Randolph town reports 1913-1919, Part 52

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


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7. All fixtures and water closets and urinals must be of a kind and quality approved by the Water Commissioners.


8. No person shall in any case be allowed to open any fire hydrants except by a written permit from the Water Com- missioners ; but the Engineers of the Fire Department 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


64


TOWN OF RANDOLPH


it becomes necessary to make extensions or repairs, or for viola- tions of any of the regulations, or whenever they deem it ex- pedient.


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 supplied to manufacturers by special agree- ment. In all cases of non-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.


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


12. For business 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 domestic purposes can erect hydrants on their grounds or standpipes in their building to be used only as a protection 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 service pipes into their premises are required to make written application there- for at the office of the Water Commissioners. 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 applicants for whom the pipe is laid will be charged for the use of one faucet whether the water is


65


EIGHTY-FOURTH ANNUAL REPORT


used or not, unless they pay all expense that has been incurred in laying 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 further notice :


No connection made with the main for any purpose 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 family .. 2 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 used 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 a private family, exclusive of hose and stable, be more than 20 00


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


66


TOWN OF RANDOLPH


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 10 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 price includes water for washing carriages. Offices, Stores, Markets, Barber Shops and Restaurants. When used for ordinary purposes, same as for dwelling houses.


Bulding purposes. Each cask of lime or cement · 05


Hose


For sprinkling streets, washing windows and similar uses, 1/4-inch nozzle to be used only on the 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.


67


1


EIGHTY-FOURTH ANNUAL REPORT


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 annual rental will be charged as follows :


Size 5-8 inch .$2 per year Size 3-4 inch 2 per year


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


WM. F. BARRETT, JOHN B. McNEILL, RICHARD F. FORREST,


Water Commissioners.


68


ANNUAL REPORT OF THE


TOWN TREASURER 1919


TOWN OF RANDOLPH


TREASURER'S REPORT


Water Department


Receipts


Balance on hand Dec. 31, 1918


$ 5,647.34


Received from water rates


14,310.63


Received from interest on deposits 264.47


$20,222.44


Disbursements


Paid orders of Water Commissioners


$10,611.41


Paid coupons on Town of Randolph Bonds


780.00


Balance on hand Dec. 31, 1919 8,831.03


$20,222.44


Randolph, February 14, 1920.


We, the undersigned Auditors of the Town of Randolph, have this day examined the accounts of John B. McNeill, Treasurer of the Waters Commissioners, and find same correct and the balance as above stated.


M. F. CUNNINGHAM, JOHN K. WILLARD, JOSEPH M. MURPHY, Auditors.


71


EIGHTY-FOURTH ANNUAL REPORT


John. B. McNeill, Treasurer, in Account with the Randolph Water Loan Sinking Fund


Dr


Balance on hand Dec. 31, 1918 $767.56


Town of Randolph bond coupons $ 320.00


N. Y., N. H. & H. R. R. coupons 160.00


Boston & Maine R. R. bond coupons 980.00


Town of Randolph appropriation


2,500.00


Interest on deposits,


Old Colony Trust Co.


19.97


Randolph Savings Bank


1.39


$3,981.36


$4,748.92


Cr


Deposit, Randolph Savings Bank


$2,251.39


Deposit, Randolph Trust Co. . 2,230.00


Balance in Old Colony Trust Co. Dec. 31,


1918


267.53


$4,748.92


Financial Statement of the Water Department, Dec. 31, 1919


Liabilities


Due Jan. 23, 1920, note $ 500.00


Jan. 23, 1921, note 500.00


Nov. 5, 1923, note


3,000.00


July 1, 1922, bonds


25,000.00


July 1, 1926, bonds


. 10,000,00


$39,000.00


72


TOWN OF RANDOLPH


Assets


Amount in Sinking Fund, Dec. 31, 1919 $24,833.01


Cash in hand of Treasurer Dec. 31, 1919 8,831.03


$33,664.04


Net Water debt Dec. 31, 1918


$14,501.0I


Net Water debt Dec. 31, 1919 5,335.96


Decrease in Water debt in 1919


$9,165.05


State of Randolph Water Loan Sinking Fund, Dec. 31, 1919


Eight Town of Randolph bonds, $1,000 each


$8,000.00


Eight Boston & Maine. R. R. bonds, $1,000 each


8,000.00


Four N. Y., N. H. & H. R. R. bonds, $1,000 each


4,000.00


Deposits in Savings Banks,


Randolph Savings Bank $2,272.16


Peoples Savings Bank


21.00


Quincy Savings Bank


21.22


So. Weymouth Savings Bank


21.10


Randolph Trust Co., Savings Dept .. .


2,230.00


$4,565.48


On deposit, Old Colony Trust Co.


267.53


$24,833.01


Randolph, February 12th, 1920.


We, the undersigned Auditors of the Town of Randolph,


73


EIGHTY-FOURTH ANNUAL REPORT


have this day examined the Sinking Fund and find same to agree as per statement above made.


M. F. CUNNINGHAM, JOHN K. WILLARD, JOSEPH M. MURPHY, Auditors.


John B. McNeill, Treasurer, in Account with the Town of Randolph


Dr.


Balance on hand Dec. 31, 1918


$1,180.94


Received from


Town notes in anticipation of revenue 77,000.00


Town notes in anticipation of reimbursement


15,000.00


Town notes, North Main Street


10,500.00


Town notes, Norfolk County Hospital


5,500.00


Commonwealth of Massachusetts,


Income tax (general purposes) $7,762.72


Income tax (general school fund) 4,298.22


Corporation tax, business


5,003.II


Corporation tax, public service


2,073.05


State aid 4,450.00


National bank tax


2,040.08


Street railroad tax


855.08


Mothers' aid


1,202.29


State tuition of children


925.80


School superintendent


511.37


Soldiers' exemption


479.14


Burial indigent soldier


50.00


Educational Industrial School


9.00


$29,659.86


74


TOWN OF RANDOLPH


Almshouse for :


Board of inmates


$370.00


Sale of produce


502.04


Use of Team


434.50


$1,306.54


Highways, rent of steam roller


672.60


Taxes of 1914


$1,237.93


Taxes of 1915


3,157.72


Taxes of 1916


5,159.98


Taxes of 1917


8,479.52


Taxes of 1918


25,959.2I


Taxes of 1919


66,306.72


$110,301.08


Interest on deposits


$185.51


Interest on taxes


863.06


Interest refunded Comm. of Mass.


45.00


$1,093.57


Refunded on construction No. Main St. contract of 1917


$ 918.38


By State on contract of 1919


5,700.00


Refunded by Turner Free Library .


100.00


Refunded by N. Y., N. H. & H. R. R. Co. From poor of other towns


-51


143.80


From poor out of almshouse


346.36


From Board of Health


8.00


From miscellaneous other accounts,


Auctioneer's License


$ 2.00


Bowling and pool


2.00


Circus


10.00


Jitney


4.00


1


75


0


EIGHTY-FOURTH ANNUAL REPORT


Victualers


3.00


Junk dealers


100.00


Sale of voters' list 1.00


Sealer of Weights and Measures


110.43


Quincy Court


43.51


Dedham Court


11.50


$287.44


Schools, interest on Coddington Fund ...


85.45


$259,805.53


Cr.


Paid Orders of selectmen (except notes) $167,532.82


Notes, anticipation of revenue


77,000.00


Notes, reduction of town debt 1,000.00


Notes, fire truck 1,100.00


Notes, repairs, Stetson Hall 1,000.00


Notes, Stetson High School


1,500.00


Notes, construction North Main St.


500.00


Water notes


2,000.00


Balance on hand Dec. 31, 1919


$251,632.82 8,172.71


$259,805.53


Randolph, February 14th, 1920.


The undersigned Auditors of the Town of Randolph respect- fully report that they have examined the accounts of the


76


TOWN OF RANDOLPH


Treasurer and find same correctly kept with proper vouchers and entries for all payments and receipts.


M. F. CUNNINGHAM, JOSEPH M. MURPHY, JOHN K. WILLARD,


Auditors.


John B. McNeill, Treasurer, in Account with the Randolph Wel- come Home Celebration Committee


Receipts


Dibursements


From


Town appropriation .$ 500.00


Bills paid by vote of


Town entertainments. 167.20


committee . . . . .$1,952.3I


Town contributions .. 1,743.34


Town int. on deposits 4.91 Balance on hand 463.14


$2,415.45


$2,415.45


February 16th, 1920, balance on deposit in savings depart- ment of Randolph Trust Co., $463.14.


Randolph, February 16th, 1920.


We hereby certify that we have this day examined the ac- counts of the "Welcome Home Celebration Committee". We have found vouchers for the above payments and that the above balance is deposited in the Randolph Trust Co.


M. F. CUNNINGHAM, J. M. MURPHY, J. K. WILLARD, Auditors.


77


EIGHTY-FOURTH ANNUAL REPORT


BALANCE SHEET, DECEMBER 31, 1919


Cash


$8,172.71


Commonwealth of Massachusetts,


For State Pauper


$ 914.63


State Aid


3,750.00


Mothers' Aid


1,175.03


$5,839.66


Town of Holbrook,


Soldiers' Relief


$771.73


Board of Poor


376.00


Town of Saugus


116.00


City of Amesbury


395-72


City of Boston


1,879.48


$3,538.93


Taxes of 1915


$ 20.82


Taxes of 1917


4,811.75


Taxes of 1919


22,630.84


$27,463.41


County of Norfolk, dog tax, 1919


$ 463.93


Account, cement road


10,000.00


Commonwealth of Mass., cement road


4,300.00


$14,763.93


$59,778.64


Unpaid bills, December 31, 1919


$2,000.00


Am't due on completion of state highway


9,975.69


Notes, anticipation of revenue


32,000.00


Note, anticipation of reimbursement (high- way)


15,000.00


Surplus revenue


802.95


$59,778.64 $59,778.64


78


TOWN OF RANDOLPH


Net town debt


$51,700.00


Notes payable,


New fire truck


$2,200.00


Construction North Main Street


1,500 00


Repairs on Stetson Hall


2,000.00


Stetson High School


12,000.00


Refunding debt


18,000.00


Cement highway


10,500.00


Norfolk County Hospital


5,000.00


$III,478.64 $111,478.64


State of the Monument Fund


Received January 1, 1919


$229.62


Received interest


15.60


May 10, paid for cleaning monument


$10.00


Balance in the Randolph Savings Bank


235.22


$245.22


$245.22


79


EIGHTY-FOURTH ANNUAL REPORT


STATEMENT SHOWING PROVISIONS OF PAYING TOWN NOTES


Year


Stetson Hall


Auto Fire


North Main


Street


County


Hospital


Cement


Highway


High School


Refunding


Debt


Appro.


Necessary


1920


$1,000


$1,100


$500


$1,000


$2,100


$1,500


$1,000


$8,200


1921


1,000


1,100


500


1,000


2,100


1,500


1,000


8,200


1922


500


1,000


2,100


1,500


1,000


6,100


1923


1,000


2,100


1,500


1,000


5,600


1924


1,000


2,100


1,500


1,000


5,600


1925


500


1,500


1,000


3,000


1926


1,500


1,000


2,500


1927


1,500


1,000


2,500


1928


1,000


1,000


1929


1,000


1,000


1930


1,000


1,000


1931


1,000


1,000


1932


1,000


1,000


1933


1,000


1,000


1934


1,000


1,000


1935


1,000


1,000


1936


1,000


1,000


1937


1,000


1,000


$51,000


Notes, anticipation of revenue


32,000


Note, reimbursement state highway


15,000


Total amount of notes outstanding


$98,000


The Treasurer holds the Coddington Fund of $1,900 on deposit in the Randolph Savings Bank, the interest of which is withdrawn annually and applied to school purposes.


The Treasurer also holds the Soldiers' Fund, the income only of which is applied to the care of monument and grounds.


80


·


Truck


ANNUAL REPORT OF THE Trustees of the Turner Free Library 1919


THỊOHE


Miridi,1 50


TOWN OF RANDOLPH


TURNER FREE LIBRARY


Trustees, 1919


JOHN V. BEAL President


WINTHROP B. ATHERTON Vice-President


N. IRVING TOLMAN Treasurer


WILLIAM H. LEAVITT Secretary


WALTER F. STEPHENS


JAMES P. DUFFY JOHN B. MAHONEY


(Selectmen of Randolph, Ex-Officiis)


. ASA P. FRENCH


MRS. ELLEN J. T. ROUNTREE


SETH TURNER CRAWFORD


FRANK C. GRANGER


MRS. ALICE M. T. BEACH


FRANK W. BELCHER


HERBERT F. FRENCH


CHARLES C. FARNHAM


Librarian ACICE M. BELCHER


Librarian Emeritus CHARLES C. FARNHAM


Assistant Librarian


SARAH C. BELCHER


Custodian ROBERT J. RESTARICK


83


EIGHTY-FOURTH ANNUAL REPORT


PUBLIC LIBRARY


To the Citizens of Randolph:


Pursuant to the provisions of Article 3 of the by-laws of the Turner Free Library, this the forty-fourth annual report is submitted, showing the condition of the trust, consisting of the building, library and funds, together with the reports of the Librarian and Treasurer, and so much of the reports submitted to the Trustees by the various committees as seem of general interest.


The Library Committee, consisting of John V. Beal, Mrs. Alice M. T. Beach, Mrs. Ellen J. T. Rountree, Herbert F. French and Charles C. Farnham, with the assistance of the Librarian, have found the books, charts and furnishings in good condition. All books belonging to the library were accounted for by the Librarian.


The Committee on Building, consting of Winthrop B. Ather- ton, N. Irving Tolman, Walter F. Stephens, Frank W. Belcher and John B. Mahoney, reports as follows :


Randolph Mass., January 1, 1920.


To the Trustees of the Turner Free Library:


The interior of the building is in fair condition ; the outside of the building needs some attention and an appropriation of one hundred and fifty dollars is requested.


WINTHROP B. ATHERTON, N. IRVING TOLMAN, FRANK W. BELCHER.


84


TOWN OF RANDOLPH


The Committee on Finance, consisting of Asa P. French, William H. Leavitt, James P. Duffy, Seth Turner Crawford and Frank C. Granger, reports as follows :


Randolph, Mass., January 1, 1920.


To the Trustees of Turner Frec Library:


Your Committee on Finance submits the following re- port :


The Committee has audited the accounts of the Treasurer for the year 1919 and found them correct. All moneys received have been duly accounted for, and no money has been paid out except upon vouchers properly approved. The Committee has examined also the securities representing the investment of the funds of the library, and has found them to be intact and as shown in the schedule contained in the Treasurer's report. There has been no change in these securities during the past year.


ASA P. FRENCH, Chairman.


The report of the Librarian statistically showing in detail the doings, management and results of the various departments of the Library, and the reports of the Treasurer showing the investment of the funds and the receipts and expenditures of the Library are herunto subjoined.


Respectfully submitted,


JOHN V. BEAL, President of the Board of Trustees.


Randolph, Mass., January I, 1920.


85


EIGHTY-FOURTH ANNUAL REPORT


REPORT OF THE LIBRARIAN


Randolph, Mass., January 1, 1920.


To the Trustees of the Turner Free Library:


I present herewith the annual report of the Librarian which covers the year ending December 31, 1919.


Additions


There have been 283 books added to the Library the past year by purchase, 12 magazines bound and 45 books received as gifts from various sources, making 27,825 accessioned volumes.


Among our gifts were a number of books of historical value donated by Mrs. Helen W. Pratt. Mr. George Clidden presented us with several books of fiction.


Circulation


The Library has been opened 303 days and 35,343 books have been borrowed and 500 magazines, a gain over last year.


One of our most perplexing problems at the present time, is to make the public realize their responsibility for the books borrowed from the Library.


This is not a new problem by any means, but in view of the advance in price of books and rebinding, it is more serious than it has ever been.


Of course it is to be expected that there will be more or less wear on all books circulated by a Public Library, especially among the juvenile books; but books for older boys and girls and adult readers, in many cases, are not given the care they


86


TOWN OF RANDOLPH


should have and become so defaced and soiled, they have to be withdrawn from circulation long before they should have been, either to be sent away to be rebound, or a new copy purchased.


Thus the borrowers must wait weeks for a book which may be in much demand, to be returned from the bindery, or the money which might be spent for a new addition must be used for a new copy of the worn, soiled book.


That this condition is not confined to our Library is well known and we also appreciate the fact that many of our patrons are careful, conscientious users of books borrowed ; nevertheless we have many more damaged books than we should have.


School Work


Considerable work has been done with the schools, in reference work, in lending books to the teachers for use in the school room and for their own reading in connection with school work.


A few months ago a picture collection was started which will be loaned to the teachers and it is hoped it will prove useful in illustrating different subjects.


The Librarian feels very strongly that the work with the schools is one of our most important branches and it is earnestly desired, that the teachers may make greater use of the resources of the Library the coming year than ever before.


Reading Room


In these days of changes, the magazines are specially valu- able to keep one in touch with the latest and best thought on all subjects. That this fact is appreciated by many of our Town's people is evident by the number who have patronized our reading room in the past year, as well as those who have borrowed the magazines circulated. The statistical report of the custodian will be found at the end of this report.


87


EIGHTY-FOURTH ANNUAL REPORT


Inter-Library Loan


During the year through the Inter-Library Loan, we have enabled several people to obtain books on special subjects from the Boston and Brockton Public Libraries.


Art Exhibits


We continue to hould our membership in the Massachusetts Library Art Club and receive exhibits regularly, which are hung in the reading room. During the summer we had an interesting exhibit of French war posters loaned to us by Mr. Seth Turner Crawford.


The Library feels honored to have hung upon the walls of the main hall a portrait of its esteemed Trustee, the late Second Lieutenant John Douglas Crawford, with the citation of his bravery in the European war.


Moneys Collected


Seventy-five dollars and seventy-nine cents have been collected for fines and paid over to the Treasurer.


Staff


The Library staft has remained unchanged and the Librarian wishes to express her appreciation of the cheerful and loyal co- operation of its members.


Respectfully submitted,


ALICE M. BELCHER,


Librarian.


88


TOWN OF RANDOLPH


Annual Statistical Report of the Library and Reading Room by Months


LIBRARY


READING ROOM


TOTAL


DAYS


AV.


TOTAL


DAYS


AV.


January


3087


26


II9


878


26


33


February


2924


23


127


746


23


32


March


3519


26


I35


931


20


35


April


3247


25


I29


787


25


3I


May


2949


26


II3


838


26


32


June


2410


25


96


679


25


27


July


2730


26


105


741


26


28


August


2622


26


IOI


682


26


25


September


2635


. 25


105


713


25


28


October


275I


26


106


854


26


37


November


3061


23


I33


721


23


31


December


3408


26


I3I


863


26


33


35,343


303


II7


9,427


303


3I


-


89


EIGHTY-FOURTH ANNUAL REPORT


REPORT OF THE TREASURER


Randolph, January 2, 1920.


To the Trustees of the Turner Free Library:


In compliance with the requirements of the by-laws, I herewith submit my annual report as Treasurer of the Turner Free Library :


Receipts


Income Turner Fund


$517.00


Income R. W. Turner Fund


853.44


Rent Randolph Savings Bank 360.00


Rent C. Fred Lyons 250.00


Interest Boston Elevated Bonds


225.00


Randolph Savings Bank, fuel, 1919


I34.58


Fines and collections


75.79


Town of Randolph appropriation, 1917-18-19 450.00


Balance January 1, 1919


238.57


$3,104.38


Disbursements


Paid for books


$398.45


Paid for periodicals


88.50


Paid for rebinding books


149.91


Salary of Librarian 600.00


Salary of Assistant Librarian 300.00


Salary of Janitor 168.64


Salary of Custodian


I50.00


Extra help in vacation 18.00


Electric light and lamps


119.00


Supplies


51.27


90


TOWN OF RANDOLPH


Library Art Club


6.00


Fuel


547.00


Printing


18.25


Rent safe deposit box


10.00


Repairs


44.57


Express


9.79


Sundries


6.00


Balance, December 31, 1919


419.00


$3,104.38


The Turner Fund is invested in :


I Chicago, Burlington & Quincy Bond


$1,000.00


I Old Colony 1,000.00


I Western Tel. & Tel. 1,000.00


I New York Central & Hudson River 1,000.00


3 Union Pacific, each 500.00


3 Pere Marquette, each 1,000.00


3 Pere Marquette, each 100.00


3 Shares Union Pacific preferred, each 100.00


The Royal Turner Fund is invested in :


IO Old Colony R. R. Bonds, each 1,000.00


5 Am. Tel. & Tel., each 1,000.0)


5 New York Tel., each 1,000.00


Deposit in Randolph Savings Bank


625.00


The remaining funds are invested in 5 Boston Elevated Bonds, $1,000.00 each.


Respectfully submitted,


N. IRVING TOLMAN,


Treasurer.


91


EIGHTY-FOURTH ANNUAL REPORT


REPORT OF FIRE DEPARTMENT -


Randolph, Mass., January I, 1920.


To the Board of Selectmen:


Gentlemen : The following report of the Board of Engineers of Randolph Fire Department is submitted for the year 1919:


The department was organized May I, 1919, as follows : Board of Engineers, John J. Condon, F. Burt Jaquith and Frank W. Harris.


Combination Co. I


Thomas H. Good, Captain, Harold L. Bailey, Driver. S. Wm. Swain, 2nd, Clerk. Fifteen men.


Steamer Co. I


Jesse Taber, Engineer. Charles E. Young, Stoker.


Combination I


Report of the number of alarms answered by company from January 1, 1919, to December 31, 1919.


DATE


BOX NAME


ADDRESS


Jan. 10


41 Ayes


Jan. 10 21 Kehoe


Jan. 12 Still D. Elliott


Union St.


Chimney


Jan. 24 29


Dr. Chase


No. Main St.


Chimney


Jan. 31 56 Curran


Lafayette St.


Chimney


Feb. 4 I2I Campbell


Madison Ave. Pond St.


House


Mar. I 47 Millers


House


Mar. I Still Millers


Pond St.


Woods


Mar. 9 Still McAulife E.


Mar. 12 46 E. Mann


No. Main St.


Chimney


Canton St.


Chimney


So. Main St.


House


No. Main St. Store


92


TOWN OF RANDOLPH


DATĘ


BOX


NAME


ADDRESS


Apr. 25


Still


J. Taylor


Cross St.


Chimney


Apr. 28 45


Holbrook


Liberty St. Shed


May 16 54


Sullivan


Fowler St. Roof


May 18


Still


Wright


Union St.


Chimney


May 18


Still


Dr. Chase


No. Main St.


Barn


May 23 29


Dr. Chase


No. Main St.


Barn


May 30 45


B. Mann


Liberty St.


Chimney


June 2 29


Dr. Chase


No. Main St.


Chimney


June 18


54


R. J. McAuliffe Warren St.


Barn


June 29 45


False


June 29


56


False


July 4


34


M. Collins


North St.


Pig House


July 4 46


False


July. 4 54


False


July 4 61


False


July 4 21


Teese


House


July 15


21 Still


So. Main St. Pleasant St.


Dump


July 25


21


False


Aug. 18 42


False


Sep. 8 I2I


False


Oct. 7 Still


W. S. Atherton So. Main St.


Garage,


Oct. 10 Still


R. R. Bridge So. Main St.


False


Oct. 24


24


False


Oct. 30


23


E. Proctor


So. Main St.


House


Nov. 4 42


False


Nov. 4 21


False


Nov. 18 23


Dr. Granger


Union St.


Chimney


Dec. 18 42


Allen


No. Main St.


House


Dec. 19 4I


C. Truelson


Chestnut St.


Pig House


S. WM. SWAIN, 2nd,


Clerk.


93


False


July 4


EIGHTY-FOURTH ANNUAL REPORT


Expenses of the Fire Department


Paid Harold L. Bailey, care of the fire alarm $1,175.23


153.75


N. E. Tel. & Tel. Co., $6.24 (1918) 42.64


Richard F. Forrest, 1918


34.83


Randolph Coal Co., 1918


11.75


M. E. Leahy, $24.50 (1918)


İ01.00


F. W. Hayden, $14.94 (1917-18)


17.16


F. B. Jaquith 8.24


F. B. Jaquith, salaries, 1918 428.45


Herbert Poole, $15.40 (1918)


75.44


C. F. Lyons, $15.99 (1918)


25.71


B. F. Hayden, 1918


3,78


H. F. Johnson, 1918


29.73


Randolph Garage, $12.55 (1917-18)


14.55


Eagle Oil Co., 1918 1.75




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