USA > Massachusetts > Middlesex County > Somerville > Report of the city of Somerville 1895 > Part 6
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57,002.42 6,000.00 25,000.00
Police Station, land (15,232 feet) and building
45,000.00
Furniture .
3,000.00
Police-signal system and apparatus .
8,000.00
Prospect street, land (7,918 feet) and building
Broadway Park (cost $212,993.20)
125,000.00
Joy street, land (2,960 feet) .
500.00
Walnut Hill, land (10,980 feet)
1,000.00
Elm street, land (18,000 feet)
6,000.00
Webster avenue, land (11,050 feet)
4,241.50
Washington street, land Wyatt's Pit (126,689.7 feet)
4,012.27
Holland street, land (5 acres, 6,806 feet) .
20,000.00
Gravel land in Waltham (about 35 acres)
15,000.00
Gravel land in Wakefield (about 1} acres) .
5,000.00
Gravel land rear North street (about 510% acres) 4,000.00
Nathan Tufts Park (about 410% acres)
47,649.28
Somerville Water Works cost
667,976.93
Oliver street, land (63,069 feet)
7,500.00 800.00
English High Schoolhouse and contents, unfinished
134,735.66
William H. Hodgkins Schoolhouse, land (35,034 feet) and building unfinished
22,520.22
Total amount of public property
$2,356,620.40
Whipple street, land (15,240 feet)
48,000.00
7,000.00
30
ANNUAL REPORTS.
TABLE B.
FUNDED DEBT DECEMBER 31, 1895.
CITY LOAN BONDS.
DATE.
Number of Bonds.
Rate per
cent. of
Interest.
When Due.
Denomi- nation.
Amount.
January 1, 1892
1,254 to 1,263
4
Jan. 1, 1896
$1,000
$10,000
July 1, 1894
1,593 to 1,601
4
July 1, 1896
1,000
9,000
July 1, 1895
1,734 to 1,752
4
July 1, 1896
1,000
19,000
October 1, 1889
944 to 948
4
Oct. 1, 1896
1,000
5,000
October 1, 1890
1,053 to 1,062
4
Oct. 1, 1896
1,000
10,000
October 1, 1890
1,123 to 1,126
4
Oct. 1, 1896
1,000
4,000
October 1, 1891
1,175 to 1,181
4
Oct. 1, 1896
1,000
7,000
October 1, 1893
1,373 to 1,396
41
Oct. 1, 1896
1,000
24,000
January 1, 1892
1,264 to 1,273
4
Jan. 1, 1897
1,000
10,000
July 1, 1888
910 to 913
4
July 1, 1897
1,000
4,000
July 1, 1894
1,602 to 1,610
4
July 1, 1897
1,000
9,000
July 1, 1895
1,753 to 1,771
4
July 1, 1897
1,000
19,000
October 1, 1889
949 to 969
4
Oct. 1, 1897
1,000
21,000
October 1, 1890
1,063 to 1,072
4
Oct. 1, 1897
1,000
10,000
October 1, 1890
1,127 to 1,130
4
Oct. 1, 1897
1,000
4,000
October 1, 1891
1,182 to 1,188
4
Oct. 1, 1897
1,000
7,000
October 1, 1893
1,397 to 1,420
43
Oct. 1, 1897
1,000
24,000
January 1, 1892
1,274 to 1,283
4
Jan. 1, 1898
1,000
10,000
July 1, 1894
1,611 to 1,619
4
July 1, 1898
1,000
9,000
July 1, 1895
1,772 to 1,790
4
July 1, 1898
1,000
19,000
October 1, 1889
970 to 993
4
Oct. 1, 1898
1,000
24,000
October 1, 1890
1,073 to 1,082
4
Oct. 1, 1898
1,000
10,000
October 1, 1890
1,131 to 1,134
4
Oct. 1, 1898
1,000
4,000
October 1, 1891
1,189 to 1,195
4
Oct. 1, 1898
1,000
7,000
October 1, 1893
1,421 to 1,444
4元
Oct. 1, 1898
1,000
24,000
January 1, 1892
1,284 to 1,293
4
Jan. 1, 1899
1,000
10,000
July 1, 1894
1,620 to 1,628
4
July 1, 1899
1,000
9,000
Amount
carried forward
$322,000
31
D - APPENDIX TO TREASURER AND COLLECTOR'S REPORT.
TABLE B .- CITY LOAN BONDS. - Continued.
DATE.
Number of Bonds.
Rate per cent. of Interest.
When Due.
Denomi- nation.
Amount.
Amount
brought forward
4
July 1, 1899
$1,000
19,000
October 1, 1889
994 to 1,002
4
Oct. 1, 1899
1,000
9,000
October 1, 1890
1,083 to 1,092
4
Oct. 1, 1899
1,000
10,000
October 1, 1890
1,135 to 1,138
4
Oct. 1, 1899
1,000
4,000
October 1, 1891
1,196 to 1,202
4
Oct. 1, 1899
1,000
7,000
October 1, 1893
1,445 to 1,468
41
Oct. 1, 1899
1,000
24,000
January 1, 1892
1,294 to 1,303
4
Jan. 1, 1900
1,000
10,000
July 1, 1894
1,629 to 1,637
4
July 1, 1900
1,000
9,000
July 1, 1895
1,810 to 1,827
4
July 1, 1900
1,000
18,000
October 1, 1890
1,093 to 1,102
4
Oct. 1, 1900
1,000
10,000
October 1, 1890
1,139 to 1,142
4
Oct. 1, 1900
1,000
4,000
October 1, 1891
1,203 to 1,208
4
Oct. 1, 1900
1,000
6,000
October 1, 1893
1,469 to 1,492
41
Oct. 1, 1900
1,000
24,000
January 1, 1892
1,304 to 1,313
4
Jan. 1, 1901
1,000
10,000
July 1, 1894
1,638 to 1,646
4
July 1, 1901
1,000
9,000
July 1, 1895
1,828 to 1,845
4
July 1, 1901
1,000
18,000
October 1, 1890
1,143 to 1,146
4
Oct. 1, 1901
1,000
4,000
October 1, 1891
1,209 to 1,211
4
Oct. 1, 1901
1,000
3,000
October 1, 1893
1,493 to 1,516
43
Oct. 1, 1901
1,000
24,000
January 1, 1892
1,314 to 1,323
4
Jan. 1, 1902
1,000
10,000,
July 1, 1894
1,647 to 1,655
4
July 1, 1902
1,000
9,000
July 1, 1895
1,846 to 1,863
4
July 1, 1902
1,000
18,000
October 1, 1891
1,212 to 1,214
4
Oct. 1, 1902
1,000
3,000
October 1, 1893
1,517 to 1,546
42
Oct. 1, 1902
1,000
30,000
July 1, 1894
1,656 to 1,664
4
July 1, 1903
1,000
9,000
July 1, 1895
1,864 to 1,881
4
July 1, 1903
1,000
18,000
October 1, 1891
1,215 to 1,217 4
Oct. 1, 1903
1,000
3,000
October 1, 1893
1,547 to 1,581
43
Oct. 1, 1903
1,000
35,000
July 1, 1894
1,665 to 1,673
4
July 1, 1904
1,000
9,000
July 1, 1895
1,882 to 1,899
4
July 1, 1904
1,000
18,000
Amount
carried forward
$706,000
.
.
$322,000
July 1, 1895
1,791 to 1,809
32
ANNUAL REPORTS.
TABLE B .- CITY LOAN BONDS. - Concluded.
DATE.
Number of Bonds.
Rate per cent. of
Interest.
When Due.
Denomi- nation.
Amount.
Amount
brought forward .
$706,000
October 1, 1891
1,218 to 1,220
4
Oct. 1, 1904
$1,000
3,000
July 1, 1894
1,674 to 1,679
4
July 1, 1905
1,000
6,000
July 1, 1895
1,900 to 1,917
4
July 1, 1905
1,000
18,000
October 1, 1891
1,221 to 1,223
4
Oct. 1, 1905
1,000
3,000
July 1, 1894
1,680 to 1,685
4
July 1, 1906
1,000
6,000
July 1, 1895
1,918 to 1,932
4
July 1, 1906
1,000
15,000
July 1, 1894
1,686 to 1,691
4
July 1, 1907
1,000
6,000
July 1, 1895
1,933 to 1,947
4
July 1, 1907
1,000
15,000
July 1, 1894
1,692 to 1,697
4
July 1, 1908
1,000
6,000
July 1, 1895
1,948 to 1,962
4
July 1, 1908
1,000
15,000
July 1, 1894
1,698 to 1,703
4
July 1, 1909
1,000
6,000
July 1, 1895
1,963 to 1,976
4
July 1, 1909
1,000
14,000
July 1, 1894
1,704 to 1,709
1
July 1, 1910
1,000
6,000
July 1, 1895
1,977 to 1,990
4
July 1, 1910
1,000
14,000
July 1, 1894
1,710 to 1,715
4
July 1, 1911
1,000
6,000
July 1, 1895
1,991 to 2,004
4
July 1, 1911
1,000
14,000
July 1, 1894
1,716 to 1,721
4
July 1, 1912
1,000
6,000
July 1, 1895
2,005 to 2,018
4
July 1, 1912
1,000
14,000
July 1, 1894
1,722 to 1,727
4
July 1, 1913
1,000
6,000
July 1, 1895
2,019 to 2,031
4
July 1, 1913
1,000
13,000
July 1, 1894
1,728 to 1,733
4
July 1, 1914
1,000
6,000
July 1, 1895
2,032 to 2,044
4
July 1, 1914
1,000
13,000
July 1, 1895
2,045 to 2,057
4
July 1, 1915
1,000
13,000
Total
amount of City
Loan Bonds .
$930,000
33
D- APPENDIX TO TREASURER AND COLLECTOR'S REPORT.
TABLE B.
SEWER LOAN BONDS.
DATE.
Number of Bonds.
Rate per
cent. of Interest.
When Due.
Denomi- nation.
Amount.
July 1, 1876
1 to 7
5
July 1, 1896
$5,000
$35,000
July 1, 1894
55
4
July 1, 1896
1,000
1,000
October 1, 1893
38
41
Oct. 1, 1896
1,000
1,000
July 1, 1894
56
4
July 1, 1897
1,000
1,000
October 1, 1893
39
4₺
Oct. 1, 1897
1,000
1,000
July 1, 1894
57
4
July 1, 1898
1,000
1,000
October 1, 1893
40
43
Oct. 1, 1898
1,000
1,000
July 1, 1894
58
4
July 1, 1899
1,000
1,000
October 1, 1893
41
42
Oct. 1, 1899
1,000
1,000
July 1, 1894
59
4
July 1, 1900
1,000
1,000
October 1, 1893
42
43
Oct. 1, 1900
1,000
1,000
July 1, 1894
60
4
July 1, 1901
1,000
1,000
October 1, 1893
43
41
Oct. 1, 1901
1,000
1,000
July 1, 1894
61
4
July 1, 1902
1,000
1,000
October 1, 1893
44
41
Oct. 1, 1902
1,000
1,000
July 1, 1894
62
4
July 1, 1903
1,000
1,000
October 1, 1893
45
41
Oct. 1, 1903
1,000
1,000
July 1, 1894
63
4
July 1, 1904
1,000
1,000
October 1, 1893
46
43
Oct. 1, 1904
1,000
1,000
July 1, 1894
64
4
July 1, 1905
1,000
1,000
October 1, 1893
47
41
Oct. 1, 1905
1,000
1,000
July 1, 1894
65
4
July 1, 1906
1,000
1,000
October 1, 1893
48
43
Oct. 1, 1906
1,000
1,000
July 1, 1894
66
4
July 1, 1907
1,000
1,000
October 1, 1893
49
41
Oct. 1, 1907
1,000
1,000
July 1, 1894
67
4
July 1, 1908
1,000
1,000
October 1, 1893
50
43
Oct. 1, 1908
1,000
1,000
Amount
carried forward
·
$61,000
34
ANNUAL REPORTS.
TABLE B .- SEWER LOAN BONDS. - Continued.
DATE.
Number of Bonds.
Rate per
cent. of
Interest.
When Due.
Denomi- nation.
Amount.
Amount
brought forward
$61,000
July 1, 1894
68
4
July 1, 1909
$1,000
1,000
October 1, 1893
51
41
Oct. 1, 1909
1,000
1,000
July 1, 1894
69
4
July 1, 1910
1,000
1,000
October 1, 1893
52
4.3
Oct. 1, 1910
1,000
1,000
July 1, 1894
70
4
July 1, 1911
1,000
1,000
October 1, 1893
53
42
Oct. 1, 1911
1,000
1,000
July 1, 1894
71
4
July 1, 1912
1,000
1,000
July 1, 1894
72
4
July 1, 1913
1,000
1,000
July 1, 1894
73
4
July 1, 1914
1,000
1,000
Total
amount of Sewer Loan Bonds
$70,000
·
35
D - APPENDIX TO TREASURER AND COLLECTOR'S REPORT.
TABLE B. - SEWER LOAN BONDS. - Concluded.
ISSUED UNDER AUTHORITY OF CHAPTER 357, ACTS OF 1895, BEYOND THE LIMIT FIXED BY LAW.
DATE.
Number of Bonds.
Rate per
cent. of Interest.
When Due.
Denomi- nation.
Amount.
July 1, 1895
74 to 77
4
July 1, 1896
$1,000
$4,000
July 1, 1895
78 to 81
4
July 1, 1897
1,000
4,000
July 1, 1895
82 to
85
4
July 1, 1898
1,000
4,000
July 1, 1895
86 to
89
4
July 1, 1899
1,000
4,000
July 1, 1895
90 to
93
4
July 1, 1900
1,000
4,000
July 1, 1895
94 to 97
4
July 1, 1901
1,000
4,000
July 1, 1895
98 to 101
4
July 1, 1902
1,000
4,000
July 1, 1895
102 to 105
4
July 1, 1903
1,000
4,000
July 1, 1895
106 to 109
4
July 1, 1904
1,000
4,000
July 1, 1895
110 to 113
4
July 1, 1905
1,000
4,000
July 1, 1895
114 to 116
4
July 1, 1906
1,000
3,000
July 1, 1895
117 to 119
4
July 1, 1907
1,000
3,000
July 1, 1895
120 to 122
4
July 1, 1908
1,000
3,000
July 1, 1895
123 to 125
4
July 1, 1909
1,000
3,000
July 1, 1895
126 to 128
4
July 1, 1910
1,000
3,000
July 1, 1895
129 to 131
4
July 1, 1911
1,000
3,000
July 1, 1895
132 to 134
4
July 1, 1912
1,000
3,000
July 1, 1895
135 to 137
4
July 1, 1913
1,000
3,000
July 1, 1895
138 to 140
4
July 1, 1914
1,000
3,000
July 1, 1895
141 to 143
4
July 1, 1915
1,000
3,000
July 1, 1895
144 to 146
4
July 1, 1916
1,000
3,000
July 1, 1895
147 to 149
4
July 1, 1917
1,000
3,000
July 1, 1895
150 to 152
4
July 1, 1918
1,000
3,000
July 1, 1895
153 to 155
4
July 1, 1919
1,000
3,000
July 1, 1895
156 to 158
4
July 1, 1920
1,000
3,000
July 1, 1895
159 to 161
4
July 1, 1921
1,000
3,000
July 1, 1895
162 to 164
4
July 1, 1922
1,000
3,000
July 1, 1895
165 to 167
4
July 1, 1923
1,000
3,000
July 1, 1895
168 to 170
4
July 1, 1924
1,000
3,000
July 1, 1895
171 to 173
4
July 1, 1925
1,000
3,000
Total amount of Sewer Loan Bonds under above
Act .
$100,000
36
ANNUAL REPORTS.
TABLE B.
CITY LOAN PAVING BONDS .- ISSUED UNDER AUTHORITY OF CHAPTER 153, ACTS OF 1892, BEYOND THE LIMIT FIXED BY LAW.
DATE.
Number of Bonds.
Rate per
cent. of Interest.
When Due.
Denomi- nation.
Amount.
October 1, 1892
16 to
20
4
Oct. 1, 1896
$1,000
$5,000
October 1, 1892
21 to
25
4
Oct. 1, 1897
1,000
5,000
October 1, 1892
26 to
30
4
Oct. 1, 1898
1,000
5,000
October 1, 1892
31 to
35
4
Oct. 1, 1899
1,000
5,000
October 1, 1892
36 to
40
4
Oct. 1, 1900
1,000
5,000
October 1, 1892
41 to
45
4
Oct. 1, 1901
1,000
5,000
October 1, 1892
46 to
50
4
Oct. 1, 1902
1,000
5,000
October 1, 1892
51 to
55
4
Oct. 1, 1903
1,000
5,000
October 1, 1892
56 to
60
4
Oct. 1, 1904
1,000
5,000
October 1, 1892
61 to
65
4
Oct. 1, 1905
1,000
5,000
October 1, 1892
66 to 70
4
Oct. 1, 1906
1,000
5,000
October 1, 1892
71 to
75
4
Oct. 1, 1907
1,000
5,000
October 1, 1892
76 to
80
4
Oct. 1, 1908
1,000
5,000
October 1, 1892
81 to
85
4
Oct. 1, 1909
1,000
5,000
October 1, 1892
86 to
90
4
Oct. 1, 1910
1,000
5,000
October 1, 1892
91 to 95
4
Oct. 1, 1911
1,000
5,000
October 1, 1892
96 to 100
4
Oct. 1, 1912
1,000
5,000
Total
amount of
Paving Bonds
$85,000
37
D - APPENDIX TO TREASURER AND COLLECTOR'S REPORT.
TABLE B.
WATER LOAN BONDS.
DATE.
Number of Bonds.
Rate per cent. of Interest.
When Due.
Denomi- nation.
Amount.
July 1, 1882
125 to 136
5
July 1, 1896
$1,000
$12,000
July 1, 1882
137
5
July 1, 1896
500
500
July 1, 1888
285
4
July 1, 1896
1,000
1,000
October 1, 1889
321 to 323
4
Oct. 1, 1896
1,000
3,000
October 1, 1890
403 to 404
4
Oct. 1, 1896
1,000
2,000
July 1, 1882
138 to 151
5
July 1, 1897
1,000
14,000
July 1, 1888
286
4
July 1, 1897
1,000
1,000
October 1, 1889
324 to 326
4
Oct. 1, 1897
1,000
3,000
October 1, 1890
405 to 406
4
Oct. 1, 1897
1,000
2,000
July 1, 1882
152 to 166
5
July 1, 1898
1,000
15,000
July 1, 1888
287
4
July 1, 1898
1,000
1,000
October 1, 1889
327 to 329
4
Oct. 1, 1898
1,000
3,000
October 1, 1890
407 to 408
4
Oct. 1, 1898
1,000
2,000
July 1, 1882
167 to 181
5
July 1, 1899
1,000
15,000
July 1, 1882
182
5
July 1, 1899
500
500
July 1, 1888
288
4
July 1, 1899
1,000
1,000
October 1, 1889
330 to 342
4
Oct. 1, 1899
1,000
13,000
October 1, 1890
409 to 410
4
Oct. 1, 1899
1,000
2,000
July 1, 1882
183 to 194
5
July 1, 1900
1,000
12,000
July 1, 1882
195
5
July 1, 1900
500
500
July 1, 1888
289
4
July 1, 1900
1,000
1,000
October 1, 1884
200 to 202
4
Oct. 1, 1900
1,000
3,000
October 1, 1889
343 to 344
4
Oct. 1, 1900
1,000
2,000
October 1, 1890
416 to 417
4
Oct. 1, 1900
1,000
2,000
October 1, 1892
a448 to a458
4
Oct. 1, 1900
1,000
11,000
Amount
carried forward
.
$122,500
38
ANNUAL REPORTS.
TABLE B .- WATER LOAN BONDS. - Continued.
DATE.
Number of Bonds.
Rate per
cent. of Interest.
When Due.
Denomi- nation.
Amount.
Amount brought forward
$122,500
July 1, 1888
290
4
July 1, 1901
$1,000
1,000
October 1, 1884
203 to 212
4
Oct. 1, 1901
1,000
10,000
October 1, 1892
a459 to 468
4
Oct. 1, 1901
1,000
10,000
July 1, 1885
214 to 219
4
July 1, 1901
1,000
6,000
October 1, 1889
345 to 346
4
Oct. 1, 1901
1,000
2,000
October 1, 1890
418 to 419
4
Oct. 1, 1901
1,000
2,000
July 1, 1885
220 to 226
4
July 1, 1902
1,000
7,000
July 1, 1886
229 to 238
4
July 1, 1902
1,000
10,000
October 1, 1889
347 to 348
4
Oct. 1, 1902
1,000
2,000
October 1, 1890
420 to 421
4
Oct. 1, 1902
1,000
2,000
October 1, 1892
469 to 475
4
Oct. 1, 1902
1,000
7,000
July 1, 1886
239 to 256
4
July 1, 1903
1,000
18,000
October 1, 1889
349 to 350
4
Oct. 1, 1903
1,000
2,000
October 1, 1890
448 to 449
4
Oct. 1, 1903
1,000
2,000
July 1, 1886
257 to 266
4
July 1, 1904
1,000
10,000
October 1, 1889
351 to 352
4
Oct. 1, 1904
1,000
2,000
October 1, 1890
450 to 451
4
Oct. 1, 1904
1,000
2,000
October 1, 1889
353 to 355
4
Oct. 1, 1905
1,000
3,000
October 1, 1890
452 to 453
4
Oct. 1, 1905
1,000
2,000
July 1, 1876
30 to 31
5를
July 1, 1906
1,000
10,000
October 1, 1889
356 to 358
4
Oct. 1, 1906
1,000
3,000
October 1, 1890
454 to 455
4
Oct. 1, 1906
1,000
2,000
July 1, 1886
267 to 276
4
July 1, 1907
1,000
10,000
July 1, 1888
291
4
July 1, 1907
1,000
1,000
October 1, 1889
359 to 361
4
Oct. 1, 1907
1,000
3,000
October 1, 1890
456 to 457
4
Oct. 1, 1907
1,000
2,000
July 1, 1888
292
4
July 1, 1908
1,000
1,000
October 1, 1889
362 to 364
4
Oct. 1, 1908
1,000
3,000
October 1, 1890
458 to 459
4
Oct. 1, 1908
1,000
2,000
July 1, 1888
293
4
July 1, 1909
1,000
1,000
October 1, 1889
365 to 367
4
Oct. 1, 1909
1,000
3,000
Amount
carried forward
.
$263,500
·
39
D - APPENDIX TO TREASURER AND COLLECTOR'S REPORT.
TABLE B .- WATER LOAN BONDS. - Concluded.
DATE.
Number of Bonds.
Rate per cent. of
Interest.
When Due.
Denomi- nation.
Amount.
Amount
brought forward
$263,500
October 1, 1890
423 to 424
4
Oct. 1, 1909
$1,000
2,000
July 1, 1888
294
4
July 1, 1910
1,000
1,000
October 1, 1889
368 to 370
4
Oct. 1, 1910
1,000
3,000
October 1, 1890
426 to 427
4
Oct. 1, 1910
1,000
2,000
July 1, 1888
295
4
July 1, 1911
1,000
1,000
October 1, 1889
371 to 373
4
Oct. 1, 1911
1,000
3,000
October 1, 1890
428 to 429
4
Oct. 1, 1911
1,000
2,000
July 1, 1888
296
4
July 1, 1912
1,000
1,000
October 1, 1889
374 to 376
4
Oct. 1, 1912
1,000
3,000
October 1, 1890
430 to 431
4
Oct. 1, 1912
1,000
2,000
July 1, 1888
297
4
July 1, 1913
1,000
1,000
October 1, 1889
377 to 379
4
Oct. 1, 1913
1,000
3,000
October 1, 1890
432 to 433
4
Oct. 1, 1913
1,000
2,000
July 1, 1888
298
4
July 1, 1914
1,000
1,000
October 1, 1889
380 to 382
4
Oct. 1, 1914
1,000
3,000
October 1, 1890
434 to 435 299
4
Oct. 1, 1914
1,000
2,000
July 1, 1888
4
July 1, 1915
1,000
1,000
October 1, 1889
383 to 384
4
Oct. 1, 1915
1,000
2,000
October 1,1890
436 to 437 300
4
Oct. 1, 1915
1,000
2,000
July 1, 1888
4
July 1, 1916
1,000
1,000
October 1, 1889
385 to 386
4
Oct. 1, 1916
1,000
2,000
October 1, 1890
438 to 439
4
Oct. 1, 1916
1,000
2,000
July 1, 1888
301
4
July 1, 1917
1,000
1,000
October 1, 1890
440 to 441 302
4
Oct. 1, 1917
1,000
2,000
October 1, 1889
389 to 390
4
Oct. 1, 1918
1,000
2,000
October 1, 1890
442 to 443
4
Oct. 1, 1918
1,000
2,000
October 1, 1889
391 to 392
4
Oct. 1, 1919
1,000
2,000
October 1, 1890
444 to 445
4
Oct. 1, 1919
1,000
2,000
October 1, 1890
446 to 447
4
Oct. 1, 1920
1,000
2,000
Total
amount of Water Lo an Bonds .
$321,500
.
.
October 1, 1889
387 to 388
4
Oct. 1, 1917
1,000
2,000
July 1, 1888
4
July 1, 1918
1,000
1,000
40
ANNUAL REPORTS.
RECAPITULATION.
City Loan Bonds
$930,000.00
Sewer Loan Bonds
70,000.00
Total amount of Funded Debt within the limit provided by law
$1,000,000.00
Sewer Loan Bonds, issued under Chapter 357, Acts of 1895
100,000.00
City Loan Paving Bonds, issued under Chapter 153, Acts of 1892
85,000.00
Total amount of Funded Debt outside of the limit allowed by law, issued under special Acts .
$185,000.00
Water Loan Bonds
321,500.00
Total amount of Funded Debt
$1,506,500.00
TABLE C.
STATEMENT OF ACCOUNTS SHOWING APPROPRIA- TIONS, EXPENDITURES, ETC., TO DECEMBER 31, 1895.
APPROPRIATIONS.
CREDIT.
Taxes, amount assessed
$638,450.00
Property and Debt balance
424,000.00
Amount carried forward
$1,062.450.00
41
D -APPENDIX TO TREASURER AND COLLECTOR'S REPORT.
Amount brought forward
$1,062.450.00
DEBIT.
Fire Department
$ 47,000.00
Fire Department, Central Fire Station
5,700.00
Fire Department, Fire Station, Ward One
17,700.00
Fire Department, Hook and Ladder Station
1,100.00
Health Department
21,000.00
Highways .
60,000.00
Highways, City Stable
6,000.00
Highways, Paving Medford street
27,400.00
Indigent Soldiers and Sailors
300.00
Interest
70,000.00
Miscellaneous
6,000.00
Police
23,000.00
Police Station Incidentals
3,000.00
Printing and Stationery
6,000.00
Public Grounds
7,000.00
Public Grounds, Wyatt's Pit
3,600.00
Public Library .
6,500.00
Public Library Improvement
3,000.00
Reduction of Funded Debt
76,000.00
Renewals of Funded Debt
177,000.00
Relief and Burial of Indigent Soldiers and Sailors
5,000.00
Salaries
37,500.00
School Contingent
18,000.00
School Contingent, Janitors' Salaries
12,000.00
School Fuel
9,000.00
Schoolhouse, English High
27,000.00
Schoolhouse, English High, Heating, Ventilating and Plumbing
1,000.00
Schoolhouse Incidentals .
13,000.00
Schoolhouse, O. S. Knapp Addition .
1,500.00
Schoolhouse, Ward Four .
53,000.00
School Teachers' Salaries .
134,000.00
Amounts carried forward · $878,300.00
$1,062,450.00
.
42
ANNUAL REPORTS,
Amounts brought forward
$878,300.00
$1,062,450.00
Sewers, Construction
50,000.00
Sewers
50,000.00
Sewers, Maintenance
7,000.00
Sidewalks .
10,000.00
Street Lights
45,000.00
Support of Poor
16,150.00
Watering Streets
6,000.00
1,062,450.00
CASH.
CREDIT.
County of Middlesex
$ 40,875.13
Fire Department
51,592.11
Fire Department, Central Fire Station
9,068.87
Fire Department, Central Fire Station, Electrical Apparatus and Furniture
3,142.27
Fire Department, Hook and Ladder Station
1,802.23
Fire Department, Fire Station, Ward One
8,491.78
Funded Debt
262,000.00
Health Department ·
28,828.07
Highways .
67,023.66
Highways, City Stable
9,529.12
Highways, Paving Medford street
10,459.12
Indigent Soldiers and Sailors
648.00
Interest
59,342.61
Overlay and Abatement
18,495.04 94.20
Police
54,244.29
Police Station Incidentals
2,852.40
Printing and Stationery .
6,666.25
Public Grounds, Wyatt's Pit
4,012.27
Public Grounds
10,173.51
Public Library .
9,306.49
Public Library Improvement
5,967.58
Relief and Burial of Indigent Soldiers and Sailors
6,478.52
Salaries
$37,773.04
Amount carried forward .
$708,866.56
.
Miscellaneous
43
D - APPENDIX TO TREASURER AND COLLECTOR'S REPORT.
Amount brought forward
$708,866.56
School Contingent
21,118.36
School Contingent, Janitors' Salaries
13,268.59
School Fuel
9,620.23
Schoolhouse, Edgerly Addition
565.50
Schoolhouse, English High
65,526.02
Schoolhouse, High and English High, Heating, Ven- tilating and Plumbing
8,309.96
Schoolhouse Incidentals
15,331.25
Schoolhouse, O. S. Knapp Addition
4,233.21
Schoolhouse, Ward Four, south side F. R. R.
689.00
Schoolhouse, Ward Four .
22,520.22
School Teachers' Salaries
139,712.87
Sewers, Construction
22,297.67
Sewers, Maintenance
9,897.15
Sidewalks
20,184.33
State Aid
7,466.50
State of Massachusetts
25,890.00
State of Massachusetts, Metropolitan Sewer
29,872.56
State of Massachusetts, Non-resident Bank Stock
806.96
Street Lights
46,478.27
Sundry Persons
1,855.00
Support of Poor
20,755.46
Temporary Loans
606,000.00
Water Loan Interest
14,185.00
Water Maintenance
33,262.69
Water Services
4,975.05
Watering Streets
14,791.71
Water Works Extension
32,750.60
Balance to debit in account 1896
73,103.06
$1,974,333.78
DEBIT.
Balance from 1894 .
$ 37,713.22
City of Boston, Water Rates
89,431.46
Fire Department
137.02
Funded Debt
424,000.00
Amounts carried forward
$551,281.70
$1,974,333.78
44
ANNUAL REPORTS.
Amounts brought forward .
$551,281.70
$1,974,333.78
Health Department .
1,640.36
Highways
.7,600.13
Highways, Paving Medford street
108.53
Interest
27,918.79
Miscellaneous
5,396.54
Overlay and Abatement
.
18.00
Police
29,698.05
Police Station Incidentals
300.00
Public Grounds
6.00
Public Library .
2,917.28
Salaries
924.49
School Contingent
300.24
School Contingent, Janitors' Salaries
847.50
School Fuel
727.75
Schoolhouse, English High
1,100.93
Sewer Assessments .
11,067.19
Sewers, Construction
772.58
Sewers, Maintenance
327.46
Sidewalks
13.58
Sidewalk Assessments
9,679.73
State Aid
22.00
State of Massachusetts, Burial of
Indigent Soldiers and Sailors
157.50
State of Massachusetts, Indigent Soldiers and Sailors .
296.00
State of Massachusetts, State Aid
7,436.00
Street Lights
6.00
Support of Poor
3,902.57
Taxes
719,067.70
Temporary Loans
575,000.00
Water Maintenance
356.18
Water Services
365.05
Water Service Assessments
6,246.75
Watering Streets
8,088.04
Water Works Extension
743.16
$1,974,333.78
45
D - APPENDIX TO TREASURER AND COLLECTOR'S REPORT.
CITY OF BOSTON, WATER RATES.
CREDIT.
Cash, received of City of Boston, return on water
$89,431.46 rates
DEBIT.
Water Maintenance, amount trans- ferred
$35,000.00
Water Works Extension, amount transferred 30,000.00
Water Loan Interest, amount trans- ferred 14,250.00
Reduction of Funded Debt, amount transferred
10,181.46
$89,431.46
COUNTY OF MIDDLESEX.
CREDIT.
Taxes, amount assessed .
.
$40,875.13
DEBIT.
Cash, paid County tax
$40,875.13
.
EXCESS AND DEFICIENCY.
CREDIT. Fire Department, Central Fire Station, credit bal- ance of account
$344.70
Fire Department, Central Fire Station, Electrical Apparatus and Furniture, credit balance of account 1.41
Fire Department, Chemical Engine and Equipment, credit balance of account 501.47
. Amount carried forward
·
.
$847.58
46
ANNUAL REPORTS.
Amount brought forward $ 847.58
Fire Department, Hook and Ladder Station, credit balance of account . 65.29
Fire Department, Hook and Ladder Station, Equip-
ment and Furniture, credit balance of account 31.00
Highways, credit balance of account
576.47
Highways, City Stable, credit balance of account
619.00
Interest, credit balance of account
37,918.06
· Police Station Incidentals, credit balance of account Public Library Improvement, credit balance of ac- count
447.60
32.42
Salaries, credit balance of account
651.45
School Fuel, credit balance of account
107.52
Schoolhouse, Edgerly Addition, credit balance of ac- count .
53.98
Schoolhouse, O. S. Knapp Addition, credit balance of account
143.33
$41,493.70
DEBIT.
Fire Department, debit balance of account ·
$4,455.09
Health Department, debit balance of account 6,187.71
Indigent Soldiers and Sailors, debit balance of account
24.00
Miscellaneous, debit balance of ac- count
7,014.00
Police, debit balance of account
1,546.24
Printing and Stationery, debit balance of account
666.25
Public Grounds, debit balance of ac- count
1,070.95
Public Grounds, Wyatt's Pit, debit balance of account
412.27
Relief and Burial of Indigent Soldiers and Sailors, debit balance of account
1,198.52
Amounts carried forward . $22,575.03
$41,493.70
47
D - APPENDIX TO TREASURER AND COLLECTOR'S REPORT.
Amounts brought forward . $22,575.03 $41,493.70
School Contingent, debit balance of account School Contingent, Janitors' Salaries, debit balance of account 421,09
2,818.12
Schoolhouse, English High, debit balance of account 128.42
Schoolhouse, High and English High, Heating, Ventilating, and Plumbing, debit balance of account .
107.24
Schoolhouse Incidentals, debit bal- ance of account 2,331.25
Schoolhouse, Ward Four, south side F. R. R., debit balance of account .
634.49
School Teachers' Salaries, debit bal- ance of account 5,712.87
Sewers Maintenance, debit balance of account
2,569.69
Sidewalks, debit balance of account Street Lights, debit balance of ac- count ·
85.34
1,472.27
Support of Poor, debit balance of account 702.89
Watering streets, debit balance of account ·
703.67
Balance to credit in account 1896
.
1,231.33
$41.493.70
FIRE DEPARTMENT.
CREDIT.
Appropriations, amount assessed
$47,000.00
Cash, received of Frank X. Williams, old copper, zinc, etc. $87.02
Amounts carried forward $87.02
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