Randolph town reports 1960-1963, Part 13

Author:
Publication date: 1960
Publisher: Town of Randolph
Number of Pages: 968


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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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