Plainville, Massachusetts annual reports 1960-1965, Part 27

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Publication date: 1960
Publisher:
Number of Pages: 1304


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The physical plant in the heart of Wrentham is now in its sixth year of use. Costs of maintaining this are beginning to show a steady increase. This normal increase is precipitated in this district by the excessive number of students housed in the building which adds ap-


135


ANNUAL REPORT


1962


preciably to maintenance and depreciation costs. The School Com- mittee, acting on the advice of administration, has wisely embarked on a planned program of building maintenance and improvement. It is simply good sense and wise use of funds to protect the district's large investment in the utility and beauty of this structure.


Respectfully submitted,


JONH F. MacDONNELL,


Superintendent


ANNUAL REPORT OF THE PRINCIPAL,


KING PHILIP REIGIONAL HIGH SCHOOL


To the Superintendent, King Philip Regional School District Committee and Citizens of the District


King Philip Regional High School was unanimously recommended for membership in the New England Association of Colleges and Sec- ondary Schools. King Philip Regional High School was elected to membership at the annual meeting of the association held on December 7, 1962, and is now fully accredited.


The follow-up of the recommendations is now in progress. The high enrollment, as compared with the school facilities, will result in delaying the carrying out of some of the recommendations. This is mainly concerned with the problems of crowded conditions. There will have to be more programming and scheduling modifications for the school year 1963-1964.


King Philip Regional High School selected four major objectives for the school year 1962-1963:


1. To improve the relationship between teacher, student, parent and public.


2. To complete the follow-up of the school evaluation program.


136


TOWN OF PLAINVILLE


1962


3. To up-grade the departments as they function in our educational program.


4. To plan our academic and activity program so that they will not interfere with one another.


I want to thank all the people for their excellent cooperation that has meant progress in carrying out these objectives.


Respectfully submitted,


WARREN H. PRESSLEY, JR.,


Principal


YEARLY REPORT-1962


Vocational School Director Preston I. Titus


There were sixty pupils enrolled in the Vocational School as of October 1, 1962. Two new pupils have entered since, now making a total of sixty-two.


There were eighteen graduates in 1962. All of the graduating class are either working or are in the service. Nearly one hundred percent are working at the trade for which they were trained.


The students are doing jobs in their shops for outside customers, teachers, students, and for various town departments and agencies. Some of the school maintenance that is of instructional value is also done by the students.


The building training program is still operating. The students . completed their second new home in the spring. An open house was held and many visitors were present.


In October they started working on their third building and will complete it in the spring of 1963.


The Vocational School continues operating its evening program for adults. This year there are classes in Machine Blueprint Reading and Mathematics, Machine Shop Practice, and Apprentice Carpentry.


137


ANNUAL REPORT


1962


With the present facilities for our day school program, the approx- imate number of students that can be accommodated would range be- tween sixty and seventy. The number of new students each year can- not be greater than nineteen.


Each year we receive applications from non-resident students from neighboring communities. It might be advisable to investigate the possibility of a Regional Vocational Technical High School to be loca- ted in this vicinity. This would enable the school to offer a larger variety of program with all the communities sharing the cost.


This type of school is now in operation in two sections of the state. Several other areas are contemplating such schools.


The King Philip Regional Vocational High School will continue to serve the needs of the youth of the region to the best of its ability. We wish to thank everyone who is aiding us in making this school a success.


ADULT EDUCATION YEARLY REPORT-1962


Preston I. Titus, Vocational School Director


The attendance of the Evening Adult Education Program is run- ning about the same as last year. There are over two hundred people attending the various evening classes.


There are four distinct types of coures being held: 1) Vocational Evening Trade Extension; 2) Vocational Practical Arts; 3) Vocational Apprenticeship; 4) Academic.


The Evening Trade Extension classes are in Machine Blueprint Reading & Mathematics and Machine Shop Practice. The Vocational Practical Arts classes are in Ceramics, Rug Braiding, and Sewing. There is one Vocational Apprenticeship class in Carpentry.


The academic classes are in Sketching and Painting, Typing, Busi- ness Machines, Shorthand, English, and Algebra. There is also a short ten week course in Filing State and Federal Income Tax Returns.


High school credits may be obtained from the Algebra and Eng- lish courses provided the student passes a final examination and class attendance is sufficient.


The Adult Education program is fulfilling an important service to the people in the district and near-by communities.


138


TOWN OF PLAINVILLE


SCHOOL CALENDAR 1962 - 1963


(Subject to change by King Philip Regional School District Committee)


September


5


6


7


10


11


12


13


14


17


18


19


20


21


24


25


26


27


28


(18 days)


October


1


2


3


4


5


8


9


10


11


-


15


16


17


18


19


22


23


24


25


29


30


31


* Columbus Day


* Teachers Convention


(21 days)


November


1


2


5


6


7


8


9


-


13


14


15


16


19


20


21


-


-


26


27


28


29


30


* Veterans Day


* Good Friday Vacation (16 days)


(19 days)


December


3


4


5


6


7


10


11


12


13


14


17


18


19


20


21


* (Noon) Christmas


(22 days)


Vacation


June


3


4


5


6


7


10


11


12


13


14


17


18


19


20


21


-


8


9


10


11


14


15


16


17


18


21


22


23


24


25


28


29


30


31


-


February


1


4


5


6


7


8


11


12


13


14


15


25


26


27


28


*Vacation


(15days)


March


-


4


5


6


7


8


11


12


13


14


15


18


19


20


21


22


25


26


27


28


29


(21 days)


April


1


2


3


4


5


8


9


10


11


-


-


22


23


24


25


26


29


30


* (Noon) Thanksgiving Recess


May


-


-


1


2


3


6


7


8


9


10


13


14


15


16


17


20


21


22


23


24


27


28


29


-


31


* Memorial Day


(15 days)


January


-


2


3


4


7


(15days)


184 days


(22 days)


-


-


1


-


-


1962


139


ANNUAL REPORT


1962


Total number of school days according to the above is 184 days. The minimum allowed by the Department of Education is 180 days. This means that days lost due to bad weather or other causes must not ex- ceed 5. Any days missed in excess of 5, must be made up, probably by extending the June closing.


Approved May 7, 1962, King Philip Regional School District Committee


"NO SCHOOL" SIGNALS


The sirens in Wrentham, Sheldonville, Plainville and Norfolk fire stations will be used to sound the signal. The "No School" signal will be:


2 BLASTS-4 TIMES


Signal will have the following meanings:


7:00 a.m .- Omit session in Grades 7 - 12


"No School" signals will be used only when weather conditions are unusually severe, or in cases of emergencies. The scattered popu- lation of the district and the extensive pupil transportation system makes it necessary to sound the signal, if at all, a considerable time in advance of the opening hour of the school session. It occasionally happens that weather conditions which appear promising at the hour the signal should be sounded become severe by the time many pupils start for school. Parents are requested to use their own judgment in such cases as to whether or not your son or daughter should attend a school session.


When school sessions are to be called off because of weather condi- tions, announcement will be made over the following radio stations:


W BZ -Boston WEE I - Boston W HDH -Boston W PRO -Providence W ARA - Attleboro


Parents should tune their radios to these stations between 6:30 a.m. and 7:30 a.m, if in doubt as to whether or not school will be in session, or telephone EVergreen 4-3706.


Should it become necessary to dismiss school before the usual closing time, announcement will be made over the same stations.


140


TOWN OF PLAINVILLE


1962


KING PHILIP REGIONAL SCHOOL DISTRICT ENROLLMENT-1962 - 1963 AS OF OCTOBER 1, 1962


Boys


Girls


Total


Grade 1


(N)


49


49


98


(P)


54


51


105


(W)


61


56


117


164


156


320


Grade 2 (N)


22


27


49


(P)


42


45


87


(W)


51


49


100


Grade 3


(N)


40


40


80


(P)


49


58


107


(W)


51


51


102


140


149


289


Grade 4


(N)


47


40


87


(P)


35


42


77


(W)


59


43


102


Grade 5


(N)


29


19


48


(P)


44


48


92


(W)


50


48


98


Grade 6


(N)


41


36


77


(P)


44


32


76


(W)


48


58


106


133


126


259


Grade 7 (N)


29


27


56


(P)


33


40


73


(W)


55


40


95


Grade 8


(N)


31


27


58


(P)


37


28


65


(W)


57


37


94


125


92


217


117


107


224


123


115


238


141


125


266


115


121


236


141


1962


ANNUAL REPORT


Boys


Girls


Total


Grade 9


(N)


28


25


53


(P)


29


27


56


(W)


54


54


108


111


106


217


Grade 10 (N)


20


23


43


(P)


26


45


71


(W)


43


55


98


89


123


212


Grade 11 (N)


29


23


52


30


35


65


37


45


82


96


103


199


Grade 12 (N)


13


19


32


(P)


20


22


42


(W)


38


25


63


P. G.


(W)


1


Grades 1 - 6


(N)


439


(P)


544


(W)


625


1608


Grades 7-12


(N)


294


(P)


372


(W)


540


1206


P. G.


(W)


1


Grades 1-12


(N)


733


(P)


916


(W)


1165


2814


P. G.


(W)


1


GRAND TOTAL


2815


Above figures include Vocational Students.


71


66


137


138


1207


142


TOWN OF PLAINVILLE


1962


KING PHILIP REGIONAL SCHOOL DISTRICT VOCATIONAL ENROLLMENT- TRADES and INDUSTRIES October 1, 1962


Grade 9 (N)


5


(N)-2


(P)


4


Machine Shop-7


(P)-3


(W)


7


(W)-2


(N)-3


16


Carpentry Shop-9


(P)-1


(W)-5


- 16


Tuition Pupil


1


Carpentry Shop


-


17


Grade 10


(N)


3


(N)-1


(P)


4


Machine Shop-2


(P)-1


(W)


-


(W) -.


7


Carpentry Shop-5


(Ń)-2


(P)-3


(W)-


7


Tuition Pupils


2


Machine Shop


-


9


Grade 11


(N)


4


(N)-3


(P)


7


Machine Shop-10


(P)-6


(W)


5


(W)-1


-


16


Carpentry Shop


(N)-1


(P)-1


(W)-4


-


-


16


Tuition Pupils


3


Machine Shop-1


-


19


Carpentry Shop-2


1962


ANNUAL REPORT


143


Grade 12


(N)


-


(N) -.


(P)


5


Machine Shop-4


(P)-2


(W)


5


(W)-2


10


Carpentry Shop-6


(N) -.


(P)-3 (W)-3


- 10


Tuition Pupils


5


Machine Shop


15


Enrollment


Machine Shop-23


Carpentry Shop-26


- 49


Tuition Pupils


11


-


Grand Total


60


144


TOWN OF PLAINVILLE


1962


HOME ECONOMICS VOCATIONAL October 1, 1962


Grade 10


(N)


-


-


(P)


(W)


1


1


-


Grade 11


(N)


2


(P)


3


(W)


9


14


Grade 12 (N)


1


(P)


3


(W)


4


.


-


-


Total


19


.


Grade II Tuition Pupil


1


-


Grand Total


20


145


ANNUAL REPORT


1962


KING PHILIP REGIONAL SCHOOL DISTRICT Wrentham, Massachusetts


BUDGET 1963


Item No. 1-General Control


$ 24,915.00


Item No. 2-Expense of Instruction


446,769.18


Item No. 3-Expense of Operating School Plant 57,041.50


Item No. 4-Maintenance 7,700.00


Item No. 5-Auxiliary Agencies


110,222.06


Item No. 6-Outlay


9,234.53


Item No. 7-Adult Education


7,100.00


Item No. 8-Vocational Education


54,609.44


$737,591.71


ESTIMATED RECEIPTS FOR 1963


State Reimbursement-Transportation, Chap. 71 $ 62,563.00


State Reimbursement-Special Education 7,800.00


State Reimbursement-Vocational School 21,000.00


National Defense Act-Mathematics 425.00


National Defense Act-Science 1,500.00


George Barden Fund-Vocational Home Economics Salaries


2,000.00


Adult Education Receipts 4,200.00


Transfer from Revenue Surplus-Voted November 29, 1962 22,000.00


Transfer from Revenue Surplus-Voted January 30, 1963 15,000.00


$136,488.00


Net Budget Cost Apportionable to Three Towns


$601,103.71


Net Increase of 1953 Budget Over 1962 Budget $ 52,217.16


10


KING PHILIP REGIONAL SCHOOL DISTRICT Wrentham, Massachusetts COMPARISON OF BUDGETS BY SALARIES AND EXPENSES


1960 Budget


1960 Spent


1961 Budget


1961 Spent


1962 Budget


1963 Budget


GENERAL CONTROL:


Salaries Expenses


$16,695.00 1,705.75


$15,882.67 1,409.68


$ 16,805.00


$ 16,545.38 1,795.07


$ 16,995.00 2,696.00


$ 22,690.00


3,179.25


2,225.00


$18,400.75


$17,292.35


$ 19,984.25


$ 18,340.45


$ 19,691.00


$ 24,915.00


INSTRUCTION:


Salaries


$296,115.54 $291,204.84


$328,982.69


$325,685.76


$373,172.15 39,956.00


$422,323.81


Expenses


26,309.73


25,316.46


27,896.03


28,044.62


44,445.37


$322,425.27 $316,521.30


$356,878.72


$353,730.38


$413,128.15


$466,769.18


OPERATING:


Salaries Expenses


$ 30,414.35 $ 28,369.77


$ 30,416.25


$ 29,778.15


$ 31,604.00


$ 33,046.50


23,103.00


20,705.89


23,055.00


21,574.81


22,395.00


23,995.00


$53,517.35


$49,075.66


$ 53,471.25


$ 51,352.96


$ 53,999.00


$ 57,041.50


MAINTENANCE:


Expenses


$ 4,500.00 $ 5,408.02


$ 6,500.00


$ 7,807.62 $ 8,500.00


$ 7,700.00


AUXILIARY AGENCIES:


Salaries


$ 19,693.70 $ 19,355.61 97,033.72 88,471.17


$ 20,925,87


$ 21,914.73


$ 24,045.08


$ 26,286.79


Expenses


78,951.89


78,105.57


81,399.03


83,935.27


$116,727.42 $107,826.78


$ 99,877.76


$100,020.30


$105,444.11


$110,222.06


OUTLAY: Expenses ADULT EDUCATION: Salaries Expenses


$


3,400.00 $ 4,963.83


$


4,200,00 $ 3,674.76 $ $,755.00 $ 9,234.53


2,670.00


$ 2,669.95


$ 4,515.00


$ 6,600.00


500.00


$7,100.00


VOCATIONAL:


Salaries Expenses


$ 40,673.86 $ 40,145.97 8,130.00 7,559.71


$ 41,567.65


$ 41,916.35


$ 44,730.49


$ 47,354.42


7,373.61


5,369.66


7,156.80


7,255.02


$48,803.86 $ 47,705.68


$ 48,941.26


$ 47,286.01


$ 51,887.29


$ 54,609.44


TOTAL SALARIES


$403,592.45 $394,958.86


$441,367.46


$438,510.32


$495,061.72


$558,301.52


TOTAL EXPENSES


164,182.20


153,834.76


151,155.78


146,372.11


167,857.83


179,290.19


GRAND TOTAL


$567,774.65 $548,793.62


$592,523.24


$584,882.43


$662,919.55


$737,591.71


TOTAL ESTIMATED


RECEIPTS


107,503.23


108,664.72


114,033.00


136,488.00


NET BUDGET


$460,271.42


$483,858.52


$548,886.55


$601,103.71


148


TOWN OF PLAINVILLE


1962


KING PHILIP REGIONAL SCHOOL DISTRICT


Wrentham, Massachusetts


SUMMARY OF 1962 FINANCIAL REPORT


January 1, 1962 to December 31, 1962


Balance as of


December 31, 1962


ACADEMIC BUDGET:


Salaries


$450,331.23


$6,126.84


Expenses


160,701.03


1,416.00


Total


$621,032.26


$7,542.84


VOCATIONAL BUDGET:


Salaries


44,730.49


144.99


Expenses


7,156.80


1,543.12


Total


$51,887.29


$1,688.11


Grand Total Balance


$9,230.95


CASH RECEIPTS


MISCELLANEOUS INCOME


$9,285.62


INTEREST INCOME


2,170.61


$11,456.23


BALANCE OF 1962 BUDGET


UNEXPENDED SURPLUS


$20,687.18


149


ANNUAL REPORT


1962


CAPITAL BUDGET FOR 1963


Interest Due on 5/1/56 Bond Issue at 3.20 %


May 1, 1963


$25,680.00


November 1, 1963


23,840.00


Interest Due on 3/1/58 Bond Issue at 3.40%


March 1, 1963


4,080.00


September 1, 1963


3,825.00


Total Interest


$57,425.00


Principal on 5/1/56 Bond Issue


$115,000.00


Principal on 3/1/58 Bond Issue


15,000.00


130,000.00


Total Principal $187,425.00


DEDUCT:


Reimbursement from state representing 63.9% of


estimated final construction cost 78,231.55


$109,193.45


APPORTIONED TO THE THREE TOWNS FOR 1963


NORFOLK


$109,193.45 x 20.45%


$ 22,330.06


PLAINVILLE


109,193.45 x 23.53 % 25,693.22


WRENTHAM


109,193.45 x 56.02% 61,170.17


$109,193.45


VOTED BY THE KING PHILIP REGIONAL SCHOOL DISTRICT COMMITTEE-NOVEMBER 29, 1962


OPERATING BUDGET


Calculation of Apportionment of Operating Expenses based upon enrollment in Grades 7-12 for each Member Town as of October 1, 1962


Member Town


Enrollment Grades 7-12 As of Oct. 1, 1962


Percentage of Total


Total Operating Cost


Member Town's Share


1963


NORFOLK


294


24.36%


$601,103.71


$146,428.86


PLAINVILLE


372


30.82%


601,103.71


185,260.17


WRENTHAM


541


44.82%


601,103.71


269,414.68


- -


1207


$601,103.71


1962


ANNUAL REPORT 151


KING PHILIP REGIONAL SCHOOL BUDGET Wrentham, Massachusetts


BALANCE SHEET, DECEMBER 31, 1962


Assets


CASH:


General


$75,509.98


Petty Cash Advances:


Superintendent's Office


$25.00


Principal's Office


75.00


School Cafeteria


75.00


175.00


Advance to School Cafeteria


2,900.00


Payroll Deductions Prepaid


8.12


$78,593.10


Liabilities


Tailings-Unclaimed checks


$ 978.36


Federal Grants:


George Barden Fund


$1,976.76


National Defense Education


621.92


2,598.68


Revolving Funds:


School Cafeteria


1,653.31


School Athletics


1,744.93


3,398.24


Appropriation Balances:


School Construction 13,086.76


152


TOWN OF PLAINVILLE


1962


Receipts Reserved for Appropriation:


Adult Education


1,235.00


Reserve for Petty Cash Advances


175.00


*Surplus Revenue


57,121.06


$78,593.10


Debt Accounts


Net Funded Debt


$1,845.000.00


Serial Loans:


School Construction


$1,845,000.00


Trust Accounts


Trust Funds:


Scholarship Fund:


In Custody of Treasurer $437.50 Mrs. Jeona Johnson $437.50


*$22,000 of this surplus will be used to reduce the 1963 budget. Voted November 29, 1962.


*15,000 additional will be used to reduce the 1963 Budget. Voted January 30, 1963.


HOT LUNCH PROGRAM


1962 Financial Report


Opening Cash Balance, January 1, 1962


$ 2,608.31


Federal Reimbursements 1962


14,394.53


Income from Lunches, Pupils


36,543.69


Income from Lunches, Adults


3,176.86


Other income 521.53


Total Receipts


$57,244.92


153


ANNUAL REPORT


1962


Expenditures, January 1, 1962 through December 31, 1962:


Food and Other $41,618.22


Labor


13,973.39


Total Expenditures 55,591.61


Cash Balance, December 31, 1962


$1,653.31


Total lunches served


137,482


Extra milk served 56,391


KING PHILIP REGIONAL DISTRICT Wrentham, Massachusetts


ATHLETIC REVOLVING ACCOUNT Year 1962


Balance, January 1, 1962


$2,322.59


Basketball


$ 937.30


$ 655.50


$ 281.80


Football


3,755.50


· 857.50


2,898.00


$4,692.80


$1,513.00


$5,502.39


Disbursements:


Equipment, Other Sports and Expenses


3,757.46


Balance, December 31, 1962


$1,744.93


154


TOWN OF PLAINVILLE


1962


TREASURER'S REPORT


To the Honorable Board of Selectmen:


Gentlemen:


As directed by you, I submit herewith my report as Treasurer for the Town of Plainville, for the accounting period from January 1, 1962 to December 31, 1962. This report reflects all financial transactions during the period under review and is supported by the following schedules:


Schedule of Cash Received.


Schedule of Cash Payments.


Schedule of Estimated Receipts.


Schedule of Appropriations, Balance carried forward, Transfers, amounts expended and unexpended balances.


Schedule of Maturing Debt and interest payments due by years.


Balance Sheet as at December 31, 1962, including Trust Accounts and Debt Account.


Respectfully submitted,


WILLIAM R. ARMSTRONG JR.


Treasurer for the Town of Plainville


155


ANNUAL REPORT


1962


RECEIPTS-1962


Accounts Receivable:


Tax Levy-1959


$ 875.44


Tax Levy-1960


7,337.27


Tax Levy-1961


13,536.52


Tax Levy-1962


360,918.08


$382.667.31


Actual Receipts from Estimated:


Motor Vehicle Tax-1960


1,064.02


Motor Vehicle Tax-1961


14,078.72


Motor Vehicle Tax-1962


62,675.66


·Water Rates and Supplies


26,671.83


Commonwealth and County


114,383.88


Other Receipts


19,307.63


238.181.74


Federal Grants:


Disability Assistance


1,606.54


Old Age Assistance


3,619.52


Medical Aid to Aged


3,699.53


Aid to Dependent Children


3,009.02


11,934.61


Revenue Note


50,000.00


Tax Titles


423.39


State and County Aid to Highways


20,294.66


Payroll Taxes and County Pension Withheld


31,778.94


Dog Tax Collections


931.25


School-National Defense Education Act


380.52


Sale of Real Estate


4,750.00


Ambulance


1,026.50


Road Machinery Fund


1,149.00


School Lunch


20,751.81


Refunds: Appropriation Accounts:


School Interest


29.08


Welfare


27.80


56.88


Total Receipts


764,326.61


Cash Balance January 1, 1962


190,684.91


$955,011.52


156


TOWN OF PLAINVILLE


1962


PAYMENTS-1962


Tax Levy-1961 Refunds


$ 190.90


Tax Levy-1962 Refunds


168.00


Motor Vehicle Excise Refunds-1961


457.05


Motor Vehicle Excise Refunds-1962


674.62


Federal Grants:


Disability Assistance-Adm. $ 205.49


Disability Assistance


1,620.00


Old Age Assistance-Adm.


388.38


Old Age Assistance


1,904.80


Medical Aid to Aged-Adm.


265.71


Medical Aid to Aged


5,433.49


Aid to Dependent Children-Adm.


489.72


Aid to Dependent Children


1,497.37


11,804.96


Dog Tax Collections


1,278.75


State and County Payments:


County Tax


6,687.72


County Hospital


1,933.27


State Parks


1,587.84


Mosquito Control


2,370.87


12,579.70


Revenue Note


50,000.00


State Share of Veterans Recovery


1,285.42


School-National Defense Education Act


157.00


School Lunch


19,894.04


Accounts Payable


26,940.50


Departmental Payments-Schedule


617,197.77


Payroll Taxes and County Pension Withheld


31,749.06


Fire Department Certified Bid


200.00


Total Payments


$774,577.77


Cash Balance December 31, 1962


$110,903.64


U. S. Treasury Bills


69,530.11


180,433.75


$955,011.52


157


ANNUAL REPORT


1962


ACTUAL RECEIPTS FROM ESTIMATED


From State and County:


Income Tax


$ 7,280.00


Corporation Tax


14,425.89


School Aid


189.46


School Assistance Commission


15,563.86


School Chapter 70


57,328.50


School Superintendent


3,333.33


School Transportation


4,047.60


Meal Tax


662.32


Vocational Education


405.85


Loss of Taxes


35.26


Agricultural Live Stock


50.00


Veterans Service


1,948.94


District Court Fines


125.00


Old Age Assistance


745.01


Aid Dependent Children


957.76


Disability Assistance


3,422.73


Medical Aid


2,389.14


Library Aid


952.50


State License


10.00


County Dog Tax


503.43


State Tax Compensation


7.30


$114,383.88


158


TOWN OF PLAINVILLE


1962


Other Receipts:


Interest & Charges-Collector


1,964.28


License and Permits


2,734.50


Building Permits 999.75


Wire Permits


55.00


Milk Licenses


37.00


Library Fines


230.00


Interest & Costs-Tax Titles


65.42


Rent 218.00


Sealer of Weights


69,90


Miscellaneous Fees & Licenses


28.00


Photos 28.00


Medical Aid Recovery


852.80


Old Age Recovery


5,503.00


Town of No. Attleboro-O. A. A.


73.50


Sanitary Inspections


150.00


Accident Reports


28.00


Oil Burner Permits


15.50


Veterans Benefits Recovery


4,162.30


1963 Licenses 1,778.00


State Refund on Veterans Recovery Payment 92.92


Fire Department Bid Deposit 200.00


Audit Adjustment-Old checks made good 21.76


$ 19,307.63


Water Rates and Supplies


26,671.83


Motor Vehicle Excise Taxes 77,818.40


$237,859.76


APPROPRIATIONS, TRANSFERS, PAYMENTS AND BALANCES


Accounts


Appropria- tions


Refunds & Transfers


Payments


Balance


Library


$ 3,634.00


3,625.28


8.72


Selectmen


9,341.00


9,311.92


29.08


Treasurer


2,300.00


2,035.75


264.25


Town Clerk


1,125.00


1,094.06


30.94


Assessors


3,150.00


3,107.41


42.59


Tax Collector


2,300.00


2,299.86


14


Registrars


1,400.00


1,380.86


19.14


Auditor


200.00


200.00


Sealer of Weights


175.00


150.25


24.75


Board of Health


4,788.00


933.81


5,721.81


Wire Inspector


250.00


250.00


Building Inspector


350.00


350.00


Fire Department


11,210.00


1,892.70


13,101.45


1.25


Water Department


25,104.00


18,575.18


6,528.82


School-Plainville


160,110.00


29.08


158,677.97


1,461.11


Insurance


5,000.00


282.58


5,282.58


Veterans Benefits


3,200.00


2,855.64


344.36


Highway


8,300.00


8,299.21


.79


Memorial


200.00


191.80


8.20


Interest on Maturing Debt


8,300.00


7,994.67


305.33


Police


21,828.00


72.00


20,791.78


1,108.22


Tree Warden


300.00


276.00


24.00


Snow Removal


9,000.00


8,999.38


.62


Park


3,600.00


3,584.66


15.34


Accounts


Appropria- tions


Refunds & Transfers


Payments


Balance


Town Forest


75.00


75.00


Town Office and Fire Station Maint.


2,186.00


2,104.85


81.15


Maturing Dept


25,000.00


25,000.00


Welfare Agent


1,100.00


1,100.00


Street Lights


8,779.00


17.57


8,796.57


Vocational Education


1,994.00


98.70


2,086.70


6.00


Regional School


192,461.35


192,461.35


Planning Board


250.00


27.44


222.56


Industrial Development Comm.


120.00


30.00


90.00


Chapter 90 Maintenance


1,550.00


3,000.00


4,548.67


1.33


Chapter 81


4,750.00


9,900.00


14,649.59


.41


Chapter 90 Construction


3,050.00


9,000.00


8,155.14


3,894.86


Material Spreader


1,600.00


1,595.00


5.00


Front End Loader and Backhoe


10,500.00


10,471.97


28.03


Sidewalks


2,000.00


1,309.78


690.22


Drainage


4,000.00


3,998.06


1.94


Street Signs


200.00


198.73


1.27


Water Reserve Account


20,000.00 5,000.00


5,000.00


Stabilization Fund


10,000.00


20,000.00


30,000.00


County Retirement


3,472.44


3,472.44


Insect and Dutch Elm


294.11


288.00


6.11


Welfare


20,000.00


27.80


17,663.95


2,363.85


Ambulance


1,000.00


880.97


119.03


Police Cruiser


1,200.00


1,195.00


5.00


Civil Defense


250.00


500.00


548.41


201.59


20,000.00


Fire Department Apparatus Fund


Master Plan Survey Street Light on South Street


25.00


Fire Department Overdraft


197.10


197.10


Land Taking


2,000.00


2,000.00


Tax Title


504.00


284.68


219.32


Chapter 90 Construction (61)


496.60


494.75


1.85


Water Extension


525.95


525.95


Land Damages


986.00


986.00


Water Mains


5,828.72


1,753.20


4,075.52


Water Mains (Messenger & Taunton)


17,000.00


17,000.00


Town Building


376.77


325.00


51.77


$583,119.00


$100,072.28


$617,197.77


$ 65,796.41


Accounts carried forward to 1963:


Chapter 90 Construction


$ 3,894.86


Sidewalks


690.22


Water Reserve Account


20,000.00


Fire Department Apparatus Fund


5,000.00


Tax Title


219.32


Water Extension


525.95


Land Damages


986.00


Water Mains


4,075.52


Water Mains (Messenger & Taunton)


17,000.00


52,391.87


Transferred to Road Machinery Fund


$ 5.00


Transferred to Surplus Revenue


13,399.54


13,404.54


$65,796.41


11


3,500.00


3,500.00 25.00


BALANCE SHEET - DECEMBER 31, 1962


Assets


Liabilities and Reserves


CASH


Manufacturers Nation Bank $ 49,877.69


National Shawmut Bank 50,556.06


Dedham Trust Co. 10,469.89


U. S. Treasury Bills


110,903.64 69,530.11


REVENUE RESERVED


Motor Vehicle Excise Tax


12,691.02


Tax Titles


8,569.65


Tax Possessions


1,576.02


Tax Levy-1961


7,032.57


Tax Levy-1962


20,672.29


27,721.86


FEDERAL GRANTS


Disability Assistance


430.35


Uncollected 1960


228.87


Uncollected 1961


1,616.53


Medical Aid to Aged


4,438.49


Uncollected 1962


10,845.62


12,691.02


OTHER LIABILITIES


Dog Tax Due County


7.00


School-Nat'l Defense E. A.


223.52


DEPARTMENTAL


Water Rates and Supplies


3,169.37


County Tax


603.21


OTHER RECEIVABLES


State Parks


151.09


Tax Titles


8,569.65


Fire Equipment


5,000.00


Tax Possession


1,576.02


County Dog Tax Refund


503.43


State & County Aid to Hwys.


6,913.88


Ambulance Reserve Fund


1,711.00


Mosquito Control




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