USA > Massachusetts > Norfolk County > Plainville > Plainville, Massachusetts annual reports 1960-1965 > Part 45
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8/1/67
235,000.
15,000.
3,760.
18,760.
2/1/68
220,000.
3,520.
3,520.
8/1/68
220,000.
15,000.
3,520.
18,520.
2/1/69
205,000
3,280.
3,280.
8/1/69
205,000.
15,000.
3,280.
18,280.
2/1/70
190,000.
3,040.
3,040.
8/1/70
190,000.
15,000.
3,040.
18,040:
2/1/71
175,000.
2,800.
2,800.
8/1/71
175,000.
15,000.
2,800.
17,800.
2/1/72
160,000.
2,560.
2,560.
8/1/72
160,000.
15,000.
2,560.
17,560.
2/1/73
145,000.
2,320.
2,320.
8/1/73
145,000.
15,000.
2,320.
17,320.
2/1/74
130,000.
2,080.
2,080.
8/1/74
130,000.
15,000.
2,080.
17,080.
2/1/75
115,000.
1,840.
1,840.
8/1/75
115,000.
15,000.
1,840.
16,840.
2/1/76
100,000.
1,600.
1,600.
8/1/76
100,000.
15,000.
1,600.
16,600.
2/1/77
85,000.
1,360.
1,360.
8/1/77
85,000.
15,000.
1,360.
16,360.
2/1/78
70,000.
1,120.
1,120.
8/1/78
70,000.
15,000.
1,120.
16,120.
2/1/79
55,000.
880.
880
8/1/79
55,000.
15,000.
880.
15,880.
2/1/80
40,000.00
640.
640.
8/1/80
40,000.
15,000.
640.
15,640.
2/1/81
25,000.
400.
400.
8/1/81
25,000.
15,000.
400.
15,400.
2/1/82
10,000.
160.
160.
8/1/82
10,000.
10,000.
160.
10,160.
$265,000.
$79,200.
$344,200.
BALANCE SHEET
Assets
Liabilities and Reserves
Cash:
Agency :
General
$407,210.77
County-Dog Licenses Excess-Sale Lands of Low Value
$ 828.25 720.60
Petty Cash-School
20.00
$ 1,548.85
Accounts Receivable:
Stabilization Fund Income
1,200.00
Taxes
Federal Grants:
Levy of 1960:
Administration
125.06
Poll
2.00
Assistance
398.60
Levy of 1962:
Old Age Assistance:
Administration
13.68
Poll
4.00
Assistance
10,242.48
Personal Property
1,682.28
Medical Aid To Aged:
Real Estate
1,259.60
Administration
112.49
Assistance
3,667.98
Levy of 1963:
Poll
36.00
Personal Property
9,121.52
Assistance
630.00
Real Estate
3,023.39
Aid To Dependent Children:
Administration
382.40
15,572.69
$407,230.77
Disability Assistance:
Levy of 1964: Personal Property Real Estate 40,830.95
3,550.63
Motor Vehicle and Trailer Excise:
Levy of 1960
66.96
Levy of 1962
1,083.75
Non-Revenue :
Levy of 1963
4,547.03
School Construction
229,663.01
Levy of 1964
12,826.31
18,524.05
Water:
Special Taxes:
Construction
25,969.08
Estates of Deceased Persons
622.45
Extension
4,356.07
Tax Titles and Possessions :
Tax Titles
4,730.16
Tax Possessions
1,576.02
Loans Authorized and Unissued
$59,000.00
Aid To Highways
29,243.44
State:
Recreation Areas
175.38
Water:
Liens Added To Taxes:
Levy of 1962
58.47
Levy of 1962
33.85
1,689.00
Levy of 1964
411.94
Rates and Charges
8,388.03
8,892.29
Ambulance
3,763.96
4,234.69
Appropriation Balances:
Revenue: General
76,937.03
336,925.19
Conservation Fund
1,000.00
6,306.18
Overestimates 1964:
Mosquito Control
197.60
County Tax
37.59
410.57
Sale of Real Estate Receipts Reserved For Appropriations : Dog Fund 1,953.67
Revolving Fund:
School Lunch
59,510.37
BALANCE SHEET-continued
Assets
Liabilities and Reserves
Revenue 1965:
Appropriations 1964 to be raised in 1965 Tax Levy
79,000.00
Road Machinery Aid To Library
193.33
952.50
Loans Authorized:
6,863.46
Water Works Improvements
49,000.00
Water Extension
10,000.00
59,000.00
Overlays Reserved For Abatements:
Levy of 1962
2,945.88
Levy of 1963
5,313.44
Levy of 1964
4,318.16
12,577.48
Overdrawn Appropriations:
Revenue Reserved Until Collected:
Motor Vehicle and Trailer Excise
21,332.42
Snow Removal
2,119.61
Tax Title and Possession
6,306.18
Water
8,892.29
Aid To Highways
29,243.44
66,396.78
Reserve For Petty Cash Advances
20.00
Surplus Revenue
$112,887.79
$622,731.38
$622,731.38
Treasurer (Bond Issue Expense)
1,016.29
Estates of Deceased Persons
622.45
King Philip Regional School 22,327.93
25,501.83
Reserve Fund-Overlay Surplus
2,404.88
Unprovided For or Overdrawn Accounts:
Payment In Advance of Payroll Deductions: Massachusetts Teachers' Association 38.00
DEBT ACCOUNTS
Net Funded or Fixed Debt: Inside Debt Limit: General
$ 65,000.00
Serial Loans: Inside Debt Limit: General School
$65,000.00
Outside Debt Limit: General Public Service Enterprise
$410,000.00
141,000.00
551,000.00
Outside Debt Limit: General: School
$410,000.00
Public Service Enterprise:
Water 141,000.00
$551,000.00
$616,000.00
$616,000.00
TRUST AND INVESTMENT ACCOUNTS
Trust and Investment Funds: Cash and Securities: In Custody of Treasurer
5,128.65
Post War Rehabilitation Fund School Trust Fund Plainville War Relief Fund Stabilization Fund
$1,082.54
727.30
318.81
3,000.00
$5,128.65
$5,128.65
In Custody of Treasurer:
171
ANNUAL REPORT
1964
REPORT OF BOARD OF SELECTMEN
To the Citizens of Plainville:
The year 1964 presented many new problems to the Town. The opening of Route 95 northerly from the Rhode Island line to the Robert Toner Boulevard exit in North Attleboro in late October presented a terrific flow on Taunton Street (Route 152) to the Route 1 intersection. The Police Department cooperated by placing an extra traffic officer at the intersection of Routes 106 and 152 during heavy traffic periods. This condition lasted several weeks, until Route 95 was opened northerly to Route 1 in Sharon. No serious accidents occurred during this trying period, which is a fine tribute to our Police Department for a job well done.
The accelerated Dept. of Public Works water project was handled very efficiently during 1964. The only remaining phase of this huge project is the painting of the new one and a half million gallon water tank, which is scheduled for completion early this spring. The town was very fortunate in having this project in operation at a time when the water table was at a very dangerous level. The operation of the new well on the east side of town possibly prevented a serious water ration- ing that was fast developing.
A Housing Authority was established to look into the feasibility of low cost rental units for our senior citizens. We expect to show much progress on this program in 1965.
The new group insurance plan for Town employees was put into effect in 1964, with very gratifying results.
An Area Redevelopment Authority was established to work in con- junction with our Master Plan.
The Board of Selectmen agreed to sell twenty-two acres of land located on the northerly side of Messenger Street to the King Philip Regional School district at a price of $22,000. This is a site for a future Junior High School, as another phase of the King Philip Regional School system.
The Town voted to purchase the Garford property at the corner of South Street and Cottage Street at a cost of $25,000. as a future site for the Fire Police Departments. No appropriation was necessary for this transaction, as it was handled as a transfer from the Sale of Land Account.
172
TOWN OF PLAINVILLE
1964
A new Elementary School was voted during the spring of 1964 and work on this project was started in May of 1964. The school is scheduled to be in operation in September 1965. The opening of this new school should alleviate the over crowding conditions in the Elementary School system.
The Highway Superintendent and Selectman Miller have attended many area meetings in regard to the impact of Route 495 crossing the northern section of the town. The latest plans show that a full clover leaf will be installed in Plainville, where Route 495 crosses Route 1, at Belcher Street. From a location near George Street, the new Route 495 will cover 1.3 miles in Plainville to the Foxboro town line, just north of Mirimichi Street. A bridge will be built in Foxboro to carry the Miri- michi Street traffic. Route 495 will then continue easterly to connect with Route 495 to Foxboro.
The low bid of the Chronicle Printing Company of North Attleboro was accepted for the printing of the Town Reports. The bid of $7.65 per page was the lowest of three bidders.
Again we wish to thank the Town Departments and the citizens of Plainville for their excellent cooperation during this past year.
Respectfully submitted,
MILES E. HOOKER, Chairman
LeROY B. WILSON
RAYMOND V. MILLER
Plainville Board of Selectmen
Selectmen Current and Incidental Expenditures
Appropriation
$10,740.00
Transfer
375.00
11,035.20
Expended :
Board Salaries $1,900.00
1954
ANNUAL REPORT
173
Clerk's Salary
3,684.00
Vacation Clerk
100.00
Office Supplies
165.73
Postage
56.00
Telephone
274.53
Dues
56.00
General Law Books Inserts
70.50
Association Meetings
300.00
Election Expenses
2,286.45
Town Reports
1,300.00
Miscellaneous Printing
77.44
Legal Fees
589.55
Moderator
175.00
Total Expended
$11,435.20
Town Office Maintenance
Appropriation
$2,206.00
Salary
$ 286.00
Office Lights
142.19
Fuel
1,225.30
Water
20.00
Building Repairs
316.43
Supplies
7.73
Total Expended
$1,977.65
Balance
$ 228.35
174
TOWN OF PLAINVILLE
1964
WELFARE CATEGORIES
Appropriation
$20,000.00
Expenditures:
Old Age Asistance
$ 2,247.00
Medical Aid To the Aged
10,335.34
Aid to Families with Dependent Children
4,623.57
Disability Assistance
1,621.00
$18,826.91
General Relief:
City of Fall River, Cash Aid
72.95
Food Orders
127.50
Doctor's Fees
18.00
N. E. Telephone & Telegraph Co.
162.08
Postage
25.00
Miscellaneous Supplies
4.60
Drugs
3.35
Norwood Hospital
491.68
905.16
19,732.07
Balance
Federal Grant-Old Age Assistance $ 267.93
Balance forward, January 1, 1964
$8,404.23
Received Federal Government
5,239.00
$13,643.23
Cash Aid
3,400.75
Balance
$10,242.48
175
Federal Grant-Aid Families With Dependent Children
Balance forward January 1, 1964
$1,395.79
Received Federal Government
5,167.50
Cash Aid
$6,563.29 6,228.02
Balance
$ 335.27
Federal Grant-Medical Aid To The Aged
Balance forward January 1, 1964
$2,164.44
Received Federal Government
6,870.14
Cash Aid
$9,034.58 5,370.03
Balance
$3,664.55
Federal Grant-Disability Assistance
Balance forward January 1, 1964
$357.65
Received Federal Government
907.50
Cash Aid
810.95
Balance
$ 454.20
Welfare Worker
Appropriation
Expended
Federal Grant Old Age Assistance Administration
Balance forward January 1, 1964
$ 157.48
Received Federal Government 258.24
$ 415.72
Ruth Fulton, partial salary
$342.84
Ruth Fulton, travel and
expense refund 20.15
North Attleboro Chronicle Co., envelopes 11.25
Baldwin Office Supply
2.80
Postage
25.00
402.04
ANNUAL REPORT
1954
$1,265.15
$1,350.00 1,350.00
Balance $ 13.68
176
TOWN OF PLAINVILLE
1964
Federal Grant Medical Aid to the Aged Administration
Balance forward January 1, 1964 $ 370.27
Received Federal Government
460.84
$ 831.11
Ruth Fulton, partial salary $ 571.40
Mass. Conf. Social Welfare, dues 5.00
Mass. Public Welfare Agency, Membership 10.00
Boston Social Service Exchange
10.00
Public Welfare Administrator's
Ass'n of Mass., Dues 10.00 606.40
Balance $224.71
Federal Grant Aid Families With Dependent Children Administration
Balance forward January 1, 1964 $ 100.46
Received Federal Government
1,029.85
$1,130.31
Ruth Fulton, partial salary
$627.10
Ruth Fulton, refund, travel and expenses 185.00
Commercial Press, forms
13.33
Baldwin Office Supply, folders
3.20
Agency Membership, American
Public Welfare Association
35.00
863.63
Balance
$ 266.68
Federal Grant Disability Assistance Administration
Balance forward, January 1, 1964
$ 88.20
Received Federal Government 69.35
$157.55
Commercial Press Co., Rx forms
8.33
Balance $149.22
177
ANNUAL REPORT
1964
REPORT OF BOARD OF HEALTH
To the Citizens of Plainville:
The Board of Health was very busy with new problems in 1964. The acceptance by the Town of minimum requirements of the State Board of Health in regard to both sewage installations and additions to present sewage installations should alleviate many sewage problems that have plagued the Board of Health for many years. The following is the proce- dure followed by the Board of Health. An application is filled out by the applicant and forwarded to the Board of Health, the Sanitary Inspector, Putnam Steele, is notified and an inspection is made by him. His require- ments are typed on the back of the application and made a part of it. The building inspector then issues a building permit and the completion of the sanitary requirements are checked as the building progresses. The building inspector then issues a building permit and the completion by the sanitary inspector. His attention to these problems has been beneficial to the Board of Health and the townspeople.
Mr. Homer Shepard of North Attleboro was appointed as Plumbing Inspector by the Board of Health and an Article is in the Town Meeting Warrant to adopt the State Plumbing Code. The adoption of a plumbing code is a requirement by the Commonwealth.
The Board of Health has on file the following record of dangerous diseases:
Chicken Pox
10
German Measles
15
Mumps 18
Scarlet Fever
6
Dog Bites
25
The Board of Health wishes to especially thank the Highway Depart- ment for the excellent care of the Town Dump, and to all town depart- ments and the townspeople for their cooperation.
Respectfully submitted,
MILES E. HOOKER, Chairman
LeROY B. WILSON
RAYMOND V. MILLER
Plainville Board of Health
12
178
TOWN OF PLAINVILLE
1964
Board of Health Expenditures-1964
Appropriation
$6,121.00
Transfer
218.00
$6,339.00
Expended:
Putnam Steele, Sanitary Inspector
500.00
Special Milk Assay 200.00
Earl B. Thompson, Milk and Animal Inspector 300.00
Care of Town Dump
504.40
Rental of Town Dump
200.00
Care of Veterans' Graves
138.00
Miscellaneous: Printing, postage, dues, supplies
102.00
Garbage Contract
3,600.00
Premature Baby Hospital Care
365.50
Special Sanitary Inspections
430.00
Total Expended
$6,339.00
WARRANT
for
Town Meeting
PLAINVILLE
MASI
** NMOI
WREN
THAM
1673
190S
PLAIN
VILLE
ORPORA
1965
180
TOWN OF PLAINVILLE
1964
WARRANT
FOR ANNUAL TOWN MEETING Monday, March 1, 1965
THE COMMONWEALTH OF MASSACHUSETTS
Norfolk, ss.
To Either of the Constables of Plainville:
Greetings:
In the name of the Commonwealth of Massachusetts you are hereby required to notify and warn the inhabitants of the Town of Plainville qualified to vote in Town affairs, to meet in the Elementary School Audi- torium in said Plainville on
MONDAY, THE FIRST DAY OF MARCH 1965 A. D.
at eight o'clock in the forenoon, then and there to act on the following articles, viz:
ARTICLE 1. The following Town Officers to be chosen by ballot viz: One Town Clerk, one Auditor, one Moderator, one Tree Warden, and Three Constables for One Year. One Selectman, Board of Welfare, one Assessor, one Water Commissioner, one Treasurer, one Tax Collector, one Trustee of the Public Library, one Park Commissioner, two members of the School Committee and three members of the Finance Committee, for Three Years; one member of the Finance Committee for two years; one member of the Planning Board for five years, and four members of the Housing Authority.
For this purpose the polls will be open at eight o'clock in the forenoon and shall be closed at eight p. m. in the evening.
For the consideration of all other Articles in this Warrant the meet- ing shall stand adjourned to the Third Monday in March at 7:30 p. m. in
.
181
ANNUAL REPORT
1964
the Auditorium of the Plainville Elementary School on South Street in said Town.
ARTICLE 2. To choose all other necessary Town Officers not named in Article 1, for a term of One Year.
ARTICLE 3. To consider and act on the Reports of the Selectmen, Treasurer, and other Town Officers.
ARTICLE 4. To see if the Town will vote to accept the provisions of Chapter 81 of the General Laws.
ARTICLE 5. To see if the Town will vote to fix the salary and com- pensation of all elective officers of the Town as provided by Section 108 of Chapter 41, General Laws, as amended, as follows:
Moderator
Town Clerk
Town Treasurer
Selectmen, Chairman
Second Member
$25.00 each Meeting 650.00 per year 1,500.00 per year 700.00 per year 600.00 per year 600.00 per year
Third Member
Assessors, Chairman
900.00 per year
Second Member
900.00 per year
Third Member
900.00 per year
Tax Collector
School Committee, Chairman
1,500.00 per year 75.00 per year 60.00 per year 200.00 per year
School Committee, each member
Water Commissioners, Chairman
Second Member
200.00 per year
Third Member, Secretary
350.00 per year
Auditor
250.00 per year
Constables
2.00 per hour
Tree Warden 2.00 per hour
or to do or act in any manner relative thereto.
182
TOWN OF PLAINVILLE
1964
ARTICLE 6. To appropriate and raise by borrowing or otherwise such sums of money as may be required to defray Town charges for the financial year ending December 31, 1965 and expressly for the following purposes to wit: the total sum of
1. For the Support of the Public Library.
2. For the Selectmen's Current expenses and salaries.
3. For the Board of Health current expenses and salaries.
4. For the Wire Inspector, salary and expenses.
5. For the Building Inspector, salary and expenses.
6. For the Gas Inspector, salary and expenses.
7. For the payment of Insurance.
8. For Memorial Day.
9. For the support of the Town Ambulance.
10. For Heating and Maintenance of Fire Station and Town Office Building.
11. For Welfare Agent.
12. For Street Lights.
13. For Vocational Education.
14. For Dog Officer.
15. For Treasurer's current expenses and salary.
16. For Salary of Town Auditor.
17. For Interest on Temporary Loans and Maturing Debt.
18. For Tax Title.
19. For Maturing Debt.
20. For Town Clerk's current expenses and salary.
21. For the Assessors current expenses and salaries.
22. For the Tax Collector's current expenses and salary.
23. For the Sealer of Weights and Measures current expenses and salary.
183
ANNUAL REPORT
1964
24. For the Board of Registrars current expenses and salaries.
25. For the Fire Department current expenses and salaries.
26. For the Water Department for current expenses anad salaries.
27. For support of the School and Salaries of the School Committee.
28. For Veterans' Benefits.
29. For Highways Exclusive of Chapters 81 and 90.
30. For the Removal of Snow.
31. For the Tree Warden.
32. For the Town Forest Committee.
33. For the Moth Department.
34. For the Police Department.
35. For the Park Commissioners.
36. For the Regional School District Committee.
37. For the Industrial Development Commission.
38. For the Planning Board.
39. For the Conservation Commission.
40. For Civil Defense.
41. For the Town's share of Norfolk County Retirement System.
42. For the Finance Committee.
43. For the Plumbing Inspector.
ARTICLE 7. To see if the Town will vote to have the surety of the Collector of Taxes, Deputy Collector of Taxes, Treasurer, Town Clerk, Secretary of the Water Department and Clerk of the Selectmen's bonds placed with a fidelity or guarantee company, and appropriate a sum of money to pay for same.
ARTICLE 8. To see if the Town will vote to authorize the Town Treasurer, with the approval of the Selectmen, to borrow money from time to time in anticipation of the revenue of the financial year beginning January 1, 1966 and to issue a note or notes therefor, payable within one year and to renew any note or notes as may be given for a period of less than one year in accordance with Section 17, Chapter 44, General Laws.
184
TOWN OF PLAINVILLE
1964
ARTICLE 9. To see if the Town will vote to raise and appropriate a sum of money for a Reserve Fund to provide for the extra-ordinary unforseen expenses, as authorized by Section 6, Chapter 40 General Laws, or do or act in any manner relative thereto.
ARTICLE 10. To see if the Town will vote to accept the provisions of Chapter 90 of the General Laws, and raise and appropriate or transfer from unappropriated available funds in the treasury, a sum of money for Chapter 90 Highway Maintenance, or do or act in any manner relative thereto.
ARTICLE 11. To see if the Town will vote to raise and appropriate or transfer from unappropriated available funds in the treasury, a sum of money for Chapter 81 Highways, or do or act in any manner relative thereto.
ARTICLE 12. To see if the Town will vote to raise and appropriate from available funds in the treasury, a sum of money for Chapter 90 Highway Construction, to continue the laying out and construction of George Street from Route 1 to School Street, and to start the laying out and construction on Messenger Street, or do or act in any manner rela- tive thereto.
ARTICLE 13. To see if the town will vote to raise and appropriate, or transfer, a sum of money to pay the following overdrafts. Snow ac- count $2,119.61. Treasurer's account; Expense of Bond Issue $1,016.29; King Philip Regional School District Committee $22,327.93, or do or act in any manner relative thereto.
ARTICLE 14. To see if the Town will vote to install one new street light on Pole No. 77, located on Washington Street, near Wonderland Motel site, and raise and appropriate a sum of money to pay for same, or do or act in any manner relative thereto.
ARTICLE 15. To see if the Town will vote to raise and appropriate or transfer from available funds in the treasury, a sum of money for the Stabilization Fund, under authority of Chapter 40, Section 5B of the Gen- eral Laws, or do or act in any manner relative thereto.
ARTICLE 16. To see if the Town will vote to raise and appropriate or transfer the sum of $2,500. or any other sum for the Fire Alarm Re- placement Fund, or do or act in any manner relative thereto.
185
ANNUAL REPORT
1964
ARTICLE 17. To see if the town will vote to authorize the Board of Fire Engineers to purchase a mechanical-ladder fire truck and to raise and appropriate for this purpose the sum of $35,000.00, and to determine the manner of raising and appropriating the said sum, whether by trans- fer of available funds, or by taxation, or by borrowing; and if by borrow- ing, to authorize the Town Treasurer to give notes or bonds on behalf of the Town; or do or act in any manner relative thereto.
ARTICLE 18. To see if the Town will vote to raise and appropriate, or transfer, the sum of $7,500. or any other sum to the Fire Department Apparatus Fund, or do or act in any manner relative thereto.
ARTICLE 19. To see if the Town will vote to raise and appropriate the sum of $1,300.00, or any other sum, for the control of insects and Dutch Elm Disease ($1,000 for Dutch Elm Disease and $300.00 for insect pest control) as provided under Chapter 132 of the General Laws as amended by Chapter 657, Acts of 1956, and to be expended under the direction of the Moth Superintendent, or do or act in any manner relative thereto.
ARTICLE 20. To see if the Town will vote to raise and appropriate the sum of $17,500 for carrying on the different categories of Welfare, or do or act in any manner relative thereto.
ARTICLE 21. To see if the Town will vote to amend its By-Laws by adding thereto as a Plumbing By-Law, the rules and regulations formu- lated by the State Examiners of Plumbers under Sections 8 and 9 of Chapter 142 of the General Laws, or do or act in any manner relative thereto. (2/3 vote)
ARTICLE 22. To see if the Town will vote to raise and appropriate the sum of $1,000. for the Conservation Fund, to be used by the Conserva- tion Commission for Conservation purposes, including the purchase of land, or do or act in any manner relative thereto.
ARTICLE 23. To choose any committee and hear the report of any committee and act thereon.
And you are directed to serve this Warrant, by posting copies thereof in seven (7) Public Places in said Town, seven (7) days at least before the time of holding said meeting.
186
TOWN OF PLAINVILLE
1964
Hereof, fail not, and make due return of this Warrant, with your doings thereon, to the Town Clerk at or before the time and place of said meeting as aforesaid. Given unto our hands this seventeenth day of Feb- ruary in the year of our Lord one thousand nine hundred and sixty-five.
MILES E. HOOKER
LeROY B. WILSON RAYMOND V. MILLER
Selectmen of Plainville
VALUATION
of REAL ESTATE
and PERSONAL PROPERTY
PLAIN!
JILLE
MASS.
COLONY
NMOL
16
28
. MASS.
WREN·
THAM
1673-1
1905
..
PLAIN
VILLE
19
OS.
9 1905.
ORPORATED
APRIL
1965
188
TOWN OF PLAINVILLE
1964
VALUATION OF REAL ESTATE AND PERSONAL
PROPERTY
Total
Abizaid, Anisa A. A., Comm. Theater Bldg., N. Attle. Plan 11C, Par 1, 1/2 acre, $300. $ 300
Abizaid, Saida, South St., Plan 12, Par. 141, 28,000 sq. ft., $600.
House, Faas, $2,300. House, (d), $2,500. Shed, $50. 5,450
Abizaid, William, 449 Coast Blvd., LaJulla, California, Plan 11A, Par. 48, 14,365 sq. ft., $500. 500
Achorn, Chas. F. & Alma L., 1 Huntington Ave., Plat 8, Par. 25, 9,346 sq. ft., $250. House, $2,850. 3,100
Adams, Samuel R. & Mary C., RFD Franklin, Mass., Plan 9 Par. 10, 53/4 acres, $500. House, $2,200, Garage, $200. 2,900
Adams, Theon G. & Lois H., 71 Grove St., Plan 11A Par. 153, 25,000 sq. ft., $500. House, $3,450, Garage, $250. 4,200
Alix, Ernest E. & Marie A., School St., Plan 7 Par. 41, 35,650 sq. ft., $400. House & Garage, $2,950. Shed, $50 3,400
Allen, Frank G. Jr., 65 Commonwealth Ave., Boston 16, Mass., Plan 3 Par. 31, 32,800 sq. ft., $100. 100
Allen, Frederick E. & Margaret M., 19 Aberdeen Ave., Warwick, R.I., Plan 3 Par. 38, 2.65 acres, $500. 500
Allen, Warren B. & Jean R., Mirimichi St., Plan 3 Par. 53, 6.30 acres, $500. House, $3,600. Garage, $200. Barn, $700. Henhouse, $500. Tool house, $100. Cottage, $200. 5,800
Allen, Willis N. & Ethel N., 23 E. Bacon, Plan 11 Par. 120, 14,972 sq. ft., $300. House, $3,300. 3,600
Alltown Realty, Inc., Canton, Mass., Plan 3 Par 29, 72.94 acres, $3,000. 3,000
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