Randolph town reports 1913-1919, Part 3

Author:
Publication date: 1913
Publisher: Town of Randolph
Number of Pages: 1488


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N. E. T. & T. Co.


3 99


Darling Pump Mfg. Co.


20 00


Sumner & Gerald


7 86


R. F. Forrest


41 25


Nat. Meter Co.


9 70


Somerville Savings Bank


60 00


Frank Mann


5 00


John S. Graham


2 00


Peter Matsoe


3 00


Nicholas Moore


4 00


N. Y., N. H. & H. R. R. Co.


25


N. E. T. & T Co.


3 22


R. F. Forrest


48 75


Frank Mann


6 00


N. E. T. & T. Co.


3 34


Nat. Meter Co.


2 54


Arthur W. Alden


7 50


Frank Mann


12 00


Michael Good


3 25


Richard Forrest


68 75


N. E. T. & T. Co.


2 00


Walter L. Hickey


23 75


Sumner & Gerald


7 35


Patrick H. McLaughlin, Treas.


68 00


69


SEVENTY-EIGHTH ANNUAL REPORT


Arlington Five Cent Savings Bank


20 00


John Shea


2 00


Frank Mann


12 00


Elmer Stevens, Treas.


300 00


Jos. McMahon


7 25


John B. McNeil


125 00


Richard F. Forrest


120 00


W. F. Barrett


150 00


F. W. Hayden & Co.


2 29


R. E. O'Brien


29 97


Michael Good


2 00


Ruggeis Jaques


4 00


R. F. Forrest


25 00


N. E. T. & T. Co.


3 10


Jos. McMahon


20


Frank Mann


7 00


$2,731 96


Service Pipe Construction


Paid Frank Mann


$10 00


Sumner & Gerald


96 24


N. Y., N. H. & H. R. R. Co.


36


Frank Mann


8 00


John S. Graham


14 00


Peter Matsoe


9 75


Frank Mann


6 00


Union Water-Meter Co.


37 44


70


TOWN OF RANDOLPH


Peter Matsoe


7 25


Frank Mann


19 00


Peter Matsoe


13 00


John S. Graham


2 00


Chapman Valve Mfg. Co.


18 00


John Shea


2 00


John Mahoney


2 00


Nicholas Moore


2 00


Michael Good


18 00


John Reynolds


14 00


Frank Mann


13 00


John Graham


12 00


Fred Godsoe


12 00


N. Y., N. H. & H .R. R. Co.


25


Sumner & Gerald


200 31


Frank Mann


1 00


Fred Godsoe


2 00


Morton Holbrook


3 00


Michael Good


3 00


John S. Graham


2 00


Chas. Perry


2 00


Roscoe Albaner


2 00


E. Stephen


2 00


Ruggeis Jaques


7 00


Joe Giugappe


2 00


John Shea


1 00


Morton Holbrook


61 00


71


SEVENTY-EIGHTH ANNUAL REPORT


Frank Mann


4 00


Union Water Meter Co.


32 76


Frank Mann


14 00


John Shea


6 00


Michael Good


16 00


David Burke


2 00


N. Y., N. H. & H. R. R. Co.


98


John Reynolds


18 00


Frank Mann


1 00


John Shea


1 00


Fred Godsoe


5 00


N. Y., N. H. & H. R. R. Co.


34


Sumner & Gerald


56 65


. John Shea


16 00


Frank Mann


18 00


Rufus Mann


1 25


William Johnson


5 00


John Carr


8 00


Michael Good


13 00


John Curran


2 00


$825 58


South and Centre Streets


Paid


Pay Roll


$124 00


Pay Roll


255 52


Pay Roll


272 60


72


TOWN OF RANDOLPH


Chadwick Boston Lead Co.


75 80


Pay Roll


86 33


Pay Roll


90 07


John E. Sprague


14 20


Randolph Coal Co.


8 00


N. Y., N. H. & H. R. R. Co.


1 07


N. Y., N. H. & H. R. R. Co.


51


Pay Roll


128 25


Pay Roll


52 63


Chadwick Boston Lead Co.


36 35


Patrick H. Mclaughlin, Treas.


8 94


F. W. Hayden & Co.


4 20


$1,158 47


Pond and Old Streets


Paid


Patrick H. Mclaughlin, Treas.


$26 82


Fred A. Handlette


147 25


Perrin Seamans Co.


2 85


Chapman Valve Co.


16 50


Herrick Company


18 58


McDonald & Rankin


2 67


Pay Roll


62 00


N. Y., N. H. & H. R. R. Co.


108 52


Pay Roll


175 25


Chapman Valve Co.


95 10


Timothy Lyons


58 23


73


SEVENTY-EIGHTH ANNUAL REPORT


Sumner & Gerald


38 57


McDonald & Rankin


3 07


Pay Roll


228 10


N. Y., N. H. & R. R. Co.


3 01


Pay Roll


162 63


Pay Roll


210 25


Standard Cast Iron Pipe Co.


864 67


John B. Mahoney


3 20


Edwin M. Mann


5 50


Chapman Valve Co.


113 10


Herrick Company


105 63


Sumner & Gerald


1 13


F. W. Hayden & Co.


1 32


$2,453 95


North Main Street


Paid N. Y., N. H. & H. R. R. Co.


79 97


James Sullivan 4 50


N. Y. N. H. & H. R. R. Co.


79 41


Patrick H. Mclaughlin, Treas.


4 47


N. Y. N. & H. H. R. R. CCo.


1 00


Pay Roll


285 50


F. A. Handlette


392 39


Chapman Valve Co.


57 90


Perrin Seamans Co.


1 50


Darling Pump Co.


60 00


74


TOWN OF RANDOLPH


.


Herrick Company


53 67


McDonald & Rankin


2 67


Pay Roll


161 45


Pay Roll


192 50


Pay Roll,


47 50


N. Y. N. H. & H. R. R. Co.


25


John E. Sprague


14 15


Timothy Lyons


23 75


Summer & Gould


32 62


Edwin M. Mann


8 25


$1,503 45


Allen Street


Chapman Valve Co.


20 70


N. Y. N. H. & H. R. R. Co.


86


F. O. Evans


2 50


N. Y. N H. & H. R. R. Co.


15 61


Cast Iron Pipe and Foundry Co.


91 82


Perrin Seamens Co.


3 52


Chadwick Boston Lead Co.


25 00


Chapman Valve Co.


26 87


Sumner & Gerald


8 60


Pay Roll 106 50


301 98


75


.


SEVENTY-EIGHTH ANNUAL REPORT


Fairview Avenue


Paid Chapman Valve Co. $20 70


N. Y. N. H. & H. R. R. Co.


86


Pay Roll


144 50


Brockton Water Dept.


37 50


F. O. Evans


5 00


Pay Roll


105 00


N. Y. N. H. & H. R. R. Co.


31 04


Cast Iron Pipe & Foundry Co ..


275 46


Perrin Seamans


3 52


Chadwick Boston Lead Co.


57 78


Chapman Valve Mfg. Co.


53 74


Sumner & Gerald


12 90


John E. Sprague


13 88


Pay Roll


86 00


$847 88


Edwin M. Mann


Perrin Seaman


$ 95


Chapman Valve Co.


10 35


Fred Handlette


254 74


Darling Pump Co.


27 00


Herrick Company


26 86


Pay Roll


11 00


Timothy Lyons


12 50


76


TOWN OF RANDOLPH


Sumner & Gerald Cartage and Gate box


4 30


20


$347 90


Receipts


Fixed rates


$5,590 90


Meter rates


4,458 91


Meter rental


551 94


Labor and stock


924 71


Town of Holbrook to bal. act. 1912


218 13


-


Town Braintree Water Dept.


60 54


$11,805 13


Less rebates


37 50


11,767 63


There is due the department as follows:


For water, by fixed rates $586 00


For water by meter rates


1,120 00


$1,706 00


The Commissioners ask for an appropriation of twenty five hundred dollars for the sinking fund.


WILLIAM F. BARRETT,


RICHARD F. FORREST,


JOHN B. McNEIL,


Water Commissioners.


77


SEVENTY-EIGHTH ANNUAL REPORT


We the undersigned, auditors of the Town of Ran- dolph, have this day examined the accounts of the Wat- er Commissioners and find them correct with proper vouchers for all orders drawn on the Treasurer. M. F. CUNNINGHAM, JOHN WREN, JOHN K. WILLARD,


Auditors.


78


TOWN OF RANDOLPH


To the Water Commissioners Randolph and Holbrook Water Works: The following is the usual table :


January


9,324,000


300,774


59,370


1,915


February


10,500,000


382,143


60,340


2,155


March


13,440,000


433,548


73,550


2,372


April


10,436,000


361,200


61,410


2,047


May


17,220,000


555,483


67,260


2,170


June


17,220,000


574,000


75,320


2,510


July


23,856,000


769,548


96,670


3,118


August


22,680,000


731,613


96,730


3,120


September


13,132,000


437,766


63,260


2,108


October


12,024,000


387,870


62,750


2,024


November


12,096,000


403,200


58,140


1,938


December


12,012,000


387,483


58,040


1,872


Totals


173,940,000


475,178


832,840


2,281


Increase over


last year


25,400,000


67,945


41,210


112


Largest day's pumping, August 25, 1,204,000 gallons. Time, 15 hours, 30 minutes.


lons pumped.


Largest week's pumping ended July 7, 7,000,000 gal- Respectfully submitted, W. H. WARD, Engineer.


79


SEVENTY-EIGHTH ANNUAL REPORT


Rules and Regulations


The following regulations, until further notice, shall be considered a part of the contract with every person who uses water:


1. All applications for use of water must be made at the office of the Water Commissioners, and state fully the purposes for which it is intended to be used. Water will not be introduced into any building or premises ex- cept on the written application of the owner thereof, or by a duly authorized agent. The property will in all cases be held responsible for water rates.


2. All persons taking water must keep their water pipes and fixtures in good repair and protected from frost at their own expense. They will be held liable for all damages resulting from their failure to do so. They shall prevent all unnecessary waste, and water shall not be left running to prevent freezing. The Water Commis- sioners or their agents may, from time to time, ascertain the quantity of water used, the manner of its use, and whether there is any unnecessary waste. They and their agents shall have free access to the premises sup- plied, to examine the apparatus, and if any fixtures are found not to be in good order, they shall direct them re- paired, and if not repaired within two days the water shall be shut off and not let on again until such repairs are made, and the sum of two dollars paid for shutting off and turning on the water.


80


TOWN OF RANDOLPH


3. The occupant of any premises, when unnecessary waste of water occurs, shall be liable to a fine of two dol- lars for the first offence, and four dollars for the second offence during the same year, and shall be notified there- of in writing; and if such waste is not prevented and the fine aforesaid paid within two days from the time when the said notice is given, water shall be shut off from the premises, and shall not be again let on for the same oc- cupant until the waste be stopped and the fine paid, together with an additional sum of two dollars for shut- ting off and letting on the water; and in case of a third or subsequent offense the water shall be shut off, and shall not again be let on except by a vote of the Water Commissioners and the payment of such fine, not exceed- ing ten dollars, as the Water Commissioners may impose.


4. Any person supplied with water shall not allow another to take water from their fixtures without the written permission of the Water Commissioners. If any tenant, having no fixtures, has any use of such fixtures, full rates will be charged for such use by each tenant.


5. All parties using water in stables, for horses or other animals, will be charged schedule rates for the same, whether it be carried by hand or through hose.


6. All persons using water for building purposes are required to obtain a permit from the Water Commis- sioners before taking water from any faucet of fixture connected with the water works, and all water takers are


81


SEVENTY-EIGHTH ANNUAL REPORT


warned not to let any party take water from their prem- ises until they show a permit from the Water Commis- sioners. Any person furnishing water in violation of this section will be subject to a fine of not less than five nor more than twenty dollars, and if the same when levied is not paid within three days from the time when the notice thereof is given, the water will be shut off from the premises and will not be let on again until such fine is paid.


7. All fixtures and water closets and urinals must be of a kind and quality approved by the Water Commis- sioners, and all pressure boilers must have safety or check valve approved by the Commissioners.


8. No person shall in any case be allowed to open any fire hydrants except by a written permit from the Water Commissioners; but the Engineers of the Fire Depart- ment shall in all cases have control of hydrants at fires and for practice.


9. The Commissioners reserve the right to restrict the use of hose or fountain, to shut off the water in all cases when it becomes necessary to make extensions or repairs, or for violation of any of the regulations or whenever they deem it expedient.


10. The regular rates for the use of water shall be payable in advance on the first days of January and July of each year, except where water is suplied to manu- facturers by special agreement. In all cases of non-


82


TOWN OF RANDOLPH


payment of the water rates within ten days after same is due, as well as for any violation of these rules and regulations, the supply will be shut off, and the water will not again be let on except upon the payment of the amount due, and the sum of two dollars for shutting off and letting on the water.


11. The Water Commissioners reserve the right to change the water rates at any time, except in case of dwelling houses and established special rates.


12. For buisness requiring large quantities of water, and all supplies not enumerated in the tariff of rates, special rates will be made.


13. Parties using water for manufacturing or domes- tic purposes can erect hydrants on their grounds or stand-pipes in their building to be used only as a protec- tion against fire without additional charge for water.


14. All service pipes will be put in by the Water Com- missioners. All applicants for the introduction of ser- vice pipes into their premises are required to make writ- ten application therefor at the office of the Water Com- missioners. The Commissioners may then proceed to lay the necessary service pipes to the interior of the building, provided all expense incurred beyond the line of the street shall be paid by the owner of the premises, who shall thereafter maintain and keep the same in good order at his own cost; and the same shall be at all times subject to the control of the Commissioners. All ap-


83


SEVENTY-EIGHTH ANNUAL REPORT


plicants for whom the pipe is laid will be charged for the use of one faucet whether the water is used or not, un- less they pay all expense that has been incurred in lay- ing such service pipe, and in no case will the main be tapped more than once for the same premises, unless the additional expense is borne by the owner.


The following water rates are established until fur- ther notice:


No connection made with the main pipe for any pur-


pose for less than $6 00


Dwelling-Houses


Occupied by one family, for the first faucet $6 00


Each additional faucet to be used by the same family2 00 Two or more families occupying one house, one faucet for all, each family 5 00


One faucet for each family


6 00


For first bathtub 5 00


If ued by more than one family in same house, each family 4 00


Each additional bathtub 2 00


For first pan or self-acting water closet 5 00


If used by more than one family in same house, each family 4 00


Each additional pan or self-acting water closet 2 00


In no case shall the charge for the use of water


by private family, exclusive of hose and stable, be more than 20 00


84


TOWN OF RANDOLPH


Where two faucets are used, one for hot and one for cold water, emptying into the same basin, only one charge will be made for both. Laundry tub


3 00


Boarding Houses and Hotels


First faucet


$10 00


Each additional faucet


3 00


First bathtub 10 00


Each additional bathtub


3 00


First pan or self-acting water closet


10 00


Each additional pan or self-acting water closet 3 00


Private Stables


First horse $5 00


Each additional horse


3 00


Each cow or ox 1 00


Livery, Express and Boarding Stables


For the first four horses $12 00


From five to twelve horses, each 2 00


The above prices include water for washing carriages.


Offices, Stores, Markets, Barber Shops and Res-


taurants. When used for ordinary purposes, same as for dwelling houses.


Building purposes.


Each cask of lime or cement


05


85


SEVENTY-EIGHTH ANNUAL REPORT


Hose


For sprinkling streets, washing windows and similiar uses, 1-4 -- inch nozzle to be used only on premises and street opposite, not exceeding two hours per day for six months in the year $5 00 For any use not herein enumerated, special rates will be made.


Meter Rates Payable at time of Reading


For not over 1,000 gallons average per day, per 1,000 gallons $0 30


For over 1,000 gallons and not exceeding 2,000


gallons average per day per 1,000 gallons 25


For over 2,000 gallons per day, per 1,000 gallons 20


Provided that in no case where a meter is used shall the annual charge be less than $8.


Meters may be supplied by the Water Commissioners, for which an annual rental will be charged as follows:


Size 5-8 inch, $2.00 per year. Size 3-4 inch, $2.00 per year.


All needed repairs, damages by heat and frost ex- cepted, will be made at the expense of the town.


WM. F. BARRETT, RICHARD F. FORREST, JOHN McNEIL, Water Commissioners.


86


REPORT


OF


TOWN TREASURER


SEVENTY-EIGHTH ANNUAL REPORT


REPORT OF THE TOWN TREASURER


Water Department


Receipts


Balance on hand Dec. 31, 1912


$2,495 42


Received water rates 11,767 63


Inerest on deposits


149 77


66 From proceeds of note


Extension main (on Maitland ave.) From proceeds of eight notes


500 00


Extension of main (on Pond St. and No.


Main St. and new boiler and pump at pumping station) 8,000 00


From proceeds of one note


Extension of main on Fairview street


1,000 00


Received from proceeds of six notes South and Centre Streets


3,000 00


$26,912 82


Disbursements


Paid orders of Water Commissioners


$17,184 12


Paid interest on bonds


3,580 00


Balance on hand Dec. 31, 1913


6,148 70


$26,912 82


88


1


TOWN OF RANDOLPH


Financial Statement by Months


Months


Receipts


Payments


Balance


Dec. 31, 1912


$2,495 12


January, 1913,


$5,907 28


$695 28


$7,707 42


February,


10 92


7,718 34


March,


448 80


321 38


7,845 76


April,


409 14


2,175 30


6,079 60


May,


329 98


685 03


5,724 55


June


330 75


406 90


5,648 40


July,


10,851 89


2,008 38


14,491 91


August,


579 78


3,307 38


11,764 31


September,


1,676 77


1,074 16


12,366 92


October,


1,142 70


2,959 21


10,550 41


November,


500 20


1,534 61


9,550 61


December,


2,229 19


5,596 49


6,148 70


Randolph, February 6, 1914.


The undersigned Auditors of the Town of Randolph have this day examined the accounts of Patrick H. Mc- Laughlin, Treasurer of the Water Commissioners and find the same correct and the balance as stated above.


M. F. CUNNINGHAM, JOHN K. WILLARD, JOHN B. WREN,


Auditors.


89


SEVENTY-EIGHTH ANNUAL REPORT


Patrick H. Mclaughlin, Treasurer, in account with Randolph Water Loan Sinking Fund.


Receipts


Balance on hand Dec. 31, 1912 $4,635 96


Received Town Appropriation 2,500 00


Received for Town of Randolph note, General Expense 800 00


Received for Town of Randolph note, Wales Ave. 500 00


Received for Town of Randolph note, No. 8 School 300 00 Received Interest:


On Deposits $29 84


On 21 Town of Randolph bonds, $1,000 each,


1 year at 4 per cent. 840 00


On 3 Fitchburg Railway bonds, $1,000 each,


1 year at 4 per cent. 120 00


On 3 Boston & Maine Railway bonds, $1,000 each,


1 year at 41/2 per cent. 135 00


On 5 Boston & Maine Railway bonds, $1,000 each, 1 year at 31/2 per cent. 175 00


On 2 Chicago, Burlington & Quincy Railway bonds, $1,000 each, 1 year at 4 per cent. 80 00


On 4 New York, New Haven & Hartford Rail- way bonds, $1,000 each, 1 year at 4 per cent. 160 00 On 8 American Telephone & Telegraph bonds, $1,000 each, 1 year at 4 per cent. 320 00 -


On 1 Old Colony Railway bond, $3,000, 1 year at 4 per cent. 120 00


90


TOWN OF RANDOLPH


On 3 City of Gloucester bonds, $1,000 each, 6 months at 4 per cent. 60 00


On 5 Town of Randolph notes, $300 each, 1 year at 4 per cent. 60 00


On 1 Town of Randolph note, $300, 1 year at 4 per cent. 12 00


On 1 Town of Randolph note, $1,100, 1 year at 4 per cent. 44 00


On 1 Town of Randolph note, $500, 1 year at 4 per cent. 20 00


On 2 Town of Randolph notes, $500 each, 1 year at 4 per cent. 40 00


On 2 Town of Randolph notes, $800 each, 1 year, at 4 per cent. 64 00


$11,015 80


Expenditures


Paid for 5 Boston & Maine Railway bonds,


$1,000 each, 31/2 per cent. $4,615 56


Paid for 3 City of Gloucester bonds, $1,000 each, 4 per cent 2,984 60


Interest on City of Gloucester bonds 57 00


Paid for 2 Town of Randolph notes, $500 each 1,000 00


Balance on deposit, Old Colony Trust Co. 2,358 64


$11,015 80


91


SEVENTY-EIGHTH ANNUAL REPORT


Financial Statement of the Water Department December 31, 1913 Liabilities


Water Bonds and Notes Outstanding:


Due January 23, 1914, Notes


$500 00


January 23, 1914, Notes


500 00


July 15, 1914, Notes


1,000 00


July 15, 1914, Notes


1,000 00


September 23, 1914, Notes


500 00


December 31, 1914, Notes


1,500 00


December 31, 1914, Notes


300 00


January 23, 1915, Notes


500 00


July 15, 1915, Notes


1,000 00


September 23, 1915, Notes


500 00


December 31, 1915, Notes


1,100 00


December 31, 1915, Notes


500 00


January 23, 1916, Notes


500 00


July 15, 1916, Notes


1,000 00


January 23, 1917, Notes


500 00


May 1, 1917, Bonds


40,000 00


July 15, 1917, Notes


1,000 00


January 23, 1918, Notes


500 00


May 1, 1918, Bonds


20,000 00


July 15, 1918, Notes


1,000 00


December 18, 1918, Notes


1,000 00


January 23, 1919, Notes


500 00


July 15, 1919, Notes


1,000 00


92


TOWN OF RANDOLPH


January 23, 1920, Notes,


500 00


January 23, 1921, Notes


500 00


July 1, 1922, Bonds


25,000 .00


November 5, 1923, Notes, 3,000 00


July 1, 1926, Bonds


10,000 00


$114,900 00


Assets


Amount in Sinking Fund


$59,758 64


Cash in hands of Treasurer


6,148 70


Accounts due and unpaid 1,706 00


$67,613 34


Net Debt, Dec. 31, 1913


$47,286 66


Net Debt, Dec. 31, 1912


43,568 06


Increase in Water Debt


$3,718 60


State of the Randolph Water Loan Sinking Fund


Three City of Gloucester Bonds, $1,000 each $3,000 00 Eight Boston & Maine R. R. Bonds, $1,000 each 8,000 00 Two Chicago, Burlington & Quincy R. R. Bonds, $1,000 each 2,000 00


Three Fitchburg Railroad Bonds, $1,000 each 3,000 00


Four New York, New Haven & Hartford R. R. Bonds, $1,000 each 4,000 00


One Old Colony Railroad Bond 3,000 00


93


SEVENTY-EIGHTH ANNUAL REPORT


Eight American Telephone & Telegraph Bonds, $1,000 each 8,000 00


One Town of Randolph Note 300 00


One Town of Randolph Note


1,100 00


One Town of Randolph Note 500 00


Four Town of Randolph Notes, $300. each


1,200 00


One Town of Randolph Note


800 00


One Town of Randolph Note


500 00


Two Town of Randolph Notes, $500 each


1,000 00


Twenty-one Town of Randolph Bonds, $1,000 each 21,000 00


Deposit Old Colony Trust Co. 2,358 64


$59 758 04


Randolph, Feb. 6, 1914.


The undersigned Auditors of the Town of Randolph have examined the Sinking Fund and find same to agree with the statement above made.


M. F. CUNNINGHAM, JOHN K. WILLARD, JOHN B. WREN,


Auditors.


94


TOWN OF RANDOLPH


Patrick H. McLaughlin, Treasurer, in account with Town of Randolph.


Dr.


Balance on hand Dec. 31, 1912


$3,500 53


Received from Town Notes in anticipation of


Taxes


$48,000 00


Received for Town Notes, repairs of Stetson Hall


8,000 00


Received Taxes of 1910


$4,008 86


Received Taxes of 1911


5,912 97


Received Taxes of 1912


10,304 68


Received Taxes of 1913


35,401 65


Received Excise Taxes 1913 1,721 31


- $57,349 47


Received From State Treasurer:


Corporation Tax, P. S., 1913,


$1,682 20


Corporation Tax, B., 1913,


2,152 20


National Bank Tax, 1913,


1,500 92


Military Aid, 1912,


222 00


State Aid, 1912,


3,846 00


Burial Indigent Soldiers, 1912,


74 00


State Railway Tax, 1912,


2,204 66


$11,681 98


Received on account of Schools:


Coddington Fund,


$116 08


School Committee 15 30


95


SEVENTY-EIGHTH ANNUAL REPORT


State Treasurer, Tuition, 151 00


State Treasurer, Superintendent, 300 00


State Treasurer, Teachers Salaries, 200 00


Courty Treasurer, Dog Licenses, 479 62


$1,262 00


Sundries :


Brockton Gas Light Co.,


$27 00


Court fees, Quincy,


52 36


Court fees, Dedham,


30 00


Hartford Boiler Ins. Co.,


15 00


Estate of J. W .- Bryan,


82 50


Estate of M. Crowley,


58 00


$264 86


Selectmen,


$708 68


License :


Pool,


$2 00


Auctioneer,


4 00


Slaughter,


1 00


$7 00


Interest:


From Taxes,


$1,618 39


Deposits,


105 61


$1,724 00


From Towns on account of Poor:


Avon,


$ 7 00


Holbrook,


149 40


Cohassett,


208 37


96


TOWN OF RANDOLPH


Duxbury,


81 50


Weymouth,


82 50


Canton,


20 00


Everett,


35 00


Boston,


33 00


Acton,


37 00


Abington,


178 50


Quincy,


145 95


$978 22


$133,476 74


Cr.


Paid Selectmen's order,


$81,435 77


Paid Notes,


48,000 00


Cash on hand Dec. 31, 1913,


4,040 97


$133,476 74


97


CONDENSED MONTHLY STATEMENT


RECEIPTS


EXPENDITURES


Months


Balance


Taxes


Selectmen Sundry Accts


Notes


Interest


Other Towns]


State Treasurer


AIl' Others


Orders


Notos


Dec. 1912 Jan. 1913


$3,500.53 1,470.93


February March


1,108.59


$35,000.00


$2.69 26.52 9.06 106.78


$7.00 541.77 35.00 70.00


$27.00


$2,066.29 3,140.10


509.57


April


2,300.00


$85.00


6.12


20.00


6,629.00


2,237.32


June


1,475.00


5,000.00 5,000.00 11,000.00


179.31 79.82


281.95 .


9.15


5,139.34


8,968.53


August


2,070.00


164.17


15.00


3,665.72


7,551.98


September


2,255.72


400.04


$500.00 151.00 11,539.34 142.64


8.00 145.79 7.30 633.42


8,327 .. 14


10.000.00


14,256.98


November December


8,844.47


318.33


337.30


42.50


17,329.63 13,278.43


5.000.00 3.000.00


4,040.97


1913


$57,349.47 54,179.38


$708.65 1,187.50 1,141.51


$56,000.00 49,600.00 48,000.00


$1,724.00 1,738.05 1,492.80


$978.22 591.03 642.09


12,332.98 11,735.10 13,066.46


$882.76 816.90 696.63


$81,435.77 72,205.45 72,715.16


$48.000.00 49.600.00 45.000.00


$4,040.97 3,500.53


1911


52,429.62


5,457.02


SEVENTY-EIGHTH ANNUAL REPORT


3,602.07


15.00


3,888.65


2,205.20


May


1,550.00


5,000.00


251.71


July


2,410.24


75.00


4,446.54


October


27,650.00


190.79


6,075.00


230.35


221.40


10,000.74


1912


$1,610.45


8,060.35


$25,000.00


20


2.00


3,641.92


6,269.20


TOWN OF RANDOLPH


Financial Statement


Liabilities


20 Notes, 4.1%, Reduction Town Debt $26,000 00


14 Notes, 41/2%, High School 21,000 00


1 Note, 4%, Wales Ave. 500 00


1 Note, 4%, General Expense 800 00


2 Notes, 4%, $500 each, Woodlawn Street 1,000 00


8 Notes, 5%, $1,000 each, Stetson Hall 8,000 00


4 Notes, 4%, $300 each, No. 8 School 1,200 00


1 Note, 5%, Anticipation of Taxes 10,000 00


1 Note, 5%, Anticipation of Taxes 5,000 00


1 Note, 5%, Anticipation of Taxes 5,000 00


1 Note, 5%, Anticipation of Taxes 5,000 00


1 Note, 5.08%, Anticipation of Taxes 5,000 00


$88,500 00


Assets


Unpaid Taxes, 1911


$4,523 42


Unpaid Taxes, 1912


10,011 98


Unpaid Taxes, 1913 : 24,802 02


State aid, 1913 3,216 00


Military aid, 1913


420 00


Burial Indigent Soldiers, 1913


37 00


Due from Towns :


Cohassett


468. 04


Avon


39 09


99%


SEVENTY-EIGHTH ANNUAL REPORT


Everett


177 75


Boston


21 00


Weymouth


128 68


Canton


49 00


Billerica


114 75


Duxbury


77 25


Acton


85 21


Abington


210 90


Holbrook


130 47


$44,512 56


Net Town Debt


43,987 44


Net Town Debt Dec. 31, 1913


$43,987 44


Net Town Debt Dec. 31, 1912


41,632 13


Increase in Town Debt $2,355 31


In addition to above the Treasurer holds the Cod- dington fund of $1,900 on deposit in the Randolph Sav- ings Bank, the income only of which is to be applied to School purposes.


Also the Soldiers and Sailors Monument fund of $200, the income only of which is to be applied to the care of the Monument and grounds.


Randolph, Mass., Feb. 6, 1913. The undersigned Auditors of the Town of Randolph respectfully report that they have examined the accounts




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