USA > Massachusetts > Norfolk County > Randolph > Randolph town reports 1960-1963 > Part 13
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Kalinowski, Linda Ann Kelliher, Roger Thomas Kiley, Sharon Ann Marie Knights, Mary Roberta Krauss, Raymond Francis
Lambiase, Francis James Leahy, Edith Frances Lemery, Patricia Ann Leondike, John Joseph Litcoff, William Harvey Lyons, James Michael
MacDonald, Barbara Ann MacDonald, Brian Timothy MacLellan, Angus Daniel Maker, Robert Francis Malm, John Carl, Jr. Manganiello, Richard Nicholas Mann, Catherine Anne Mann, George Weston Marino, Jean Ann Mayo, Diane Louise Mazzeo, Marie Christine McGibbon, Peter Alan McGowan, Carolyn Mary McGrory, Raymond Joseph McHarrie, Gail Catherine Mckenzie, Arlene Louise McNulty, Robert Francis McLucas, Ann Mello, Caroline Candida Merrick, Frederick Bryan Miller, Paul Nelson Miranda, Edmund A. Monteforte, Anne Marie Morin, Oliver Robert Morison, Catherine Ellen Murphy, Eleanor Elizabeth Murphy, James Joseph Myers, Janice Elizabeth
Needre, Walter Fred Nelson, Kenneth Edwin Nelson, Robert Edward
O'Brien, John Phillip O'Hara, Charles Francis O'Hara, Stephen Michael O' Meara, Jeanette C. O'Neil, James Ronald
O'Sullivan, Sheila Joan
Parker, Glenn Rodney Perry, Bruce Nicoll Pettinato, Paul Michael Pierce, Loretta Anne Pignatelli, Mary Lucille Pineo, John Paul Poehlman, Susan Merrill Powers, James Francis Powers, Judith Lorraine Price, Barbara Lee Pluto, Carolyn Rita
Rent, Gale Suzanne Rent, George Seymour Ricchio, Katherine Anne Robinson, James Joseph Roode, Lucille Thelma
*Rosenberg, Arlene Ronnie Ruddick, Jean Catherine Rozelle, Joan Genevieve *Richard, Yvette Marie
Saba, Carolyn Jean *Saba, Marilyn Ann Sarno, Stanley Arthur Sawczuk, Michael, Jr. Serisky, Robert
*Shea, Jean Elizabeth Silverman, Susan Jane Sleger, Johanne Smith, Ann Marie Smith, Barbara Shereen Smith, Kathleen Loretta Smith, Mary Alice Smolinski, Barbara Ann Sorgman, Margo Iris Stephens, Walter Thomas Strickland, William Alfred Steele, Thomas Anthony Sullivan, Carol Ann Swanson, Charles William Szum, Richard Francis
Tardiff, Patricia Jean Thayer, Charles Russell *Toffoloni, Francis Joseph Tolson, Mary Sydney Truelson, Catherine Rose *Turner, Carole-Ann Tweed, Cynthia Marcia
Usavicus, Teresa Lee
Valente, Gail Veronica Vaughn, Joan Ann
Wallace, Patricia Marie Waring, Jean Marie Watson, John Pierce Wengler, James Burton Whitcher, Eugene Paul White, Bernard Francis White, Robert Orrin Whynot, Carol Florence Wilbur, Lorraine Frances Wilbur, Norman James Williams, Robert Edward Wilson, Shirley Anne Wixon, Barbara Ann
Zapustas, Joseph John
*Graduated with Honors.
188
TOWN OF RANDOLPH, MASSACHUSETTS
REPORT OF THE TOWN ACCOUNTANT
RECEIPTS
General Revenue TAXES
Current Year:
Poll
$ 8,496.00 108,308.55
Real Estate
1,882,790.05
Previous Years:
Poll
744.00 3,406.08
Real Estate
102,533.78
Estimated Taxes:
Sale of Town Owned Lane
Current Year
7.49
Previous Years
13.08
20.57
Motor Vehicle Excise:
Current Year
137,860.24
Previous Years
99,315.96
Farm Animal Excise:
Current Year
93.50
Previous Year
17.50
Water Liens:
Current Year
6,425.27
Previous Years
2,361.10
8,786.37
Street Betterments:
Current Year
719.44
Previous Years
98.94
818.38
Personal Property
$1,999,594.60
Personal Property
106,683.86
237,176.20
111.00
189
ONE HUNDRED AND TWENTY-FIFTH ANNUAL REPORT
Committed Interest:
Current Year Previous Years
402.59
56.18
From State:
Income Tax
24,400.00
Corporation Tax
40,901.36
Meal Tax
5,436.24
70,737.60
LICENSES AND PERMITS
Alcoholic
8,302.00
Sunday, Pool, Entertainment
4,425.00
Court Fines
231.60
Division of Standards
20.00
12,978.60
GRANTS & GIFTS
From U. S. Government:
Old Age Assistance
84,024.59
Aid to Dependent Children
12,850.52
Disability Assistance
7,748.70
104,623.81
COMMERCIAL REVENUE
DEPARTMENTAL
Town Clerk
3,052.16
Collector
5,011.69
Planning Board
90.00
Police
144.00
Sealer of Weights & Measures
248.10
Inspector of Buildings
5,162.00
Inspector of Wiring
2,107.00
Inspector of Plumbing
1,812.00
Board of Health
584.50
Signs
112.00
Veterans-Photostats
10.00
Sewer
25.00
18,358.45
Highways:
From State:
Chapter 90-Road Maint.
2,000.00
From County:
Chapter 90-Road Maint.
2,000.00
4,000.00
190
458.77
TOWN OF RANDOLPH, MASSACHUSETTS
General Relief:
Temporary Aid
31.60
Old Age Assistance:
From State
72,164.99
From Cities & Towns
5,933.05
Aid to Dependent Children:
From State
7,172.56
Disability Assistance:
From State
9,133.51
Public Welfare
1,405.85
Health:
From State
404.29
96,245.85
Veterans' Benefits:
From State
19,487.75
Recoveries:
Disability Assistance
7,110.06
Old Age Assistance
1,806.65
Veterans' Benefits
1,357.77
10,274.48
Schools:
From State
203,781.63
Transportation
36,513.82
National Defense Education
1,411.00
Tuition-Despier
175.00
Vocational Education
14,238.74
School Building Assistance
62,912.95
Auto Shop, Lost Books, etc.
1,295.73
From Cities & Towns
752.40
Youth Service Board
606.88
Child Guardianship
21,515.98
343,204.13
George Barden Fund
1,962.67
School Lunch Program
86,121.97
School Athletic Fund
4,402.87
Public Law #874
30,824.50
123,312.01
Water:
Receipts
124,816.76
Jt. Acct. Reimb. from Holbrook
4,839.04
129,655.80
Ambulance Services Estate of Deceased Persons
1,814.25
563.40
2,377.65
191
ONE HUNDRED AND TWENTY-FIFTH ANNUAL REPORT
Interest:
Deposits
429.06
Deferred Taxes
3,158.29
Tax Title
506.19
Motor Vehicle Excise
721.94
Ellen Bennett Fund
432.79
Loans
21,839.08
Farm Animal Excise
.60
Estate of Deceased Persons
24.10
27,112.05
UNCLASSIFIED
Federal Tax Withholdings
208,140.37
State Tax Withholdings
16,794.27
County Retirement
28,413.22
Teachers Retirement
44,915.82
Blue Cross
21,693.48
Group Insurance
2,821.08
Dog Licenses
1,789.75
Fish & Game Licenses
2,851.50
Tax Titles
6,039.71
Tax Possessions
588.00
Premium on Bonds
8,817.80
Handling State Tax
52.75
County Dog Licenses
1,082.37
Police Reimbursement
20.00
Sale of Town Property
24.88
Government Land Taking
400.00
Dog Damage Reimbursement
35.00
Pole Locations
1.50
Hurricane Damage Reimbursement
1,007.00
Land Taking-Jt. Acct. Water
10,645.40
Blue Cross Premium Refund
642.65
Profit on Sale of Treasury Notes
5,228.02
Bid Deposits
150.00
Glass Breakage Reimbursement
191.00
Rubbish Collection Reimbursement
8,398.15
Dividend Group Insurance
1,221.00
Sale of Real Estate
1.00
Reimbursement Collector's Loss
1,000.00
Insurance Dividend
10.50
372,976.22
MUNICIPAL INDEBTEDNESS
Anticipation of Revenue
500,000.00
Anticipation of Serial Issue
550,000.00
Serial Issues
2,855,000.00
3,955,000.00
REFUNDS
General Refunds Estimated Receipts Refunds
4,143.23
202.50
4,345.73
$7,648,339.88
192
TOWN OF RANDOLPH, MASSACHUSETTS
PAYMENTS GENERAL DEPARTMENTS
Accounts Payable
Balance from 1959
Veterans Benefits
178.64
Drainage
496.56
North St. Little Leage
315.62
Engineer Expense
464.10
Highway Expense
1,029.02
School Expense
6,759.53
Police Expense
1,622.72
10,866.19
Balance to Revenue
446.62
11,312.81
Moderator
Appropriation Salary
65.00
Selectmen-Salaries
Appropriation
3,700.00
Payments:
Selectmen
3,200.00
Clerk
500.00
3,700.00
Selectmen-Expense
Appropriation
600.00
Payments:
Administration Expense
111.34
Association Dues & Expense
109.25
Telephone
313.72
Office Supplies
65.69
600.00
Town Manager-Salaries
Appropriation
14,817.00
Payments:
Town Manager
10,500.00
Secretary
3,817.00
Extra Clerk Hire
488.25
14,805.25
Balance to Revenue
11.75
14,817.00
Town Manager-Expense
Appropriation
1,685.00
Payments:
Postage & Sta.
251.78
Assoc. Dues & Exp.
66.50
Telephone
432.62
Office Supplies
334.10
Use of Car
600.00
1,685.00
.
193
65.00
ONE HUNDRED AND TWENTY-FIFTH ANNUAL REPORT
Town Manager-Out of State Travel Appropriation Balance to Revenue
100.00
100.00
Director of Finance
Appropriation Salary
1,000.00
Town Accountant-Salaries
Appropriation
9,351.00
Payments:
Town Accountant
5,500.00
Clerk
3,701.00
Extra Clerk Hire
130.20
9,331.20
Balance to Revenue
19.80
9,351.00
Town Accountant-Expense
Appropriation
935.00
Payments:
Assoc. Dues & Exp.
139.13
Telephone
173.27
Office Supplies
158.32
Administration Exp.
442.80
913.52
Balance to Revenue
21.48
935.00
Town Accountant-Out of State Travel
Appropriation
100.00
Payment:
Travel Expense
91.00
Balance to Revenue
9.00
100.00
Treasurer-Salaries
15,260.00
Appropriation From Reserve
425.00
15,685.00
Payments:
Treasurer
4,000.00
Senior Clerk
3,701.00
Senior Clerk
3,673.18
Regular Part Time Clerk
2,146.46
Extra Clerk Hire
1,776.51
Overtime
271.24
15,568.39
Balance to E & D
6.99
Balance to Revenue
109.62
1,000.00
15,685.00
194
TOWN OF RANDOLPH, MASSACHUSETTS
Treasurer-Expense
Appropriation
1,480.00
Payments:
Administration Exp.
1,259.62
Telephone ยท
65.65
Office Supplies Cert. of Notes
18.00
1,478.67
Balance to Revenue
1.33
1,480.00
Treasurer-Out of State Travel
100.00
Appropriation Balance to Revenue
100.00
Treasurer-Tax Title Expense
Appropriation
1,000.00
Payments:
Title Expense
758.71
Balance to Revenue
241.29
1,000.00
Collector-Salaries
Appropriation
14,012.00
Payments:
Collector
6,500.00
Senior Clerk
3,756.00
Junior Clerk
3,150.00
Extra Clerk & Overtime
606.00
14,012.00
Collector-Expense
Appropriation
4,265.00
Payments:
Administration Expense
3,944.60
Telephone
163.98
Office Supplies
112.29
4,220.87
Balance to Revenue
44.13
4,265.00
Collector-Tax Title Expense
Appropriation
500.00
Payments:
Title Expenses
493.52
Balance to Revenue
6.48
500.00
Assessors-Salaries
Appropriation
14,101.50
Payments:
Board of Assessors
2,400.00
Principal Assessor
2,944.00
Senior Clerk
3,786.00
Junior Clerk
3,233.00
Regular Part Time Clerk
1,738.50
14,101.50
195
135.40
ONE HUNDRED AND TWENTY -FIFTH ANNUAL REPORT
Assessors-Expense
Appropriation
2,874.00
Payments:
Administration Expense
566.97
Telephone
237.56
Office Supplies
958.60
Notorization
454.56
Use of Car
369.00
2,586.69
Balance to Revenue
287.31
2,874.00
Assessors-Out of State Travel Appropriation Payments
200.00
200.00
Assessors-Maps & Plans
500.00
Appropriation Balance to 1961
500.00
Planning Board
Appropriation
2,600.00
Payments:
Chairman
300.00
Engineering
1,000.00
Administration Expense
766.61
Clerical
522.82
2,589.43
Balance to Revenue
10.57
2,600.00
Town Counsel-Salaries
Appropriation
4,300.00
Payments:
Town Counsel
4,000.00
Clerk Hire
300.00
4,300.00
Cost & Claims
Appropriation
2,000.00
Payments:
Administration Expense
453.59
Notorization of Deeds
180.53
634.12
Transferred to Accounts Payable
1,365.88
2,000.00
Eminent Domain-Maple St. Appropriation Balance to 1961
1.00
1.00
196
TOWN OF RANDOLPH, MASSACHUSETTS
Finance Committee
Appropriation
1,000.00
Payments:
Clerk
100.00
Expenses
585.10
685.10
Balance to Revenue
314.90
1,000.00
Registrars-Salaries
Appropriation Salaries
2,650.00
Registrars-Expense
Appropriation
2,300.00
Payments:
Clerical Work
566.00
Transportation
670.00
Street Listing & Printing
981.25
Office Supplies
82.75
2,300.00
Town Clerk-Salary
Appropriation Salary
2,500.00
Town Clerk-Expense
Appropriation
1,115.00
Payments:
Administration Expense
547.51
Telephone
250.72
Office Supplies
247.98
1,046.21
Balance to Revenue
68.79
1,115.00
Town Clerk- Vital Statistics
Appropriation Payment
11.86
Balance to Revenue
88.14
100.00
Town By-Laws
Appropriation
500.00
Balance to 1961
500.00
Public Building-Salaries
Appropriation
4,192.00
Payments:
Custodian Salary
3,963.13
Extra Help
139.20
4,102.33
Balance to Revenue
89.67
4,192.00
197
2,650.00
2,500.00
100.00
ONE HUNDRED AND TWENTY-FIFTH ANNUAL REPORT
Public Building Maintenance
Appropriation
4,200.00
Payments:
Supplies
241.34
Bldg. Repairs
228.02
Janitors Supplies
82.07
Fuel
1,454.04
Lights & Gas
1,462.36
Lock Up Expense
463.76
3,931.59
Balance to Revenue
268.41
4,200.00
Trustees of Stetson Fund Appropriation
2,000.00
Payments:
Bldg. Repairs
310.33
Painting
670.00
Other Expenses
695.86
Balance to Revenue
323.81
2,000.00
PROTECTION OF LIFE AND PROPERTY
Police-Salaries
Appropriation From Reserve
350.10
125,000.60
Payments:
Salaries Balance to E & D
212.83
125,000.60
Police-Expense
Appropriation
13,600.00
Payments:
Administration Expense
691.39
Telephone
2,044.46
Supplies
2,896.77
Maint. of Equip.
6,217.50
Other Expenses
845.06
Balance to Revenue
.904.82
13,600.00
Police-Capital Outlay Appropriation
250.00
Payments:
250.00
Police New Cruiser Appropriation
2,600.00
Payment: Balance to 1961
2,199.00
401.00
2,600.00
198
12,695.18
Files
1,676.19
124,650.50
124,787.77
TOWN OF RANDOLPH, MASSACHUSETTS
Fire-Salaries Appropriation From Reserve
111,385.00
75.67
111,460.67
Payments: Salaries
111,460.67
Fire-Expense
Appropriation
13,050.00
Payments:
Administration Expense
736.34
Telephone
763.13
Maint. of Equip.
6,640.95
Supplies
4,906.52
13,046.95
Balance to Revenue
3.05
13,050.00
Fire Truck
Balance 1/1/60
419.29
Payments:
Equipment
352.61
Balance to 1961
66.68
419.29
Fire Station Wagon Appropriation
2,500.00
Payments:
2,240.00
Equipment
220.09
Balance to 1961
39.91
2,500.00
Ambulance-Salaries
1,750.00
Appropriation From Reserve
191.00
1,941.00
Payments:
Salaries
1,932.00
Balance to E & D
9.00
1,941.00
Ambulance-Expense
Appropriation
465.00
Payments:
Maint. of Equip.
267.53
Supplies & Laundry
94.74
Gas & Oil
99.56
461.83
Balance to Revenue
3.17
465.00
199
Wagon
2,460.09
ONE HUNDRED AND TWENTY-FIFTH ANNUAL REPORT
Building Inspector Appropriation From Reserve
1,600.00
100.00
1,700.00
Payments: Salary Expense
1,300.00
356.80
1,656.80
Balance to E & D
43.20
1,700.00
Wiring Inspector Appropriation
1,600.00
Payments:
Salary
1,300.00
Expense
300.00
1,600.00
Sealer of Weights & Measures Appropriation
900.00
Payments:
Salary
800.00
Expense
80.90
880.90
Balance to Revenue
19.10
900.00
Dog Officer
Appropriation
1,800.00
Payments:
1,300.00
Expense
500.00
1,800.00
Civil Defense-Expense Appropriation Balance
1,900.00
2.49
Payments:
Administration Expense
57.00
Use of Car
600.00
Supplies
139.03
796.03
Balance to 1961
1,106.46
1,902.49
Civil Defense-Capital Outlay Balance 1/1/60
698.03
Payments:
546.76
Supplies Balance to 1961
151.27
698.03
Salary
1,902.49
200
TOWN OF RANDOLPH, MASSACHUSETTS
Civil Defense Building Appropriation Balance to 1961
4,000.00
4,000.00
Repairs to Old Fire Station Appropriation Balance to 1961
2,000.00
2,000.00
Board of Health-Salaries Appropriation
29,758.00
Payments:
Medical Member
2,500.00
Board-Salaries
1,200.00
Health Agent
5,936.00
Senior Nurse
4,997.00
Junior Nurse
4,477.00
Junior Nurse
4,477.00
Senior Clerk
3,701.00
Extra Clerk Hire
199.84
Inspector of Animals
450.00
Inspector of Plumbing
1,300.00
Inspector of Milk
400.00
Inspector of Slaughter
150.00
29,757.84
Balance to Revenue
.16
29,758.00
Health-Expense
Appropriation
2,694.00
Payments:
Administration Expense
551.96
Telephone
271.93
Burial of Animals
520.00
Bldg. Maint.
1,118.85
2,462.74
Balance to Revenue
231.26
2,694.00
Health Agent's Expense
Appropriation
500.00
Payments:
Assoc. Dues & Expense
29.50
Use of Car
450.00
479.50
Balance to Revenue
20.50
500.00
Inspector of Animals-Expense Appropriation Use of Car
150.00
150.00
Inspector of Plumbing-Expense Appropriation Expenses
300.00
300.00
201
ONE HUNDRED AND TWENTY-FIFTH ANNUAL REPORT
Hospitalization Appropriation
2,000.00
Payments: Tuberculosis Premature Baby
1,812.24
146.00
1,958.24
Balance to Revenue
41.76
2,000.00
Immunization Clinic
Appropriation
1,000.00
Payments:
Expenses
228.98
Balance to Revenue
771.02
1,000.00
Garbage Collection Appropriation Balance 1/1/60
17,500.00
1,784.27
19,284.27
Payments: Garbage Collection
17,317.49
Balance to 1961
1,966.78
19,284.27
Rubbish Collection & Dump
Balance 1/1/60
1,384.90
Appropriation From Reserve
7,534.00
32,963.90
Payments:
Rubbish Collection
26,623.31
Dump
6,250.00
32,873.31
Balance to E & D
90.59
32,963.90
PUBLIC WORKS
Public Works Clerk-Salary Appropriation Salary
3,701.00
3,701.00
Administration Expense Appropriation
50.00
Payments:
Office Supplies
44.01
Balance to Revenue
5,99
50.00
202
24,045.00
TOWN OF RANDOLPH, MASSACHUSETTS
Engineering-Salaries Appropriation Payments: Engineer Assistant Engineer
12,495.00
6,743.22
5,650.00
12,393.22
Balance to Revenue
101.78
12,495.00
Engineering-Expense Appropriation
1,725.00
Payments:
Use of Car
343.75
Notorizing
21.84
Supplies
924.66
Outside Engineering
358.65
1,648.90
Balance to Revenue
76.10
1,725.00
Highway-Salaries
Appropriation
72,182.00
Payments:
Superintendent
6,677.00
Labor
63,556.22
Longevity
185.00
70,418.22
Balance to Revenue
1,763.78
72,182.00
Highway-Expense
Appropriation
31,765.00
Payments:
General Supplies
9,385.01
Assoc. Dues & Expense
13.00
Truck & Equip. Hire
5,546.63
Road Materials
9,761.73
Maint. of Equip.
5,159.71
Telephone
352.19
Building Maint.
904.13
Use of Car
500.00
To Accounts Payable
127.05
Balance to Revenue
15.55
31,765.00
Snow & Ice
Appropriation To be raised by Assessors in 1961 Tax Levy
32,000.00
15,000.00
47,000.00
203
31,622.40
ONE HUNDRED AND TWENTY-FIFTH ANNUAL REPORT
Payments:
Labor
13,235.02
Materials
1,757.44
Truck & Equip. Hire
28,752.91
Maint. of Equip.
3,254.63
47,000.00
Chapter 90 Maintenance
Appropriation
Payments:
Labor
510.09
Materials
645.28
Contract Payment
4,769.63
Equip. Hire
75.00
6,000.00
Chapter 386
Appropriation
Payments:
Material
1,838.49
Equip. Hire
995.45
2,833.94
Balance to Revenue
166.06
3,000.00
Drainage
Appropriation
Payments:
Materials
6,241.42
Equip. Hire
5,398.50
Balance to Revenue
360.08
12,000.00
Town Brooks
Appropriation
2,000.00
Payments:
Equipment Hire
1,138.50
To Accounts Payable
210.00
Balance to E & D
651.50
2,000.00
Diauto Drive Drain Balance 1/1/60
909.23
Payments:
Material
503.04
Equip. Hire
160.00
663.04
Balance to 1961
246.19
909.23
204
6,000.00
3,000.00
12,000.00
11,639.92
TOWN OF RANDOLPH, MASSACHUSETTS
Road Program Appropriation
10,000.00
Payments: Materials Equip. Hire
5,991.76
3,666.30
9,658.06
Balance to E & D
341.94
10,000.00
Chapter 90-Construction-High Street Appropriation Balance to 1961
20,000.00
20,000.00
Chapter 90-Construction-Chestnut Street
Balance 1/1/60
32,000.00
Balance to 1961
32,000.00
Fencourt Avenue Drain
Balance 1/1/60
714.65
Balance to 1961
714.65
Mary Lee Brook Drainage
Balance 1/1/60
10,000.00
Appropriation
1,820.11
Tr. from unexpended balances of 1959
8,179.89
Balance to 1961
20,000.00
Sidewalk Maintenance
Appropriation
3,000.00
Payments:
Contract Payments
2,309.11
Retainer Fees
41.50
2,350.61
To Accounts Payable
190.50
Balance to 1961
458.89
3,000.00
Adams Street Sidewalk
Appropriation
1,000.00
Payments:
Contract Payment
711.00
To Accounts Payable
79.00
Balance to 1961
210.00
20,000.00
1,000.00
205
ONE HUNDRED AND TWENTY-FIFTH ANNUAL REPORT
Land Damages-Center Street Balance 1/1/60 Payments: Claims Balance to 1961
655.00
60.00 595.00
655.00
West Street Drain
Balance 1/1/60
113.56
Balance to 1961
113.56
Mill Street Sidewalk
Appropriation
2,000.00
Payments:
Contract Payment
1,613.00
To Accounts Payable
180.00
Balance to 1961
207.00
2,000.00
Pond Lane Construction
Balance 1/1/60
212.80
Balance to 1961
212.80
Land Damages
Balance 1/1/60
488.92
Balance to 1961
488.92
Liberty Street Sidewalk
Appropriation
1,500.00
Payments:
Contract Payment
809.00
To Accounts Payable
90.00
Balance to 1961
601.00
1,500.00
Orchard Street Sidewalk
Appropriation
3,000.00
Payments:
Contract Payments
2,555.50
To Accounts Payable
283.50
Balance to 1961
161.00
3,000.00
South Street Sidewalk Balance 1/1/60 Appropriation
226.17
5,000.00
5,226.17
206
TOWN OF RANDOLPH, MASSACHUSETTS
Payments:
Retainer Fees
253.85
Contract Payments
4,175.57
4,429.42
Tr. to Mary Lee Brook
27.05
Tr. to Accounts Payable
446.18
Balance to 1961
323.52
5,226.17
North Main Street Sidewalk
Balance 1/1/60 Tr. to Mary Lee Brook
31.18
Balance to 1961
404.00
435.18
Highway-Balances to 1961
Willard Terr. Eminent Domain
1.00
Adams Street Eminent Domain
1.00
Land Damages-Warren Street
50.00
Land Damages-South Street
411.00
Land Damages-Chapter 90
10,476.00
Land Taking
15.00
Mitchell Street Layout
150.00
Highway Leader
3,000.00
14,104.00
Balances Tr. to Mary Lee Brook
South Street 17524 Chap. 90
1,446.03
Pond Lane Drain
97.75
North Street Sidewalk
339.80
Lafayette Street Sidewalk
555.02
Old Street Sidewalk
59.00
Bessie Avenue Repairs
100.00
Lancaster Road Const.
99.93
Diauto Drive Curbing
47.79
Flood Perm. Repair
204.05
Grading & Oiling Wyman Road
197.46
Celia Terr. Ext.
1,500.00
Harriet Street
42.71
Mark L. Sullivan Fund
500.00
Walk Lights North Street
435.42
Pedestrian Traffic Control
270.00
Parking Meter Maint.
186.93
Chain Link Fence
111.47
6,193.36
Highland Avenue Sidewalk Balance 1/1/60
530.76
Payments:
Retainer Fee
70.86
Tr. to Mary Lee Brook
459.90
530.76
435.18
207
ONE HUNDRED AND TWENTY-FIFTH ANNUAL REPORT
South Main Street Sidewalk Balance 1/1/60 Payments: Retainer Fee Tr. to Mary Lee Brook
408.97
294.41
114.56
408.97
Castleton Avenue Paving Balance 1/1/60
937.46
Payments:
Retainer Fee
180.91
Tr. to Mary Lee Brook
756.55
937.46
School Lane Construction
Balance 1/1/60
591.31
Payments:
Retainer Fee
174.93
Tr. to Mary Lee Brook
416.38
591.31
School Balances Tr. to School Improvements
Stetson School Sidewalks
765.15
Cafeteria Wall, H. S.
170.97
Workshop Wall, H. S.
163.89
Painting Belcher School
74.50
Devine School Hot Water System
914.58
2,089.09
School Custodians-Salaries Appropriation
84,174.00
Payments:
Salaries
84,173.89
Balance to Revenue
.11
84,174.00
School Building Maintenance
Appropriation
58,400.00
Payments:
Fuel
19,364.83
Gas & Lights
19,839.80
Supplies
3,939.83
Bldg. Repairs & Grounds
10,446.54
Equipment Maintenance
4,234.71
57,825.71
To Accounts Payable
467.48
Balance to Revenue
106.81
58,400.00
208
TOWN OF RANDOLPH, MASSACHUSETTS
School Improvements Balance 1/1/60 Appropriation Tr. from unexpended balances of 1959
3,027.20
15,813.41
2,089.09
20,929.70
Payments:
Contract Payments
11,719.61
Tile Work
685.00
Labor
530.88
Equipment Hire
531.00
Other Expenses
5,216.81
18,683.30
Balance to 1961
2,246.40
20,929.70
Devine School Playground Appropriation
3,000.00
Balance 1/1/60
262.00
3,262.00
Payments:
Labor
496.53
Equipment Hire
948.00
Materials
1,132.55
2,577.08
Balance to 1961
684.92
3,262.00
Water-Salaries
Appropriation
48,269.00
Payments:
Water Commissioners
650.00
Superintendent
6,677.00
Principal Clerk
4,117.00
Junior Clerk
3,232.08
Overtime
231.00
Labor
31,560.37
Longevity
405.00
46,872.45
Balance to Revenue
296.55
Balance to 1961
1,100.00
48,269.00
Water-Expense
Appropriation
14,350.00
Payments:
Administration Expense
193.28
Telephone
529.55
Maint. of Equipment
229.06
Equipment Hire
3,963.50
209
ONE HUNDRED AND TWENTY-FIFTH ANNUAL REPORT
Maintenance Supplies Other Expenses Use of Car
8,077.24
538.46
500.00
14,031.09
Balance to Revenue
318.91
14,350.00
Out of State Travel Appropriation Balance to Revenue
100.00
100.00
Water Meters
Appropriation
7,000.00
Payments: Meters Balance to 1961
6,678.10
321.90
7,000.00
Water-New Truck
Transfer from E & D
3,500.00
Payments:
Truck
3,276.69
Balance to 1961
223.31
3,500.00
Water-New Standpipe Bond Issue
150,000.00
Payments:
Contract Payments
30,773.27
Standpipe
52,210.00
Equipment Hire
15,414.90
Materials
24,998.63
123,396.80
Balance to 1961
26,603.20
150,000.00
Water-Joint Account-Capital Outlay Balance 1/1/60
78.75
Balance to 1961
78.75
New Well Account
Balance 1/1/60
4,161.57
Payment to Holbrook
4,161.57
Water-Land Taking Joint Account Well Account From Holbrook
4,161.57
6,483.83
10,645.40
210
TOWN OF RANDOLPH, MASSACHUSETTS
Payment: Land Taking
10,645.40
Water-Joint Account
Balance 1/1/60
5,046.98
Appropriation From Holbrook
4,839.00
39,886.02
Payments:
Labor
907.60
Telephone
168.73
Light & Power
9,612.07
Equipment Hire
539.00
Materials & Supplies
4,830.66
Plant Maint.
1,193.92
Fuel
11,386.22
Other Expenses
7,345.52
35,983.72
Balance to 1961
3,902.30
39,886.02
Joint Account-Painting Standpipe Balance 1/1/60 Appropriation
6,863.15
1,500.00
8,363.15
Balance to 1961
8,363.15
Water Main-North Main St.
Balance 1/1/60
4,936.00
Contract Payments
4,936.00
Water-Flouridating Machine
Balance 1/1/60
1,150.00
Balance to 1961
1,150.00
Water-Eminent Domain
Balance 1/1/60
279.35
Balance to 1961
279.35
Sewerage-Salaries
Appropriation
7,613.00
Payments:
Commissioners
4,300.00
Clerk
3,213.00
7,513.00
Balance to Revenue
100.00
7,613.00
211
30,000.00
ONE HUNDRED AND TWENTY-FIFTH ANNUAL REPORT
Sewerage-Administration Expense Appropriation Payments: Telephone Office Supplies
800.00
242.52
469.50
712.02
Balance to Revenue
87.98
800.00
Sewerage-Eminent Domain Balance 1/1/60 Balance to 1961
2,500.00
2,500.00
Sewerage-Construction
Balance 1/1/60
144,750.64
From E & D Bond Issues
1,570,000.00
1,722,750.64
Payments:
Contract Payments
1,572,521.17
Engineer's Salary
7,903.79
Engineer's Use of Car
499.92
Administration Exp.
431.69
Outside Engineering
6,709.00
1,588,065.57
Balance to 1961
134,685.07
1,722,750.64
Tree Warden-Salary Appropriation Salary
2,400.00
2,400.00
Tree-Labor
Appropriation
5,500.00
Payments:
Wages
5,499.42
Balance to Revenue
.58
5,500.00
Tree-Expense
Appropriation
1,450.00
Payments:
Supplies
275.05
Maint. of Equipment
97.95
Truck Hire
1,077.00
1,450.00
212
8,000.00
TOWN OF RANDOLPH, MASSACHUSETTS
Tree Planting Appropriation
1,000.00
Payments:
90.00
Truck Hire Trees
861.52
951.52
Balance to Revenue
48.48
1,000.00
Tree-Garage
Appropriation
8,500.00
Payments:
Contract Payments
8,345.00
Other Expenses
155.00
8,500.00
Moth-Labor
Appropriation
1,300.00
Wages
1,300.00
Moth-Expense
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