USA > Massachusetts > Norfolk County > Randolph > Randolph town reports 1920-1925 > Part 3
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R. F. Forrest, superintendent . .
515.13
Randolph Trust Co., box rent .. 5.00
N. Y., N. H. & H. R. R., freight 10.24
Pay rolls, labor
987.75
N. Eng. Tel. & Tel. Co.,
57.52
Nat. Meter Co.,
498.33
Gamon Meter Co.,
.68
Chapman Valve Co.,
252.77
72
TOWN OF RANDOLPH, MASS.
Porters Pharmacy 4.45
Adams Cushing & Foster 4.90
Banker & Tradesman
12.00
Boston Safe Deposit Co., 10.00
Waldo Bros. & Bond
3.85
Morton Holbrook, labor
13.50
John Shea, labor
41.69
Moses F. Mann, labor
10.50
Pneumatic Rubber Stamp Co., 6.25
John Carr, labor 29.00
John B. McNeill, salary
125.00
John B. McNeill, cash paid
2.25
Addressograph Co.,
3.00
R. E. O'Brien
233.76
American Railway Express, ex-
press . 2.69
Thorp & Martin
21.60
Braintree Water Meter Co.,
5.38
Union Water Meter Co.,
14.12
Hersey Manfg. Co.,
1.80
Sumner & Dunbar
5.79
I. Willie Hayden
14.00
Thompson Meter Co.,
3.75
$ 3,158.22
Randolph Service Pipe Construction
Paid N. Y., N. H. & H. R. R. freight $ 7.64
R. F. Forrest, labor 135.00
Pay rolls, labor 312.30
Sumner & Dunbar 362.25
Waldo Bros., cement 9.20
Union Water Meter Co., 69.24
73
EIGHTY-FIFTH ANNUAL REPORT
John Shea, labor 10.25
American Railway Express Co.,
express .92
Moses F. Mann, labor
5.75
John Carr, labor 6.50
$ 919.05
Interest Account
Paid State Treasurer $ 750.00
City of Worcester 40.00
$ 790.00
Paid Treasurer of Sinking Fund
$10,000.00
Receipts
From Fixed rates
$4.704.63
Meter rates
6,112.44
Meter rentals
894.00
Labor and fixtures
578 47
Town of Holbrook to. balance acct. of 1919
9:2.57
Town of Braintree, for water to Braintree Highlands
530 34
Eastern Mass. St. Ry.,
81.00
Damage to hydrant
21.00
Town of Avon, repairs
198.75
Insurance for stolen vice
21.00
Sale of harness
12.00
Refund freight
.18
$14,075.38
74
1
TOWN OF RANDOLPH, MASS.
RANDOLPH GAL SIXTEEN Less rebates 28.82
We have Treasurer's receipts for $14,046.56 WILLIAM F. BARRETT, RICHARD F. FORREST, JOHN B. McNEILL, Water Commissioners.
Randolph, January 13, 1921.
We, the undersigned, Auditors of the Town of Ran- dolph, have this day examined the accounts of the Water Commissioners and find proper vouchers for all orders drawn on the Treasurer and the entries and footings correct. M. F. CUNNINGHAM, JOHN K. WILLARD, W. F. CUNNINGHAM,
Auditors ..
75
4 -
EIGHTY-FIFTH ANNUAL REPORT
To the Water Commissioners of Randolph and Holbrook Water Department
The following is the usual report for 1920 :-
Daily
Coal
Daily
Gallons
Average
lbs.
Average
January
16,408,000
529,290
72,150
2,327
February
15,608,000
540,689
67,500 2,327
March
16,296,000
525,677
69,650
2,246
April
13,860,000
462,000
63,440
2,114
May
14,212,000
458,451
65,320
2,207
June
17,629,822
: 587,661
68,430
2,281
July
20,148,110
649,939
74,383
2,399
August
21,100,562
680,663
69,896
2,255
September
17,752,866
591,762
62,068
2,069
October
13,581,143
438,101
59,825
1,930
November
12,755,985
425,199
57,350
1,579
December
14,937,398
481,851
61,940
1,998
Totals
194,289,886
530,940
791,952
2,144
Increase over 1919
28,557,886
76,880
51,162
115
Largest day's pumping, August 7th, 1,149,850 gallons. Time, 11 hours, 30 minutes.
Largest week's pumping ending August 7th, 5,495,682 gallons.
Respectfully submitted, HOWARD E. PILLSBURY,
Engineer.
76
TOWN OF RANDOLPH, MASS.
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 a 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 except on the written application of the owner thereof, or by a duly author- ized agent. The property will in all case- le held responsible for the water rates.
· 2. All persons taking water must keep their water pipe- and fixtures in good repair and protected from the 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 Commissioners or their agent may, from time to time, ascertain the quantity of water used, the manner of its use, and whether there is any un- necessary waste. They and their agents shall have free access to the premises supplied, to examine the apparatus, and if any fixtures are found not to be in good order, they shall direct them repaired, 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.
3. The occupant of any premises, when unnecessary waste of water occurs, shall be liable to a fine of two dollars for the first offence, and four dollars for the second offence during the same year, and shall be notified thereof in writing; and if such waste is not prevented and the fine aforesaid paid within two days from the time when the said
77
EIGHTY-FIFTH ANNUAL REPORT
notice is given, the water shall be shut off the premises, and shall not be again let on for the same occupant until the waste be stopped and the fine paid, together with an addi- tional sum of two dollars for shutting off and letting on the water, and in case of a third or subsequent offence 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 exceeding 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 persons using water for building purposes are required to obtain a permit from the Water Commissioners before taking water from any faucet or fixture connected with the water works, and all water takers are warned not to let any party take water from their premises until they show a permit from the Water Commissioners. Any person furnishing water in violation of this section will be subject to a fine not less than five or 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 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 Department shall in all cases have control of hydrants at fires and for practice.
9. The Commissioners reserve the right to restrict the
78
TOWN OF RANDOLPH, MASS.
use of hose or fountain, to shut off the water in all cases when it becomes necessary to make extensions or repairs, or for violations of any of the regulations, or whenever they deem it expedient.
10. The regulate 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 agreement. 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.
11. The Water Commissioner, 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 quantites 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 Commissioners. All applicants for the introduction of service pipes into their premises are required to make written application therefor 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 Com-
79
EIGHTY-FIFTH ANNUAL REPORT
missioners. All. applicants for whom the pipe is laid will be charged for the use of one faucet whether the water is used or not, unless they pay all expense that has been in- curred 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
80
TOWN OF RANDOLPH, MASS.
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.
Building 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 prem- ises and street opposite, not exceeding two hours per day for six months in the year . For any use not herein enumerated, special rates will be made.
5.00
Meter Rates Payable at Time of Reading For not over 1,000 gallons average per day, per 1,000 gallons $0.30
81
EIGHTY-FIFTH ANNUAL REPORT
For over 1,000 gallons and not exceeding 2,000 gal-
lons 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 $8.00.
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.
82
ANNUAL REPORT
OF THE
TOWN TREASURER
1920
TOWN OF RANDOLPH, MASS.
TREASURER'S REPORT
Water Department
Receipts
Balance on hand Dec. 31, 1919
$ 8,831.03
Received from water rates 14,046.56
Received from interest on deposits 217.85
$23,095.44
Disbursements
Paid orders of Water Commissioners
$20,734.40
Paid coupons on Town of Randolph bonds 760.00
Balance on hand Dec. 31, 1920
1,601.04
$23,095.44
Randolph, January 13, 1921.
We, the undersigned Auditors of the Town of Randolph, have this day examined the accounts of John B. McNeill, Treasurer of the Water Commissioners and find same correct and the balance as above stated.
M. F. CUNNINGHAM, JOHN K. WILLARD, W. F. CUNNINGHAM,
Auitors.
85
EIGHTY-FIFTH ANNUAL REPORT
TREASURER'S REPORT
To the Citizens of Randolph :-
In submitting my report as your Treasurer it is not my intention to go into all details, for should I tell of my experience and the many good things I have helped to bring about for our Town, it would require a much larger book and entail too great an expense. Should you care to prove to your satisfaction, compare the report of 1920 with the report of 1918, and there you will notice the great strides your town has taken in two short years.
In the 1918 report you will find reported unpaid bills as $22,171.30, when the town actually paid $46,000 on bills in 1919, which were due December 31, 1918. This was a mere. difference of $24,000.
There was reported as an asset on the same page, ac- counts of undetermined standing $4,216.17. Less than two per cent of this was collected.
There is also reported on the same page Surplus Revenue of over $7,000, when there was an actual deficit of over $20,000.
Note the difference in the balance sheet of 1920. With all doubtful assets left out and all unpaid bills reported, the town has a clear surplus of almost $15,000. .
A word as to the financial condition of the town. December 31, 1918 there was coming as assets $61,869.14. Everything was borrowed that possibly could be.
When I took office March 3, 1919, there was an overdue
86
TOWN OF RANDOLPH, MASS.
note from December 20, 1918. For three months this note was overdue, and so tight was the town sewed up that there was no way possible in which to pay it, and it was by the good graces of the bank that held it that some of the town property was not put up at public auction to satisfy the obligation. Look at the balance sheet for 1920, we have coming as assets $63,174.07, which are bona fida assets. In the year 1918 money was borrowed to the limit, and at the close of that year the town had a borrowing credit of less than three hundred dollars.
Now see the difference in 1920. At the close of the year the town had a Lorrowing credit in anticipation of rev- enue of $38,304.14 and in anticipation of reimbursement of $13,000, making a total of $51,304.14. To a person unused to affairs of this nature. it means just this; that had there been owed for taxes at the close of the year 1920 $85,- 000 instead of the $33,000 that was owed the collector, I could have borrowed enough money to pay every bill the town owed.
The first year in this office I accomplished some won- derful things for the town. I saved the town enough on discounting bills to pay my salary many times. This year after the annual town meeting I saw the great necessity of bookkeeping for the selectmen, I took charge of this branch of the work and all summer I worked day and night seven days a week. I have been able to show each department at all times just where the accounts stood with the appropria- tion. In this way I know that many thousand dollars have been saved the town.
The result of this work has been shown in many ways. For instance, in collecting, there has been collected many thousands of dollars that had been given up as lost. In fact I have just received a check from the State Treasurer payable to the Town of Randolph for $2,077.56 which, with
87
EIGHTY-FIFTH ANNUAL REPORT
. $1,072.60 received before the accounts were closed makes a total of $3,150.16 collected from the department of public welfare on bills that were dug up out of the debris. Some of those bills went back to 1915. If you knew the conditions .under which I had to labor in order to get the amounts of the various bills and if you knew the immense amount of work put into them you would wonder how any person would undertake anything like it. However I have kept the selectmen's accounts in a manner that has met the approval of every person who has seen them, and have also kept an index card file showing each person's account with the town. All this work has taken a great amount of time, at no expense to the town, is it worth continuing?
In closing I wish to thank all who have assisted me in salvaging the town from the tangled mess in which it was in when I was elected two years ago, should I mention any names I might forget some who have given me great assist- ance, I must say that I thank all the town officers who have heeded my advice and tried to keep their departments within their appropriations.
I wish to thank all the citizens of the town who have assisted me in any way.
Respectfully submitted,
JOHN B. MCNEILL,
Treasurer.
88
TOWN OF RANDOLPH, MASS.
John B. McNeill, Treasurer, in Account with the Randolph Water Loan Sinking Fund
Balance on hand Dec. 31, 1919 $ 267.53 Town of Randolph bond coupons ... $ 320.00 N. Y., N. H. & H. R. R. bond
coupons 160.00
Boston & Maine R. R. bond coupons 260.00
Received from appropriation and
Water Works 10,000.00
Discount on Town of Randolph notes 862.50
Received from banks 4,712.50
Interest on deposits 95.12
$16,410.12
$16,677.65
Cr
Paid for Town of Randolph Note
No. 8 $10,000.00
for Town of Randolph Note
No. 3
5,000.00
Deposit in Randolph Trust Co.,
1,099.19
Deposit in Randolph Savings Bank 310.93
Balance in Old Colony Trust Co., 267.53
$16,677.65
Financial Statement of the Water Department, Dec. 31, 1920
Liabilities
Due Jan. 23, 1921, note
$ 500.00
89
EIGHTY-FIFTH ANNUAL REPORT
Nov. 5, 1923, note 3,000.00
July 1, 22, bonds 25,000.00
July 1, 1926, bonds, 10,000.00
$38,500.00
Assets
Amount in Sinking Fund, Dec. 31,
1920 $36,530.63
Cash in hand of Treasurer, Dec. 31, 1920 1,601.04
$38,131.67
Net Water debt, Dec. 31, 1919 $5,335.96
Net Water debt, Dec. 31, 1919 368.33
Decrease in Water debt in 1920 $ 4.967.96
State of Randolph Water Loan Sinking Fund, Dec. 31, 1920
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
Two Town of Randolph notes, No. 3,
$5,000; No. 8, $10,000 15,000.00
Deposits in Savings Banks,
Randolph Savings Bank 448.15
Randolph Trust Co., 751.63
Peoples Savings Bank 21.00
Quincy Savings Bank
21.22
90
TOWN OF RANDOLPH, MASS.
So. Weymouth Savings Bank .. 21.10
Old Colony Trust Co., 267.53
$36,530.63
Randolph, Mass., January 13, 1921.
We, the undersigned Auditors of the Town of Randolph, have this day examined the Sinking Fund and found same to agree as per statement above made.
M. F. CUNNINGHAM, JOHN K. WILLARD, W. F. CUNNINGHAM,
Auitors.
John B. McNeill, Treasurer, in Account with the Town of Randolph
Dr.
Balance on hand, Dec. 31, 1919 $ 8,172.71
Received from
Town notes in anticipation of revenue 72,000.00
Town notes in anticipation of reimburse- ment 7,000.00
Town notes, cement highway
10,000.00
Town notes, drainage, cor. North and Plain Streets
2,000.00
Commonwealth of Massachuetts
Income tax (general purposes) $10,750.50
Income tax (general school fund) 7,130.10
Corp. tax, public service 1,156.33
Corp. tax, domestic 7,266.08
Corp. tax, foreign 5.16
National bank tax 2,346.49
91
EIGHTY-FIFTH ANNUAL REPORT
State tuition of children
477.75
School superintendent 527.78
State aid
3,778.00
Soldiers' exemption
360.23
Street railway tax
47.42
Mothers with dependent children
1,072.60
Burial indigent soldier
50.00
$34,968.44
Almshouse for :
Use of team
$ 412.70
Board of inmates
133.00
Sale of produce
633.22
Other sources
96.63
$ 1,275.55
Taxes of 1915
$ 20.92
Taxes of 1916
1,332.23
Taxes of 1917
7,365.35
Taxes of 1918
961.99
Taxes of 1919
21,649.37
Taxes of 1920
83,756.75
$115,086.61
Board of Health $ 148.00
Gypsy Moth Department 124.29
Highways
389.75
Snow Removal
510.73
Insurance
100.09
92
TOWN OF RANDOLPH, MASS.
Interest on deposits $ 160.67
Taxes
719.77
Notes
2.33
882.77 $
Court returns
418.66
Schools, Coddington fund $ 91.30
Dog tax 463.93
Exchange of books and sale of junk
66.01
Sale school tickets
6.50
$
627.74
Miscellaneous
Junk dealers license $ 225.00
Sale of typewriter 45.00
Sale of army meat
14.75
Victualers license
3.00
Sale of voting list 1.00
Second hand auto dealers license
1.00
Bowling and pool license
2.00
$ 291.75
Cement Highways
Contract 1919
$ 9,154.76
Contract 1920
7,000.00
Sundry Accounts
Division of standards $ 10.00
Tree Warden 10.00
State Aid 9.00
Weights and Measures 43.05
Poor out of Almshouse
15.00
93
EIGHTY-FIFTH ANNUAL REPORT
Poor of other towns
602.00
Refund High school
520.00
$ 1,209.05
$271,360.90
Credit
Paid orders of Selectmen $167,165.01
Notes, in anticipation of revenue
72,000.00
Notes, in anticipation of reimbursement 15,000.00
Notes, High School
1,500.00
Notes, refunding debt
1,000.00
Notes, cement highway
2,100.00
Notes, County hospital
1,000.00
Notes, No. Main Street
500.00
Notes, fire truck
1,100.00
Notes, Stetson hall
1,000.00
Water notes
500.00
$262,865.01
Balance on December 31, 1920
8,495.89
$271,360.90
Randolph, Mass., January 13, 1921.
The undersigned Auditors of the Town of Randolph, respectfully report that that have examined the accounts of the Treasurer and find the same correctly kept with proper vouchers and entries for all payments and receipts.
M. F. CUNNINGHAM, JOHN K. WILLARD, W. F. CUNNINGHAM,
Auditors.
94
TOWN OF RANDOLPH, MASS.
BALANCE SHEET, DECEMBER 31, 1920
Cash $ 8,495.89 . .
Commonwealth of Massachusetts
State Aid
$ 2,524.00
Mothers' Aid, Chapter 763 97.05
State Pauper
2,077.56
Town of Holbrook, Soldiers' Relief
$ 4,698.61 $ 622.77
City of Boston,
Chapter 763 $ 599.10
Relief to Poor
60.00
$ 659.10
Bay State St. Railway, Balance excise tax of
1918 and Interest $ 235.69
Taxes of 1919
$ 1,402.11
Taxes of 1920
31,899.45
$33,301.56
County of Norfolk, Dog Tax 1920 $ 548.59
Cement Highway, 1919
1,611.86
Cement Highway, 1920
10,000.00
$12,160.45
Comm. of Mass. Cement Highway $ 3,000.00
$63,174.07
Unpaid Bills, Dec. 31, 1920
$ 2,674.38
Amount due Contractor on completion of
State Highway 6,647.99
Notes Payable, anticipation of revenue.
32,000.00
Notes Payable, anticipation of reimbursement 7,000.00
Surplus Revenue 14,851.70
$63,174.07 $63,174.07
95
EIGHTY-FIFTH ANNUAL REPORT
Bonded Debt of the Town
55,500.00
Notes Payable
Refunding Debt
17,000.00
High School
10,500.00
County Hospital
4,500.00
Cement Highway 1919
8,400.00
Cement Highway 1920
10,000.00
Drainage
2,000.00
North Main St.
1,000.00
Auto Fire Truck
1,100.00
Stetson Hall
1,000.00
$118,674.07 118,674.07
STATE OF THE MONUMENT FUND
Received January 1, 1920
$ 235.22
Received Interest
11.09
Paid June 1, for cleaning monument
$ 8.00
Balance in Randolph Savings Bank
238.31
$ 246.31 $ 246.31
STATE OF THE WELCOME HOME FUND
Balance on Deposit February 16th, 1920 $ 463.14
Interest Received 18.93
Balance in Bank Dec. 31, 1920 $ 482.07
$ 482.07 $ 482.07.
96
STATEMENT SHOWING PROVISIONS OF PAYING TOWN NOTES
Year
Stetson Hall
Auto Fire Truck
North Main Street
Drain- age
County
Cement Cement High Hospital Highway Highway School
Cont. 1919
Cont. 1920
1921
$1,000
$1,100
$ 500
$1,000
$1,000
$2,100
$1,000
$1,500
$1,000
$10,200
1922
500
1,000
1,000
2,100
1,000
1,500
1,000
8,100
1923
1,000
2,100
1,000
1,500
1,000
6,600
1924
1,000
2,100
1,000
1,500
1,000
6,600
1925
500
1,000
1,500
. 1,000
4,000
1926
1,000
1,500
1,000
3,500
1927
1,000
1,500
1,000
3,500
1928
1,000
1,000
2,000
1929
1,000
1,000
2,000
1930
1,000
1,000
2,000
22 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
Notes, anticiation of revenue
$55,500
32,000
Note, reimbursement state highway
7,000
Total amount of notes outstanding
$94,500
The Treasurer holds the Coddington Fund of $1,900 on deposit in the Randolph Savings Bank, the inter- est 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 monu- ment and grounds.
TOWN OF RANDOLPH, MASS.
Refunding Appro. Neces- sary Debt.
1
ANNUAL REPORT
OF THE
SCHOOL COMMITTEE
1920
TOWN OF RANDOLPH, MASS.
School Committee
EDMUND K. BELCHER Chairman
MARSHALL W. LEAVITT Secretary
JAMES F. KENNEDY Term expires 1921
EDMUND K. BELCHER Term expires 1922
· MARSHALL W. LEAVITT Term expires 1923
Trustees of Stetson School Fund
MARSHALL W. LEAVITT Chairman
GEORGE V. HIGGINS, M. D. Secretary JAMES F. KENNEDY Term expires 1921
EDMUND K. BELCHER Term expires 1922
MARSHALL W. LEAVITT Term expires 1923
Superintendent of Schools
JAMES J. QUINN
Residence, Holbrook Telephone, Randolph 285-M
Regular meeting of the School Committee the last Friday of the month at 7:30 p. m.
101
EIGHTY-FIFTH ANNUAL REPORT
School Calendar, 1920-21-22
Open January 3, 1921
Close March 18
11 weeks
Vacation 1 week
Open March 28, 1921 Close June 17
12 weeks
Summer Vacation, 11 weeks
Open September 6, 1921
Close December 22
16 weeks
Vacation, 1 week
Open January 3, 1922
Close February 17 7 weeks
Vacation, 1 week
Open February 27, 1922
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