Plainville, Massachusetts annual reports 1960-1965, Part 35

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Publication date: 1960
Publisher:
Number of Pages: 1304


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The high quality of training is still being carried on in our machine shop division with the students completing many productive type jobs throughout the school year. Both divisions continue to do work that is of instructional value for the school and municipal departments. This work not only helps the program but is also a savings to the residents in the district.


In last year's report it was suggested that it might be well, because of the number of non-resident applicants to our present school, to consider


119


ANNUAL REPORT


1963


joining with neighboring communities to form a larger regional vocational school with several more course offerings.


This year as your director of vocational education I am recommend- ing that the feasibility of such a school should be determined as quickly as possible.


The reasons for the recommendations are:


1. The education bill (Perkins Bill) that was recently signed into law by the President was drafted as the result of a year-long study by a committee appointed by the late President John F. Kennedy. It makes available a far greater amount of federal funds for the expansion of vocational education.


2. The increasing need for vocational and technical education. Fewer than half of the students who enter high school continue beyond the secondary level. Also there are a number of "drop-outs" during the high school years; one reason being a lack of interest in the type of academic program offered by the non-technical school. The students who complete their high school education and apply for employment are finding it increasingly difficult to get jobs because they do not have a suitable trade or technical background.


The vocational technical school recommended would serve grades nine through fourteen and would include courses for both boys and girls. Some of the course offerings that might be considered would be:


1. Foods and food service


2. Practical nursing


3. Business education (including business and


data processing machines)


4. Dental technician


5. Cosmatology


6. Electricity


7. Automotive


8. Auto body repair


9. Graphic Arts


10. Machine Shop Practice


11. Plumbing


12. Sheet metal


13. Welding


14. House carpentry


15. Painting and decorating


16. Building construction technology


17. Drafting technology


18. Electronics technology


19. Mechanical technology


20. Heating, refrigeration and air conditioning technology


21. Technical writing


120


TOWN OF PLAINVILLE


1963


The thirteenth and fourteenth grades would allow for some training beyond the high school level and would accommodate students graduating from an academic high school who might not be able to attend a four year college.


At the time of my previous report there were two regional vocational technical schools in operation in Massachusetts. Since that time the Blackstone Valley district, including twelve communities, have agreed to jointly support a regional vocational technical school. In the Greater Brockton area where there are committees meeting regularly to gather information in regard to the formation of one or more schools in that vicinity.


The King Philip Regional Vocational High School will continue to do its best to serve the needs of the youth of this region and wish to thank everyone who is helping to make this school successful.


Respectfully submitted,


PRESTON I. TITUS Director


121


ANNUAL REPORT


1963


ANNUAL REPORT ON ADULT EDUCATION


This year there are sixteen, two-semester classes being conducted. There are four additional, one-semester classes being offered. The attendance for the year has been exceptionally good.


There are four types of courses being held.


I. Vocational Evening Trade Extension. These courses are for those who are employed at the trade but wish to learn more about it and become more proficient. The courses being held are in Machine Shop Practice, and Machine Shop Blueprint Reading and Math.


II. Vocational Practical Arts. Courses in session are in Beginning and Advanced Sewing (3 Classes), Rug Braiding (2 classes), Knitting (2 classes), Rug Hooking, and Decorative Painting.


III. Vocational Apprenticeship Carpentry. This course offers class- room instruction in Related Math, Blueprint Reading, Estimat- ing, Architectural Drafting, House Framing and Trade Science. This course is for men who are serving an apprenticeship or learning the trade. It is held 150 hours each year and the complete course is for four years.


IV. Academic Classes. The classes being held this year are in Typing I and II, Algebra I and II, Everyday English, Oil Painting and Sketching and Painting. High school credits may be given for Sketching and Painting, Typing I and II, Everyday English and Algebra I and II, depending upon class attendance and an examination.


The four one-semester courses that are being offered this year are Income Tax Returns, The Psychoneurotic Personality, Massachusetts Government, and Psychology of Personality.


Each year adult education is becoming a more important part of our educational program not only in this district but throughout the country. We shall continue to promote and offer courses to fulfill the needs of people in the district and nearby communities.


Respectfully submitted, PRESTON I. TITUS Director


SCHOOL CALENDAR 1963 - 1964


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


September


February


4


5


6


3


4


5


6


7


9


10


11


12


13


10


11


12


13


14


16


17


18


19


20


23


24


25


26


27


24


25


26


27


28


30


(19 days)


(15 days)


October


March


1


2


3


4


2


3


4


5


6


7


8


9


10


11


9


10


11


12


13


14


15


16


17


18


16


17


18


19


20


21


22


23


24


*


23


24


25


26


28


29


30


31


30


31


* Teachers' Convention


* Good Friday


(21 days)


November


1


4


5


6


7


8


6


7


8


9


10


+


12


13


14


15


13


14


15


16


17


18


19


20


21


22


25


26


27


*


*


27


28


29


30


ยก Veterans Day


*


Spring Vacation


* Thanksgiving Recess


(17 days)


(18 days)


May


December


1


2


3


4


5


6


4


5


6


7


8


9


10


11


12


13


11


12


13


14


15


16


17


18


19


20


18


19


20


21


22


%


*


*


*


*


25


26


27


28


29


* Christmas Vacation


(15 days)


January


2


3


6


7


8


9


10


13


14


15


16


17


15


16


17


18


19


20


21


22


23


24


27


28


29


30


31


185 days


(22 days)


June


1


2


3


4


5


8


9


10


11


12


%


*


%


*


April


1


2


3


(22 days)


%


%


%


*


*


Winter Vacation


(15 days)


(21 days)


Total number of school days according to the above is 185 days. The minimum allowed by the Departmentof Education is 180 days. This means that days lost due to bad weather or other causes must not exceed 5. Any days missed in excess of 5 must be made up, probably by extending the June closing.


.


123


ANNUAL REPORT


1963


"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 population of the district and the extensive pupil transportation system make 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 con- ditions, announcement will be made over the following radio stations:


WBZ-Boston WEEI-Boston


WHDH-Boston


WPRO-Providence WARA-Attleboro


Parents should tune their radios to these stations between 6:30 a.m. and 7:30 a.m.


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


124


TOWN OF PLAINVILLE


1963


KING PHILIP REGIONAL SCHOOL DISTRICT ENROLLMENT-1963-1964 AS OF OCTOBER 1, 1963


Boys


Girls


Total


Grade 1 (N)


43


39


82


(P)


42


59


101


(W)


70


67


137


155


165


320


Grade 2 (N)


48


49


97


(P)


52


54


106


(W)


57


52


109


157


155


312


Grade 3 (N)


25


26


51


(P)


43


43.


86


(W)


55


51


106


123


120


243


Grade 4 (N)


40


40


80


(P)


52


53


105


(W)


52


49


101


144


142


286


Grade 5 (N)


30


54


84


(P)


37


45


82


(W)


64


45


109


131


144


275


Grade 6 (N)


31


21


52


(P)


44


47


91


(W)


51


47


98


126


115


241


Grade 7 (N)


38


37


75


(P)


46


31


77


(W)


55


53


108


139


121


260


1963


ANNUAL REPORT


125


Boys


Girls


Total


Grade 8 (N)


30


28


58


(P)


35


44


79


(W)


49


43


92


114


115


229


Grade 9 (N)


28


24


52


(P)


37


33


70


(W)


54


36


90


119


93


212


Grade 10 (N)


26


23


49


(P)


28


28


56


(W)


46


51


97


100


102


202


Grade 11 (N)


19


23


42


(P)


28


43


71


(W)


42


52


94


89


118


207


Grade 12 (N)


27


21


48


(P)


28


33


61


(W)


34


42


76


89


96


185


GRAND TOTAL


Grades 1-6 (N)


446


(P)


571


(W)


660


1677


Grades 7-12 (N)


324


(P)


414


(W)


557


1295


Grades 1-12 (N)


770


(P)


985


(W)


(Includes Vocational Students)


1217


-


2972


126


TOWN OF PLAINVILLE


1963


VOCATIONAL ENROLLMENT - TRADE & INDUSTRIES


Grade 9 (N)


2


Machine Shop


(N) 1


(P)


11


(P)


3


(W)


8


(W)


2


-


21


Carpentry


(N) 1


(P)


8


(W)


6


Tuition Pupils


6


Machine


4


Carpentry


2


Grade 10 (N)


3


Machine


(N) 3


(P)


3


(P) 4


(W)


4


(W) 2


13


Carpentry


(N) 0


(P)


2


(W)


2


Tuition Pupils


3


Machine


1


Carpentry


2


Grade 11 (N)


2


Machine


(N)


1


(P)


3


(P)


1


(W)


0


(W)


0


Carpentry


(N)


1


5


(P)


2


Tuition Pupils


2


Machine


1


Carpentry


1


Grade 12 (N)


3


Machine Shop


(N)


2


(P)


6


(P)


5


(W)


4


(W)


1


-


-


13


8


Carpentry


(N)


1


(P)


1


(W)


3


Tuition Pipils


2 Machine


1


Carpentry


1


-


-


(W)


0


1963


ANNUAL REPORT


127


Enrollment


Machine Shop 25


Carpentry Shop 27


-


52


Tuition Pupils


13


-


65


HOME ECONOMICS


Grade 11 (N)


0


(P)


1


(W)


6


7


Grade 12 (N)


1


(P)


4


(W)


7


-


12


128


TOWN OF PLAINVILLE


1963


KING PHILIP REGIONAL SCHOOL DISTRICT Wrentham, Massachusetts


SCHOOL BUDGET 1964


1000 Administration


$24,003.18


2000 Instruction


532,404.43


3000 Other School Services


100,939.50


4000 Operation and Maintenance of Plant


84,559.59


5000 Fixed Charges


20,133.95


7000 Acquisition of Fixed Assets


1,750.00


Adult Education


7,400.00


Vocational Education


66,278.59


$837,469.24


ESTIMATED RECEIPTS FOR 1964


State Reimbursement Transportation, Chapter 71 $65,560.00


State Reimbursement-Special Education 10,258.00


State Reimbursement-Vocational School 23,000.00


George Barden Fund-Vocational Salary


3,050.00


Adult Education Receipts


2,500.00


Transfer From Surplus (Voted 1/28/64)


15,000.00


119,368.00


Net Budget Cost Apportionable to Three Towns $718,101.24


Net Increase of 1964 Budget Over 1963 Budget $116,997.53


.


1963


ANNUAL REPORT


129


1964 SCHOOL BUDGET BY SALARIES AND EXPENSES


Administration


$20,428.18


$3,575.00


$24,003.18


Instruction


480,847.75


51,556.68


532,404.43


Other School Services


17,242.19


83,697.31


100,939.50


Operation and Maintenance of Plant


38,002.00


46,557.59


84,559.59


Fixed Charges


14,150.00


5,983.95


20,133.95


Acquisition of Fixed Assets


1,750.00


1,750.00


Adult Education


6,900.00


500.00


7,400.00


Vocational Education


56,360.85


9,917.74


66,278.59


$633,930.97


$203,538.27


$837,469.24


Total Estimated Receipts


119,368.00


Net Budget


$718,101.24


9


130


TOWN OF PLAINVILLE


1963


KING PHILIP REGIONAL SCHOOL DISTRICT Wrentham, Massachusetts


SUMMARY OF 1963 FINANCIAL REPORT January 1, 1963 to December 31, 1963


Balance as of


Budget December 31, 1963


ACADEMIC BUDGET:


Salaries


$510,947.10


$4,110.33


Expenses


172,035.17


2,863.60


Total


$682,982.27


$6,973.93


VOCATIONAL BUDGET:


Salaries


47,354.42


None


Expenses


7,255.02


None


Total


$54,609.44


Grand Total Balance


$6,973.93


CASH RECEIPTS


Miscellaneuos Income


$9,851.80


Interest Income


2,199.07


12,050.87


BALANCE OF 1963 BUDGET UNEXPENDED SURPLUS $19,024.80


131


ANNUAL REPORT


1963


KING PHILIP REGIONAL SCHOOL DISTRICT Wrentham, Massachusetts


CAPITAL BUDGET FOR 1964


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


May 1, 1964


$23,840.00


November 1, 1964


22,000.00


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


March 1, 1964


3,825.00


September 1, 1964


3,570.00


TOTAL INTEREST $53,235.00


Principal on 5/1/56 Bond Issue


$115,000.00


Principal on 3/1/56 Bond Issue


15,000.00


130,000.00


TOTAL PRINCIPAL AND INTEREST


$183,235.00


DEDUCT


Reimbursement from State representing 63.9% of


estimated final construction cost: 77,525.06


APPORTIONED TO THE THREE TOWNS FOR 1964


$105,709.94


NORFOLK


$105,709.94 x 20.45%=


$21,617.68


PLAINVILLE


105,709.94 x 23.53%= 24,873.55


Wrentham


105,709.94 x 56.02%= 59,218.71


$105,709.94


SCHOOL OPERATING AND CAPITAL BUDGETS


Member


Towns


1964


Enrollment 7-12 10-1-63


Total Operating Cost


Percentage Of Total


Member Town Share


Total Capital Cost


Percentage Of Total


Member Town Share


Grand Total


Norfolk


325


$718,101.24


25.10%


$180,243.42


$105,709.94


20.45%


$ 21,617.68


$201,861.10


Plainville


415


718,101.24


32.04%


230,079.63


105,709.94


23.53%


24,873.55


254.953.18


Wrentham


555


718,101.24


42.86%


307,778.19


105,709.94


56.02%


59,218.71


366,996.90


1295


100.00%


$718,101.24


100.00%


$105,709.94


$823,811.18


1963


10-1-62


Norfolk


294


$601,103.71


24.36%


$146,42 8.86


$109,193.45


20.45%


$ 22,330.06


$168,758.92


Plainville


372


601,103.71


30.82%


185,260.17


109,193.45


23.53%


25,693.22


210,953.39


Wrentham


541


601,103.71


44.82%


269,414.68


109,193.45


56.02%


61,170.17


330,584.85


1207


100.00%


$601,103.71


100.00%


$109,193.45


$710,297.16


1962


10-1-61


Norfolk


269


$548,886.55


23.62%


$129,647.00


$113,383.45


20.45%


$ 23,186.92


$152,833.92


Plainville


349


548,886.55


30.64%


168,178.84


113,383.45


23.53%


26,679.13


194,857.97


Wrentham


521


548,886.55


45.74%


251,060.71


113,383.45


56.20%


63,517.40


314,578.11


1139


100.00%


$548,886.55


100.00%


$113,383.45


$662,270.00


1961


10-1-60


Norfolk


261


$483,858.52


24.14%


$116,803.45


$117,573.45


20.45%


$ 24,043.77


$140,847.22


Plainville


329


483,858.52


30.44%


147,283.53


117,573.45


23.53%


27,665.03


174,951.56


Wrentham


491


483,858.52


45.42%


219,763.54


117,573.45


56.02%


65,864.65


285,633.19


1081


100.00%


$483,853.52


100.00%


$117,573.45


$601,431.97


133


ANNUAL REPORT


1963


BALANCE SHEET, DECEMBER 31, 1963


CASH


General


$63,211.16


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


$66,286.16


LIABILITIES


Tailings - Unclaimed Checks


$ 978.36


Commonwealth of Mass - Taxes (Payroll Deductions)


2,159.43


Federal Grants:


George Barden Fund


$3,171.18


National Defense Education


1,488.99


4,660.17


Revolving Funds:


School Cafeteria


1,386.35


School Athletics


1,469.07


2,855.42


Appropriation Balances: School Construction


13,086.76


Receipts Reserved for Appropriation: Adult Education


1,609.50


Reserve for Petty Cash Advances


175.00


Surplus Revenue


40,761.52


$66,286.16


DEBT ACCOUNTS


Net Funded Debt $1,715,000.00


Serial Loans: School Construction


$1,715,000.00


TRUST ACCOUNTS


Trust Funds :


Scholarship Fund :


In custody of Treasurer


$437.50


Mrs. Leona Johnson


$437.50


-


134


TOWN OF PLAINVILLE


1963


KING PHILIP REGIONAL HIGH SCHOOL HOT LUNCH PROGRAM


1963 Financial Report on School Lunch Program


Opening Cash Balance, January 1, 1963


$ 1,653.31


Federal Reimbursements 1963


$14,822.41


Income from Lunches, Pupils


43,875.69


Income from Lunches, Adults


3,461.84


Other Income


599.29


Total Receipts 62,759.23


$64,412.54


Expenditures, January 1, 1963 to December 31, 1963 Food and Other


$45,967.88


Labor


17,058.31


Total Expenditures


$63,026.19


Cash Balance December 31, 1963


$ 1,386.35


Total Lunches Served, Pupils


171,517


Total Lunches Served, Adults


7,927


Extra Milk Served


53,491


KING PHILIP REGIONAL SCHOOL DISTRICT Wrentham, Massachusetts ATHLETIC REVOLVING ACCOUNT Year 1963


Balance January 1, 1963


$1,744.93


Transferred from Surplus Revenue Account


1,000.00


Receipts :


Basketball


520.20


Football


2,890.86


3,411.06


Total


$6,155.99


Expenditures :


Basketball


421.50


Football


696.00


Other Sports and Expenses


3,569.42


4,686.92


Balance, December 31, 1963


$1,469.07


135


ANNUAL REPORT


1963


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, 1963 to December 31, 1963. 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 Disbursements.


Schedule of Estimated Receipts.


Schedule of Appropriation Accounts Activity.


Schedule of Maturing Debt and Interest Payments due by years.


Balance Sheet as of December 31, 1963, including Trust Accounts and Debt Account.


Respectfully submitted,


WILLIAM R. ARMSTRONG, JR.


Treasurer


136


TOWN OF PLAINVILLE


1963


RECEIPTS - 1963


Accounts Receivable:


Tax Levy-1960


$15.00


Tax Levy-1961


6,051.09


Tax Levy-1962


12,145.21


Tax Levy-1963


419,875.06


$438,086.36


Actual Receipts from Estimated:


Motor Vehicle Tax-1960


136.48


Motor Vehicle Tax-1961


981.82


Motor Vehicle Tax-1962


8,132.68


Motor Vehicle Tax-1963


53,233.35


Farm Animal Excise-1963


44.59


Water Rates and Supplies


35,591.04


Commonwealth and County


120,100.58


Other Receipts


10,069.74


228,290.28


Federal Grants:


Disability Assistance-Adm.


69.60


Disability Assistance


1,072.90


Old Age Assistance-Adm.


404.78


Old Age Assistance


5,362.00


Medical Aid to Aged-Adm.


473.41


Medical Aid to Aged


7,975.29


Aid to Dependent Children-Adm.


1,346.52


Aid to Dependent Children


4,682.50


U. S. Treasury Bills


69,530.11


Revenue Note


60,000.00


Tax Titles


5,341.64


Excess Collections on Tax Titles


328.45


State and County Aid to Highways


10,794.78


Payroll Taxes, County Pension and Group Insurance Withheld


36,564.56


Dog Tax Collections


1,033.50


School-National Defense Education Act


75.58


Ambulance


1,232.71


Road Machinery Fund


1,619.40


School Lunch


21,201.18


Interest from Stabilization Fund


1,200.00


Check Cancellations


265.10


Refunds: Appropriation Accounts: School Interest


29.08


Library-Gift from Iota Phi Sorority


24.90


53.98


Total Receipts


897,004.63


Cash Balance January 1, 1963


110,903.64


$1,007,908.27


21,387.00


137


ANNUAL REPORT


1963


DISBURSEMENTS - 1963


Tax Levy-1963 Refunds


$626.90


Motor Vehicle Excise Refunds-1962


149.21


Motor Vehicle Excise Refunds-1963


178.41


Federal Grants :


Disability Assitance-Adm.


$119.28


Disability Assistance


991.06


Old Age Assistance-Adm.


261.74


Old Age Assistance


2,258.04


Medical Aid to Aged-Adm.


221.37


Medical Aid to Aged


9,949.06


Aid to Dependent Children-Adm.


1,251.18


Aid to Dependent Children


4,442.27


19,494.00


Dog Tax Collections


1,043.50


State and County Payments :


County Tax


6,606.33


County Hospital


2,724.17


State Parks


1,788.83


Mosquito Control


2,328.22


State Audit


1,696.11


15,143.66


Revenue Note


60,000.00


Payroll Taxes and County Pension


34,481.20


Water Works Improvements-APW-Mass-57G


14,000.00


School Lunch


19,647.08


Surplus Revenue


2,006.53


Departmental Payments-Schedule


659,716.08


Total Payments


826,486.57


Cash Balance December 31, 1963


181,421.70


$1,007,908.27


138


TOWN OF PLAINVILLE


1963


ACTUAL RECEIPTS FROM ESTIMATED


From State and County :


Medical Aid to Aged


$4,631.76


Disability Assistance


1,884.76


Old Age Assistance


453.43


Aid to Dependent Children


3,050.04


Business Corporation Tax


14,929.89


Income Tax, School Aid Ch. 70


58,535.28


Library Aid


952.50


School Construction


5,592.46


Meal Tax


474.50


Agriculture and Livestock Disease


50.00


Loss of Taxes


35.41


Vocational Education


1,003.90


Summer Recreation-Handicapped-Retarded


30.91


Transportation of Pupils


6,436.00


Income Tax


7,028.00


School Aid Chapters 69 and 71


859.23


School Superintendents


3,333.33


School Construction Chapter 645


9,971.40


County Dog Tax


847.78 - 120,100.58


139


Other Receipts:


Permits and Licenses


1,970.50


1964 Licenses in 1963


3,567.00


Interest and Costs-Collector


1,583.99


Gym Rental


65.00


Auditorium and Cafeteria Rental


49.00


Library Fines


220.00


Sale of Dogs


6.00


Photos


56.00


Building and Sanitary Permits


571.00


Wire Permits


45.00


Court Fines 401.00


Oil Burner and Blasting Permits


19.50


Gun and Bicycle Licenses and Accident Reports


118.25


Interest on U. S. Treasury Bills


469.89


Tax Title Interest and Costs 715.41


Rebate-Dismissal of N. E. Homes Foreclosure


13.00


Gas Permits 82.00


Sealer of Weights


73.20


Milk Licenses


33.00


Electrical Permits


11.00


10,069.74


Water Rates and Supplies


35,591.04


Motor Vehicle and Farm Animal Excise Taxes


62,528.92


$228,290.28


1963


ANNUAL REPORT


APPROPRIATIONS, TRANSFERS, PAYMENTS AND BALANCES


Accounts


Balance Forward


Appropria- tions


Refunds and Transfers


Payments


Balance


Library


$3,644.00


$24.90


$3,667.98


$.92


Selectmen


8,750.00


8,638.72


111.28


Treasurer


2,300.00


2,126.88


173.12


Town Clerk


1,250.00


1,249.41


.59


Assessors


4,100.00


3,925.15


174.85


Tax Collector


2,420.00


2,358.16


61.84


Registrars


1,530.00


1,429.21


100.79


Auditor


250.00


250.00


Sealer of Weights and Measures


175.00


173.50


1.50


Board of Health


5,913.00


49.83


5,962.83


Wire Inspector


250.00


250.00


Building Inspector


350.00


350.00


Fire


10,000.00


3,703.34


13,678.14


25.20


Water


25,104.00


18,838.04


6,265.96


School


177,595.00


29.08


174,602.75


3,021.33


Insurance


5,500.00


5,469.61


30.39


Veterans Benefits


2,300.00


819.05


1,480.95


Highway


14,900.00


1,000.00


15,895.79


4.21


Memorial Day


200.00


157.00


43.00


Interest on Maturing Debt


7,700.00


7,489.38


210.62


Police


22,970.00


1,150.80


23,688.17


432.63


Tree Warden


300.00


291.00


9.00


Snow Removal


9,000.00


2,588.03


11,588.03


Park


4,250.00


4,180.84


69.16


Town Forest


75.00


75.00


Town Office and Fire Station Maintenance


2,371.00


2,360.45


10.55


Maturing Debt


25,000.00


25,000.00


Welfare Agent


1,100.00


1,100.00


Street Lights


9,000.00


8,868.14


131.86


Vocational Education


2,000.00


921.90


1,078.10


Regional School


210,953.39


210,953.39


Planning Board


330.00


27.95


302.05


Industrial Development Commission


120.00


120.00


Chapter 90 Maintenance


1,550.00


3,000.00


4,548.58


1.42


Chapter 81


4,750.00


9,900.00


14,649.05


.95


Chapter 90 Construction


3,894.86


3,050.00


9,000.00


5,373.57


10,571.29


Sidewalks


690.22


688.71


1.51


Water Reserve


20,000.00


32,500.00


(52,000.00)


500.00


Fire Dept. Apparatus Fund


5,000.00


5,000.00


5,000.00


15,000.00


Stabilization Fund


30,000.00


15,000.00


45,000.00


Norfolk County Retirement


4,176.54


4,176.54


Insect and Dutch Elm


300.00


Welfare Categories


17,000.00


112.60


16,892.77


219.83


Ambulance


1,000.00


82.02


1,082.00


.02


Civil Defense


1,105.00


1,030.81


74.19


Tax Title


219.32


300.00


513.05


6.27


Water Extension (Walnut St.)


525.95


525.95


Land Damages


986.00


Water Mains (South St.)


4,075.52


1,424.48


Water Mains


17,000.00


(17,000.00)


Gas Inspector


200.00


173.40


26.60


300.00


986.00


(5,500.00)


Accounts


Balance Forward


Appropria- tions


Refunds and Transfers


Payments


Balance


Road Construction


5,381.12


5,377.15


3.97


Group Insurance


3,102.60


2,051.99


3,789.08


1,365.51


Land for School Site


17,000.00


(17,000.00)


School Building Committee


5,000.00


6.30


4,993.70


Fire Department Rescue Truck


1.00


1.00


Conservation Commission


100.00


27.60


72.40


$52,391.87


$655,234.53


$599.19


$659,716.08


$48,509.51


Accounts carried forward to 1964:


Chapter 90 Construction


$10,571.29


Water Reserve


500.00


Fire Department Apparatus Fund


15,000.00


Tax Title


6.27


Water Extension (Walnut St.)


525.95


Land Damages


986.00


School Building Committee


4,993.70


Conservation Commission


72.40


32,655.61


Transferred to Surplus Revenue


15,853.90


48,509.51


.


143


ANNUAL REPORT


1963


SCHOOL BUILDING BONDS - DECEMBER 31, 1963 Schedule of Bonds and Interest Payable Yearly


December


$275,000.00 - 2%


31


200,000.00 - 3.7%


Payable


Issue


Outstanding


Interest


$220,000.00


1964


$25,000.00


195,000.00


$6,595.00


1965


25,000.00


170,000.00


5,925.00


1966


20,000.00


150,000.00


5,255.00


1967


20,000.00


130,000.00


4,685.00


1968


20,000.00


110,000.00


4,115.00


1969


20,000.00


90,000.00


3,545.00


1970


20,000.00


70,000.00


2,975.00


1971


10,000.00


60,000.00


2,405.00


1972


10,000.00


50,000.00


2,035.00


1973


10,000.00


40,000.00


1,665.00


1974


10,000.00


30,000.00


1,295.00


1975


10,000.00


20,000.00


925.00


1976


10,000.00


10,000.00


555.00


1977


10,000.00


185.00


$220,000.00


$42,160.00


BALANCE SHEET - DECEMBER 31, 1963


Assets


Liabilities and Reserves


Cash:


Overlay Reserved for Abatements :


Overlay for 1961 Taxes


$935.61


Dedham Trust Co.


$112,596.80


Manufacturers National Bank 8,889.58


National Shawmut Bank


Regular Account


21,935.32


APW-Mass-57G Account


38,000.00


181,421.70


Accounts Receivable :


Tax Levy-1960


2.00


Tax Levy-1961


953.03


Tax Levy-1962


8,351.08


Tax Levy-1963


27,309.10


Estate of Deceased Persons


622.45


36,615.21


Federal Grants:


Motor Vehicle Excise Taxes:


Disability Assistance-Adm.


88.20


Uncollected-1960


66.96


Disability Assistance


357.65


Uncollected-1961


532.88


Old Age Assistance-Adm. 157.48


Uncollected-1962


2,417.88


Old Age Assistance


8,404.23


Medical Aid to Aged-Adm.


370.27


Medical Aid to Aged


2,164.44


Aid to Dependent Children-Adm. 100.46


Departmental: Water Rates and Supplies


3,578.97


Aid to Dependent Children


1,395.79


12,636.78


Revenue Reserved :


Motor Vehicle Excise Tax


26,641.99


Tax Titles


4,957.61


Tax Titles Excess Collections


328.45


Tax Possessions


1,576.02


Water


3,828.63


Aid to Highways


1,500.22


39,455.37


Uncollected-1963


23,624.27


26,641.99


Overlay for 1962 Taxes 4,664.13


Overlay for 1963 Taxes 7,037.04


13,038.52


Other Receivables:


Other Liabilities:


School-Nat. Defense Edu. Act.


299.10


Elementary School Construction 1,814.64


Tax Possessions


1,576.02


County Tax


1,200.71


Mosquito Control


168.57


County Dog Tax Refund




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