schools, Vocational Tuition, Vet. Exemptions 1,022.99
Grants and Gifts
Federal Unemployment Relief 4,358.06
State. Income; Corp. & Bu. Taxes
11,575.87
Collections Motor Excise 5,883.01
Transferred to "Excess and Deficiency"
9,060.52
Moth
262.50
$42,409.72
$42,409.72
Treasurer's Checking Account Credited checks cashed 85 Levy 1933 33,129.02
140
EXCESS AND DEFICIENCY 1933
1933 Mar. 14 Bal. Water Dept. Expense of 1932 transferred to "Water Receipts Re- served for Appropria- tion" according to Mr. Waddell's advice
1933
Jan. 1 Balance
$31,567.55
23 Adj. T. T. Moth 1930-31 5.00
30 Tax Title Redemptions 340.85
Feb. 1 Tax Titles Void 396.86
28 Tax Title Redemptions 345.51
Mar. 8 Closed accounts 2.86
28 Tax Title Void
80.25
29
Additional Polls 1932 14.00
Dec. 30
3,551.38
Apr. 8 Tax Title Redemptions
104.52
Tax Titles 1932
3,348.48
May 31 Tax Title Redemptions
324.96
Tax Titles 1931-1932 Additional
500.30
July 25 Interest Taxes 1926
3.42
To balance
39,224.11
Adj. T. T. Moth 1930-31
3.50
31 Tax Title Redemptions
165.23
Aug. 31
Tax Title Redemptions
339.82
Sept. 30
Tax Title Redemptions
872.06
Oct. 30
Tax Title Redemptions
594.92
Dec. 30 1933 Revenue balance
2,418.01
1933 Estimated Receipts balance 9,060.52
$46,965.00
$46,965.00
141
July 25 Old Age Assistance 1932. Adj. Commit- ment Tax Titles 1931
1.00
31 Tax Title Redemptions
242.77
June 3 Tax Title Redemptions
82.39
$339.73
BALANCE SHEET, DECEMBER 31, 1933
Cash
$ 1,778.10
Motor Excise Revenue
$5,282.95
Taxes and Assessments
118,465.50
Special Assessment Revenue 842.25
Tax Titles
15,850.88
Bal. Collector 1926-29 ck. acct. 164.94
Overlay 1926 Overdraft
75.90
Tax Title Revenue
15,850.88
Overlay 1930 Overdraft
10.00
Tax Title Partial Payments
349.67
Overlay 1931 Overdraft
670.44
Tax Title Deposits
300.00
Accounts Receivable :
Overlay 1929
94.65
Charities
6,335.25
Overlay 1932
268.20
Water
7,988.78
Overlay 1933
1,324.16
Commonwealth of Massachusetts,
Departmental Revenue
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