USA > Massachusetts > Norfolk County > Randolph > Randolph town reports 1926-1931 > Part 43
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John B. McNeill, Town Treasurer, in account with the Town of Randolph. year 1930 :
Dr.
Balance on hand January 1,
1930 $8,371.55
Received during year 541,007.45
$549,379.00
Cr.
Paid sundry persons as per Warrants $433,440.70
Balance-on deposit in banks:
Special Fund $3,385.30
New School
Building
Funds 110,295.33
General Cash
2,257.67
$115,938.30
$549,379.00
Randolph, Mass., January 26, 1931.
We, the undersigned Auditors of the Town of Ran- dolph, have this day examined the accounts of the Town Treasurer and have reconciled his bank balances and verified his cash and fine same correct as per bal- ance at end of the year 1930.
JAMES V. DONOVAN, M. F. CUNNINGHAM, RAYMOND L. MASON, Auditors.
Norfolk, ss.
January 26, 1931.
Subscribed and sworn to before me:
WALDO E. MANN,
Justice of Peace.
58
TOWN OF RANDOLPH, MASS.
John B. McNeill, Treasurer, in account with the Town of Randolph :
SPECIAL FUND
Balance on hand January 1, 1930 $3,895.56
Interest on deposits 179.93
$4,075.49
Payments
$690.19
Balance on hand-Randolph
Trust Co. 3,385.30
$4,075.49
SOLDIERS' MONUMENT FUND
Balance on hand January 1, 1930
$262.00
Interest
13.25
$275.25
Payments $10.70
Balance-Randolph Savings Bank
264.55
$275.25
SCHOOL PLAYGROUND EQUIPMENT FUND
Balance on hand January 1, 1930 $51.81
Dec. 31, 1930-Balance on deposit -Randolph Trust Co. 2.61
$54.42
CODDINGTON FUND
Jan. 1, 1930-Balance on deposit
-Randolph Savings Bank $1,900.00
Interest 96.18
$1,996.18
Interest withdrawn
$96.18
Balance on deposit-Randolph Savings Bank 1,900.00
$1,996.18
59
NINETY-FIFTH ANNUAL REPORT
Randolph, Mass., January 28, 1931.
We, the undersigned Auditors of the Town of Ran- dolph have this day examined the-
Coddington Fund (on deposit in Randolph Savings Bank) $1,900.00
Special Fund (on deposit in Savings Depart-
ment, Randolph Trust Co.) 3,385.30
Soldiers' Monument Fund (on deposit in Randolph Savings Bank) 264.55
School Playground Equipment Fund (on de- posit in Randolph Trust Co.) 54.42
and find the same to correspond with the accounts of the Town Treasurer.
Norfolk, ss. January 28, 1931. JAMES V. DONOVAN, RAYMOND L. MASON, M. F. CUNNINGHAM, Town Auditors.
Subscribed and sworn to before me,
WALDO E. MANN, Justice of the Peace.
My commission expires May 4, 1934.
60
TOWN OF RANDOLPH, MASS.
Report of the Town Accountant
RECEIPTS
General Revenue TAXES
Current Year:
Poll
$1,930.00
Personal
16,976.85
Real Estate
98,230.11
$117,136.96
Previous Years :
Poll
$965.80
Personal
1,394.33
Real Estate
57,619.65
59,979.78
Excise Tax, 1929
$3,190.32
Excise Tax, 1930
7,079.72
10,270.04
Special Assessments :
Moth Tax (previous years)
$38.00
Current Year
122.50
160.50
From State:
Income Tax
$22,184.20
Bank Tax
1,167.87
Corporation Tax
4,719.73
28,071.80
61
NINETY-FIFTH ANNUAL REPORT
LICENSES AND PERMITS
Licenses :
Liquor
$1.00
Junk
62.50
Pedlars
36.00
Victualers
26.00
Billiards and Bowling
8.00
Milk and Oleo
43.50
Gasoline
2.00
All other
26.00
205.00
Permits :
All other
28.00
28.00
Court Fines
428.06
428.06
Grants and Gifts:
From State:
Veterans' Exemption
$130.66
Educational
16,536.60
From County (Dog Licenses)
1,345.24
$18,012.50
COMMERCIAL REVENUE: DEPARTMENTAL
Collector
$38.10
Police
14.00
Fire
.60
Sealer of Weights and Measures
92.08
Health
558.43
Highways (County Construction)
586.00
County-Miscellaneous
2.40
Infirmary :
Sale of Produce
37.85
Board (inside)
258.00
Board (outside)
52.00
62
TOWN OF RANDOLPH, MASS.
Charities :
Relief (Cities and Towns)
905.93
(State)
604.07
Soldiers' Benefits :
State Aid
750.00
Schools :
Other tuition
3,489.16
All other
14.40
Unclassified :
Tax title redemptions
843.49
costs
18.00
8,264.51
Public Service: (Water Dept.)
Schedule Rates
$4,118.68
Rental and Meter Rates
15,170.96
All Others
1,722.80
Fire Insurance
2.50
21,014.94
Commercial Revenue (Interest)
General
$406.15
Special
179.93
Taxes (Lyons)
3,771.14
(Perkins)
77.27
Tax Titles
38.04
4,472.53
Refunds and Transfers :
Refunds :
State Aid
$6.00
Water (Joint)
15.28
Interest and Discount
23.75
63
NINETY-FIFTH ANNUAL REPORT
Tax Deeds (Collector)
2.35
Tax Title Costs
3.00
Water (Maintenance)
102.24
Schools
9.05
Fire Department
9.09
Special Fund
102.14
Soldiers' Monument Fund
10.70
283.60
MUNICIPAL INDEBTEDNESS
Temporary Loans :
Anticipation of Revenue
$145,000.00
General Loans (Schools)
113,000.00
Public Service (Water)
12,000.00
$270,000.00
Premiums on Bonds and Notes :
School Loans 2,679.23
Balance on hand Jan. 1, 1930:
General
$4,475.99
Special Fund
3,895.56
8,371.55
$549,379.00
64
TOWN OF RANDOLPH, MASS.
PAYMENTS
General Government EXPENDITURES
Selectmen:
Salaries
$650.00
Clerks
131.55
Other Labor
52.00
Stationery and Postage
19.10
Printing and Advertising
100.00
Carfares
22.00
Telephone
91.48
Typewriter
107.50
All Others
59.13
$1,232.76
Moderator:
Salary
$50.00
$50.00
Accounting Department :
Salary
$1,200.00
Clerk
12.00
Stationery and Postage
33.68
Printing and Advertising
62.96
Telephone
.30
Binders
23.12
All Others
7.82
$1,339.88
Auditing Department:
Salaries
$180.00
Traveling Expenses
15.00
Depositions
3.25
$198.25
65
NINETY-FIFTH ANNUAL REPORT
Treasurer's Department :
Salary
$900.00
Stationery and Postage
102.76
Telephone
68.83
Bond
135.00
Certifying Notes
50.00
All Other
13.30
$1,269.89
Collector's Department :
Commissions
$2,739.00
Clerk
45.00
Bond
270.00
Stationery and Postage
311.60
Printing and Advertising
154.63
Adding Machine
77.36
Tax Titles
231.91
All Other
4.00
$3,833.50
Assessors' Department :
Salaries
$1,800.00
Clerks
314.70
Poll List
318.10
Stationery and Postage
90.95
Printing and Advertising
13.75
Carfares
78.50
Telephone
55.90
Maps and Plans
2,154.69
Transcript of Deeds
237.19
All Other
24.57
$5,088.35
Finance Committee :
Printing
$128.75
Stationery and Postage
6.60
66
TOWN OF RANDOLPH, MASS.
Clerks Traveling Expenses
55.00
4.10
$194,45
Law Department:
Town Counsel
$153.00
Special Attorneys
215.00
Claims
211.93
Court Judgment
1,225.00
$1,804.93
Town Clerk:
Salary
$1,100.00
Reporting Fees
293.75
Stationery and Postage
63.08
Printing and Advertising
1.25
Telephone
4.00
All Other
48.73
$1,510.81
Election and Registration Dept .:
Salaries
$150.00
Election Officers
645.00
Labor
152.50
Stationery and Postage
13.00
Printing and Advertising
240.50
Meals
143.00
All Other
6.00
$1,350.00
Town Office:
Janitor's Salary
$720.00
Fuel
262.10
Lighting
501.94
$1,484.04
67
NINETY-FIFTH ANNUAL REPORT
Police Department :
Police Chief's Salary
$2,100.00
Patrolman's Salary
1,900.00
Special Police
351.00
Other Employees
201.56
Auto Repairs
328.40
Motorcycle Repairs
148.79
Gasoline and Oil
551.65
Equipment for Men
70.56
New Auto and Motorcycle
692.50
Maintenance of Buildings:
2.33
Janitor's Supplies All Other
67.23
Other Expenses :
Stationery and Postage
52.06
Telephone
194.02
Prisoners' Meals
45.10
Signals and Signs
239.35
All Other
75.51
$7,020.06
Fire Department:
Chief's Salary
$2,000.00
Drivers' Salaries
2,629.26
Extra Drivers' Salaries
358.00
Deputy Chief's Salary
125.00
Firemen's Salaries
1,500.00
Labor
20.40
Gasoline and Oil
83.73
Apparatus Repairs
732.34
Hose
543.82
Men's Equipment
331.50
Fire-alarm
821.59
68
TOWN OF RANDOLPH, MASS.
New Generator
988.00
All Other
49.33
Fuel
205.69
Lighting
177.15
Building Repairs
961.83
Furnishings
64.83
Rent No. 2 Station
36.25
Gas Masks
50.00
Stationery and Postage
28.00
Telephone
100.60
Miscellaneous Supplies
18.36
$11,825.68
Forest Fires:
Fighting Fires
$994.20
Apparatus Repairs and Supplies
181.90
Gasoline and Oil
23.08
All Other
32.60
$1,231.78
Sealer of Weights and Measures:
Salary
$150.00
Stationery
2.00
Transportation
8.72
Weights and Seals
28.28
$189.00
Tree Warden:
Salary
$250.00
Labor
420.20
Truck
80.00
Hardware and Tools
28.35
Trees
115.20
$893.75
69
NINETY-FIFTH ANNUAL REPORT
Gypsy Moth Extermination :
Labor
$482.90
Truck
62.50
Insecticides
133.59
Tools
2.00
Spraying
50.00
All Other
10.78
$741.77
Health Department:
Board of Health, Salaries
$60.00
Stationery and Postage
1.31
Printing and Advertising
12.61
Other General Expenses
20.46
Medical Attendance
265.00
Ambulance
33.85
Norfolk County Hospital
2,694.41
Birth Returns
35.00
Death Returns
25.00
Shooting of Animals
13.00
Burial of Animals
30.00
Gathering Rubbish
270.38
All Other
23.08
School Nurse
1,281.00
School Physician
100.00
Inspector of Animals, Salary
75.00
Inspector of Milk, Salary
37.50
Inspector of Slaughtering, Salary
75.00
Dog Officer's Salary
150.00
Health Nurse, Salary
1,000.00
Mass. Homeopathic Hospital
74.00
Lease of Town Dump
125.00
$6,401.60
Highway Department: Surveyor's Salary $1,500.00
70
TOWN OF RANDOLPH, MASS.
Clerical Supplies
3.00
Telephone
45.57
Labor
3,592.61
Trucks
184.75
Highway Material
5,118.22
Equipment and Repairs
564.96
Gasoline and Oil
431.40
New Storehouse
1,120.80
All Others
137.78
$12,699.09
Alden Street:
Labor
$236.65
Trucks
63.25
1
$299.90
Allen Street:
Labor
$497.90
Trucks
116.50
Highway Material
327.50
Gasoline and Oil
36.90
Compressor
12.97
Truck Repairs
7.15
$998.92
Centre Street:
Labor
$600.35
Trucks
58.00
Highway Material
141.00
$799.35
High Street :
Labor
$327.90
Trucks
171.00
$498.90
.
71
NINETY-FIFTH ANNUAL REPORT
Oak Street:
Labor
$807.75
Trucks
144.00
Highway Material
561.37
Gasoline and Oil
61.90
Compressor
13.36
Truck Repairs
9.87
$1,598.25
Orchard Street:
Labor
$756.50
Trucks
200.50
Highway Material
237.75
Gasoline and Oil
5.12
$1,199.87
Overlook Road:
Labor
$685.95
Trucks
153.00
Highway Material
319.67
Gasoline and Oil
32.73
Compressor
8.21
$1,199.56
Park Street:
Labor
$124.40
Trucks
49.50
Highway Material
211.25
Gasoline and Oil
12.26
$397.40
Russ Street :
Labor
$796.85
Trucks
117.00
Highway Material
108.00
Tools
2.25
72
TOWN OF RANDOLPH, MASS.
Dynamite
82.34
Surveying
93.50
$1,199.94
South Street:
Labor
$1,188.98
Trucks
186.75
Highway Material
728.37
Gasoline and Oil
63.72
Tools
7.60
Compressor
24.30
$2,199.72
Vesey Road :
Labor
$344.70
Trucks
36.00
Highway Material
111.00
Gasoline and Oil
8.27
$499.97
Waldo Street:
Labor
$493.65
Gasoline and Oil
5.69
Truck Repairs
.65
$499.99
West Street:
Labor
$252.30
Trucks
36.00
Highway Material
105.75
Gasoline and Oil
5.85
$399.90
Woodlawn Road:
1 1
Labor
$763.20
Trucks :
153.50
73
NINETY-FIFTH ANNUAL REPORT
Gasoline and Oil Roller Repairs Compressor All Others
23.45
3.85
53.24
2.25
$999.49
South Main Street Sidewalk:
Contracts
$4,487.00
Removing Trees
273.00
Architect's Fees
238.00
$4,998.00
Snow Removal:
Labor
$577.01
Horse Plows
191.53
Auto Plows
697.50
Tractor Repairs
227.95
Plow Repairs
36.95
Tractor Storage
60.00
New Plow
350.00
Sand
81.00
Sand Storage
25.00
Gasoline and Oil
94.60
All Other
7.75
$2,349.29
Street Signs:
Labor
$36.30
Signs
99.85
Freight
1.85
$138.00
Street Lights:
$8,748.02
$8,748.02
74
TOWN OF RANDOLPH, MASS.
Land Damage:
Centre St.
$6.00
Pond St.
127.00
North St.
114.50
North Main St.
25.00
$272.50
Charities (Outside Relief) :
Cash Paid Out
$3,174.50
Groceries and Provisions
1,487.67
Coal and Wood
441.25
Medicine
.70
Rent
268.00
Clothing
44.85
Paid City of Boston
16.00
Paid Commonwealth of Mass.
260.71
Burials
15.00
Nurse
40.00
$5,748.68
Infirmary:
Superintendent's Salary
$1,000.00
Labor
405.80
Groceries and Provisions
1,259.07
Dry Goods and Clothing
215.08
Building Repairs
3,331.20
Fuel and Light
724.90
Grain and Feed
217.05
Telephone
49.76
Burials
180.00
All Other
256.66
$7,639.52
Soldiers' Benefits :
State Aid
$701.00
Cash Paid Out
3,810.00
€
75
NINETY-FIFTH ANNUAL REPORT
Fuel 122.50
Groceries and Provisions
327.15
Medicine
15.00
$4,975.65
School Department:
Superintendent's Salary
$1,498.86
Truant Officer's Salary
177.00
Printing, Stationery and Postage
313.99
Telephone
245.57
Traveling Expenses
220.69
School Census
90.00
Clerks
335.57
All Other (General)
151.07
High School Teaching
18,390.02
Elementary School Teaching
40,666.97
Supervision
257.60
High School Books
507.32
High School Stationery Supplies
400.95
Elementary School Books
1,040.10
Elementary Stationery Supplies
824.29
Equipment :
High School
663.42
Elementary Schools
190.50
Trade and Continuation
3,799.65
Transportation Elementary Schools
4,710.70
Janitors' Services :
High School
1,855.00
Elementary Schools
3,202.17
Guard Duty
34.20
High School Lighting
727.27
Elementary School Lighting
281.24
High School Fuel
911.73
Elementary School Fuel
1,155.31
76
TOWN OF RANDOLPH, MASS.
Maintenance :
High School Repairs
1,731.94
High School Janitor's Supplies - 80.36
High School All Other 139.35
Elementary School Repairs
11,818.82
Elementary School Janitor's Supplies 140.73
Elementary School All Others
355.35
Furniture and Furnishings :
High School
846.91
Elementary Schools
8.73
Rent (East Randolph Imp. Ass'n)
80.00
Nurse's Supplies
9.60
Physical Education
603.73
High School Oil Burner
2,080.00
$100,546.71
:
School Sites :
East Randolph Lot
$1,500.00
North Randolph Lot
3,000.00
Surveying
242.25
Title Examinations
80.00
Recording Deeds
10.76
$4,833.01
East Randolph New School:
Advertising
$27.41
Digging Test Holes
12.00
$39.41
North Randolph New School:
Advertising
$27.41
Bond
1,251.33
77
.
NINETY-FIFTH ANNUAL REPORT
Fire Insurance
50.00
Architect's Fee
3,336.52
$4,665.26
Turner Library :
Painting
$284.66
Repairs to Roof
215.34
$500.00
Unclassified :
Paid Lieut. Thos. W. Desmond
Post No. 169 $792.33
$792.33
Premiums on Notes and Bonds :
Legal Opinion, Advertising, and Costs
$219.00
$219.00
Lease of A. L. Headquarters
$1,500.00
$1,500.00
Memorial Day Celebration
$300.00
Armistice Day Celebration
200.00
500.00
Insurance :
Policies $3,498.92
$3,498.92
Printing and Distributing Town Reports :
Printing Distribution
$611.00 20.00
$631.00
Soldiers' Monument Fund
$10.70
$10.70
78
TOWN OF RANDOLPH, MASS.
Soldiers' and Sailors' Bronze Honor Roll : Honor Roll $450.00
$450.00
Care of Clock, Congregational Church: Caretaker
$20.00
$20.00
Accounts Payable :
Fire Department
$356.00
Board of Health
6.00
School Department
731.85
Paint for G. A. R. Headquarters
5.00
$1,098.85
Unpaid Bills :
Tax Collector's Expense
$17.00
Outside Relief
213.08
School Department
1,695.71
Water-Randolph Maintenance
31.25
$1,957.04
Water Department:
Commissioners' Salaries
$375.00
Superintendent's Salary
2,000.00
Clerks
98.75
Stationery and Postage
151.47
Printing and Advertising
44.00
Telephone
93.36
Taking of Land
828.38
All Other (General)
271.12
Randolph Maintenance :
Labor
$1,636.96
Truck and Repairs
697.91
Pipe and Fittings
641.13
79
NINETY-FIFTH ANNUAL REPORT
Meters and Fittings
2,065.80
Gasoline and Oil
76.50
Freight
7.98
Hydrants
17.28
All Other
83.12
Service Connections :
Labor
806.03
Pipe and Fittings
823.38
All Other
106.32
Joint Account :
Labor
1,031.14
Oil and Waste
143.88
Coal
878.17
Repairs on Buildings
257.23
Chlorine
98.06
Insurance
251.18
All Other
819.06
$14,303.21
Stacy Street:
Labor
$168.00
Gasoline and Oil
18.65
All Other
3.70
$190.35
Fairview Avenue, Dead Ends:
Labor
$133.20
Gate Valves
16.80
$150.00
Water Extensions :
Labor
$5,647.10
Pipe
!
4,494.26
Gasoline and Oil
201.82
Leadite
-
198.49
80
TOWN OF RANDOLPH, MASS.
Valves
120.60
Tools
220.22
Hydrants
563.57
Gate and Service Boxes
72.25
Freight
652.13
Compressor
53.19
All Other
83.83
$12,307.46
North Main Street Renewals:
Labor
$779.10
Lead Pipe
161.58
Pipe and Fittings
204.31
Gate Valves anl Boxes
112.70
Gasoline and Oil
9.85
Tools
11.75
$1,279.29
Interest:
Anticipation of Revenue Notes $3,507.64
School Loans
3,029.00
Water Loans
540.00
Fire Dept. Loans
325.00
Highway Loans
684.00
Refunding Loan
337.50
$8,423.14
Municipal Indebtedness:
Anticipation of Revenue Notes
$135,000.00
School Loans
6,000.00
Water Loans
2,000.00
Highway Loans
4,800.00
Fire Dept. Loans
1,500.00
Refunding Loan
1,000.00
$150,300.00
81
NINETY-FIFTH ANNUAL REPORT
Agency :
State Tax
$6,020.00
State Highway Tax
2,120.54
County Tax
7,443.95
Snow Removal Tax
371.00
$15,955.49
Refunds :
Real Estate Taxes
$1,138.99
Excise Tax
91.16
Bank Tax
3.88
Interest (Tax Titles)
4.26
Water Rates
10.83
$1,249.12
Balance:
Cash Dec. 31, 1930 (General) $112,553.00
Special Fund
3,385.30
$115,938.30
$549,379.00
82
.
TOWN OF RANDOLPH, MASS.
MUNICIPAL INDEBTEDNESS Temporary Loans
Outstanding Jan. 1, 1930 Notes issued during 1930
$ 60,000.00 145,000.00
Maturities paid during 1930
Outstanding Dec. 31, 1930
$135,000.00 70,000.00
$205,000.00
$205,000.00
INDEBTEDNESS INSIDE STATUTORY LIMIT
Outstanding Jan. 1, 1930
Contracted during 1930 (School Loan)
Maturities paid during 1930: *High School Loan Equipment Loan
$ 1,478.90
1,000.00
1,000.00
Refunding Loan Highway Loan 1920
1,000.00
(Canton St.)
1,000.00
(Union St.)
2,000.00
(Road Roller)
800.00
Fire Ladder Truck Loan
1,500.00
Outstanding Dec. 31, 1930
149,605.50
$159,384.40
$159,384.40
INDEBTEDNESS OUTSIDE STATUTORY LIMIT
Outstanding Jan. 1, 1930
$41,915.60
Contracted during 1930 (Water Ext.)
12,000.00
Maturities paid during 1930:
Water Loan (Vesey St.)
$500.00
(Abbey St.)
500.00
(Stacy St.)
1,000.00
*High School Loan
3,521.10
Outstanding Dec. 31, 1930
48,394.50
$53,915.60
$53,915.60
* This loan was contracted for 21/71% inside and 50/71% outside debt limit.
BORROWING CAPACITY (Inside Statutory Limit of Indebtedness)
Valuation April 1, 1928
$5,583,200.00
1, 1929
5,549,250.00
66
66 1, 1930
5,797,950.00
$16,930,400.00
83
$ 46,384.40 113,000.00
NINETY-FIFTH ANNUAL REPORT
Less Abatements, 1928
1929
$154,158.10 93,643.15
66
1930
65,843.75
$313,645.00
313,645.00
Net Valuation for three years 3% of same, total borrowing capacity
$16,616,755.00 166,167.55
Less Indebtedness (Inside Statutory Limit) Outstanding Dec. 31, 1930
$149,605.50
Net Borrowing Capacity (Inside Debt Limit) Dec. 31, 1930
16,562.05
$166,167.55
$166,167.55
84
BONDED INDEBTEDNESS
Date of Maturity
High School Equip-
Highway Loan, Union
Fire Ladder Truck
Highway Loan, Can-
Water Loan
Refunding Loan
High School Loan
Water Loan
Extensions
Schools
1931
$1,000
$2,000
$1,500
$1,000
$1,000
$1,000
$5,000
$1,000
$6,000
1932
2,000
1,500
1,000
1,000
1,000
5,000
1,000
6,000
1933
2,000
1,000
1,000
1,000
1,000
5,000
1,000
6,000
1934
1,000
1,000
1,000
1,000
5,000
1,000
6,000
1936
1,000
5,000
1,000
6,000
1938
1,000
4,000
1,000
6,000
1939
4,000
1,000
6,000
1940
4,000
1,000
6,000
1942
1,000
6,000
1943
1,000
6,000
1944
6,000
1945
5,000
1946
5,000
1947
5,000
1948
5,000
1949
5,000
1950
5,000
5,000
$1,000
$6,000
$5,000
$4,000
$4,000
$7,000
$46,000
$12,000
$113,000
· 85,000
$198,000
TOWN OF RANDOLPH, MASS.
New
ment Loan
Street
Loan
ton Street
Stacy St.
School Loan,
1935
1,000
5,000
1,000
6,000
1937
4,000
1,000
6,000
1941
85
TOWN OF RANDOLPH BALANCE SHEET, DECEMBER 31, 1930
NINETY-FIFTH ANNUAL REPORT
ASSETS
LIABILITIES
Cash General
$112,553.00
Anticipation of Revenue Notes
$70,000.00
Cash Special
3,385.30
Premium on Notes and Bonds
2,460.23
Taxes:
Tax Title Revenue
5,845.85
1928
2,393.63
Motor Vehicle Excise Tax Revenue
8,003.11
1929
22,116.79
Departmental Revenue
4,556.01
1930
86,536.04
Water Revenue
3,356.39
Motor Vehicle Excise Tax, 1929
1,940.66
Overlay 1930
118.75
Motor Vehicle Excise Tax, 1930
6,062.45
Overlay Reserve
1,356.65
Tax Titles
5,845.85
Soldiers' Bonus Fund
3,385.30
Accounts Receivable:
Excess and Deficiency
33,449.60
Town Officers
108.50
Tax Collector's Salary
1,047.62
State and Military Aid
701.00
Tax Collector's Expenses
29.16
Health Department
308.94
Law Dept. (Rosetti Case)
400.00
Poor Department
1,844.80
Police Dept. (Traffic Signals)
547.66
School Department
1,338.02
Highway Dept. (Canton St.)
1,569.48
Land Damages
254.75
Highway Dept. (Union St.)
189.76
Water Rates:
Highway Dept. (Piping Land)
1,200.00
1928
58.06
Land Damages:
1929
542.28
North St.
312.50
1930
2,756.05
Pond St.
612.00
Overlay:
North Main St.
275.00
1924
319.50
West and Warren Sts.
254.75
1927
159.06
School Sites
166.99
1928
277.05
Town Hall Oil Burner
800.00
1929
424.28
Honor Roll
50.00
86
Court Judgments
1,225.00
Tercentennial Expenses Bills Payable 125.00
300.00
Water Extensions Water Dept. (Stacy Street)
1.33
East Randolph School
19,960.59
North Randolph School
90,334.74
$251,151.01
Net Funded or Fixed Debt
$251,151.01 $198,000.00
High School Equipment Loan
$1,000.00
Refunding Loan
7,000.00
Water Loan Extensions
12,000.00
High School Loan
46,000.00
Water Loan, Stacy St.
4,000.00
Fire Ladder Truck Loan
5,000.00
Highway Loan, Canton St.
4,000.00
Highway Loan, Union St.
6,000.00
East and North Randolph School Loan
113,000.00
$198,000.00 $58,786.02
Coddington School Fund
$1,900.00
Stetson High School Fund
13,147.97
Turner Reference Fund Library Funds
1,068.32
42,350.76
Soldiers' Monument Fund
264.55
Playground Fund
54.42
$58,786.02
$58,786.02
87
$198,000.00
Cash and Securities
442.54
TOWN OF RANDOLPH, MASS.
STATEMENT OF APPROPRIATIONS AND PAYMENTS FOR 1930
ACCOUNT
Appropriations and Balances
From Reserve
Fund
Refund
Raised by
Transferred
Payments
Overdraft
Transferred
Balance
To Revenue
Selectmen
$1,250.00
$1,232.76
$17.24
Moderator
50.00
50.00
Accountant
1,350.00
1,339.88
Auditors
198.25
198.25
Treasurer
1,275.00
1,269.89
Tax Collector
5,141.87
3,833.50
$1,076.78
5.11 236.94
Assessors
5,104.69
5,088.35
16.34
Law
1,300.00
$1,225.00
1,804.93
400.00
320.07
Town Clerk
1,225.00
$293.75
1,510.81
7.94
Town Office
1,500.00
1,484.04
Police Department
7,447.66
$125.00
7,020.06
547.66
4.94
Forest Fires
800.00
453.00
1,231.78
21.22
and Measures
189.00
189.00
Tree Warden
900.00
893.75
6.25
Moth Extermination
750.00
741.77
8.23
Highway Dept.
12,700.00
12,699.09
.91
Alden Street
300.00
299.90
10
Allen Street
1,000.00
998.92
1.08
Finance . *
300.00
194.45
105.55
Election and Regis.
1,350.00
1,350.00
15.96
Fire Department
11,363.00
588.00
9.09
11,825.68
134.41
Sealer of Weights
Health Dept.
5,675.00
1,381.00
6,401.60
$100.00
$293.75
*125.00
135.65
Raised and to be
Assessors
10.12
$5.35
STATEMENT OF APPROPRIATIONS AND PAYMENTS FOR 1930
ACCOUNT
Appropriations
and Balances
From Reserve
Fund
Refund
Raised by
Assessors
Transferred
Payments
Overdraft
Transferred
Balance
To Revenue
Canton Street
1,569.48
1,569.48
Centre Street
800.00
799.35
65
High Street
500.00
498.90
1.10
Oak Street
1,600.00
1,598.25
1.75
Orchard Street
1,200.00
1,199.87
.13
Overlook Road
1,200.00
1,199.56
.44
Park Street
400.00
397.40
2.60
Russ Street
1,200.00
1,199.94
.06
South Street
2,200.00
2,199.72
.28
South Main Street Sidewalk
5,000.00
4,998.00
2.00
Union Street
189.76
189.76
Vesey Road
500.00
499.97
.03
Waldo Street
500.00
499.99
.01
West Street
400.00
399.90
.10
Woodlawn Road
1,000.00
999.49
.51
Snow Removal
2,350.00
2,349.29
.71
Street Signs
150.00
138.00
12.00
Street Lights
9,139.50
8,748.02
391.48
Piping Land
1,200.00
1,200.00
Land Damages
1,726.75
272.50
1,454.25
Outside Relief
5,795.29
5,748.68
95.29
1.32
Infirmary
7,650.00
7,639.52
10.48
50.00
Raised and to be
STATEMENT OF APPROPRIATIONS AND PAYMENTS FOR 1930
ACCOUNT
Appropriations and Balances
From Reserve
Fund
Refund
Raised by
Assessors
Transferred
Payments
Overdraft
Transferred
Balance
To Revenue
Soldiers' Relief and Military Aid
5,000.00
480.00
6.00
4,975.65
Schools
101,789.76
9.05
1,345.24
100,546.71
1,381.00
510.35 1,216.34
School Sites
5,000.00
4,833.01
166.99
E. Randolph School 20,000.00
· 39.41
19,960.59
N. Randolph School 95,000.00
4,665.26
90,334.74
Turner Library
500.00
500.00
Special Fund
4,177.63
792.33
3,385.30
Premiums on Notes and Bonds
2,679.23
219.00
2,460.23
Lease of A. L. Hdqrs.
1,500.00
1,500.00
Memorial Day
Celebration
300.00
300.00
Armistice Day
200.00
200.00
Soldiers' Monument
Fund
10.70
10.70
Tercentennial
Celebration
300.00
300.00
Stetson Hall, Oil
Burner
800.00
800.00
Insurance
3,500.00
3,498.92
1.08
Celebration
Raised and to be
STATEMENT OF APPROPRIATIONS AND PAYMENTS FOR 1930
ACCOUNT
Appropriations
and Balances
From Reserve
Fund
Refund
Raised by
Transferred
Payments
Overdraft
Transferred
Balance
To Revenue
Reserve Fund 2,000.00
4.00
Printing and Distrib-
uting Town Reports 631.00
631.00
Honor Roll 500.00
450.00
50.00
Care of Clock
20.00
20.00
Accounts Payable
1,098.85
1,098.85
Unpaid Bills
1,957.04
1,957.04
Water Dept.
13,925.00
300.00 117.52
14,303.21
39.31
Stacy Street
941.68
190.35
750.00
1.33
Fairview Avenue
150.00
150.00
Water Extensions
12,000.00
750.00
12,307.46
442.54
North Main St. Renls.
1,280.00
1,279.29
Interest and Disc.
9,000.00
23.75
8,423.14
600.61
Maturing Debt
15,300.00
15,300.00
Revenue Notes
135,000.00
State Tax
6,020.00
6,020.00
State Highway Tax
2,120.54
2,120.54
County Tax
7,443.95
7,443.95
Snow Removal Tax
371.00
371.00
Refunds
1,249.12
Balance Dec. 31, 1930
112,553.00
Special Fund
3,385.30
Total
$549,379.00
* Shown on Balance Sheet under Bills Payable.
Respectfully submitted, ELMER L. BURCHELL, Town Accountant.
.71
(General)
Raised and to be
Assessors
NINETY-FIFTH ANNUAL REPORT
Report of the Water Commissioners
To the Citizens of the Town of Randolph:
The forty-fifth annual report of the Water Com- missioners is herewith submitted for the year ending December 31, 1930.
Organization of the Board of Water Commissioners for the year 1930 was effected as follows:
John B. McNeill Chairman
Frederick D. Driscoll Clerk Richard F. Forrest Superintendent
During the past year 65 new services were con- nected, 107 new meters were installed, 164 meters were removed to be cleaned and repaired, 15 frozen meters removed and repaired. There were 10 leaks in the 12 in. and 14 in. mains supplying the stand- pipes of Randolph and Holbrook, these being cared for under the Joint Maintenance Account, also 49 services were renewed on account of leaks, 37 services were pumped out and cleaned, 7 hydrants were broken by motor cars and were removed, repaired and replaced.
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