Report of the city of Somerville 1897, Part 6

Author: Somerville (Mass.)
Publication date: 1897
Publisher: Somerville, Mass.
Number of Pages: 870


USA > Massachusetts > Middlesex County > Somerville > Report of the city of Somerville 1897 > Part 6


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Expenditures


Excess


·


PRINTING AND STATION-


ERY :-


Appropriations ·


6,500 00


Expenditures


7,035 03


Deficiency


535 03


PUBLIC GROUNDS :-


Appropriation


Transfers .


.


Care of Parkway, etc.


318 38


Expenditures


6,377 88


Deficiency ·


39 50


PUBLIC GROUNDS,


SANBORN FIELD :-


Appropriation, Funded Debt ac- count


Expended


33,000 00


87


REPORT OF THE TREASURER AND COLLECTOR OF TAXES.


33,000 00 ·


$2,500 00 500 00 $2,000 00


$2,699 55 45


6,000 00 20 00 6,020 00


.


Accounts. PUBLIC LIBRARY :-


Balance from 1896


$10 21


Appropriation


Dog licenses, fines, etc.


Expenditures ·


Balance to debit in 1898


$10,360 71 139 01.


REDUCTION OF FUNDED


DEBT :-


Balance from 1896 · Appropriation .


110,000 00


Premium on Bonds, etc.


26,895 01


Expenditures ·


136,000 00 6,823 36


RENEWALS OF FUNDED


DEBT :-


Appropriation, Funded Debt ac- count ·


· Bonds renewed


.


.


Appropriations. . Credits.


Expenditures and Balances.


88


14,000 00


14,000 00


ANNUAL REPORTS.


5,928 35


.


Balance to 1898 ·


$7,500 00


2,711 49


Accounts. RELIEF AND BURIAL OF IN- DIGENT SOLDIERS AND SAILORS :-


Appropriations.


Credits.


Expenditures and Balances.


Appropriation Transfers


$7,000 00


Burials, etc.


$301 00


Expenditures


$9,234 86 433 86


SALARIES :-


Appropriation


10,000 00


Corporation taxes


28,730 52


Expenditures


Excess .


31,300 00 7,430 52


SCHOOL CONTINGENT :-


Appropriation


Transfers


Tuition, etc.


.


. Expenditures .


.


18,000 00 700 00 18,700 00


308 20


Deficiency .


·


REPORT OF THE TREASURER AND COLLECTOR OF TAXES.


19,522 07 513 87 89


-


-


.


1,500 00 $8,500 00


.


Deficiency


.


Appropriations.


Credits.


Expenditures and Balances.


90


Accounts. SCHOOL CONTINGENT, JANI- TORS' SALARIES :-


Appropriation


·


Transfers


Expenditures ·


.


.


Excess


SCHOOL FUEL :-


Appropriation


10,000 00


Transfers ·


100 00 10,100 00


Expenditures .


Deficiency


SCHOOLHOUSE,


ENGLISH


HIGH :-


Appropriation, Funded Debt ac- count


500 00


Expenditures .


·


SCHOOLHOUSE INCIDEN-


:. .. -


TALS :- Appropriation


Transfers ·


.


16,000 00 2,500 00 18,500 00


Labor, materials, etc. · . Expenditures


$540 25


20,541 77 1,501 52


ANNUAL REPORTS.


. Deficiency ·


.


·


10,170 69


·


70 69


.


$16,500 00 1,430 11 $17,930 11


$17,782 66 147 45


·


·


500 00


;


Accounts SCHOOLHOUSE, LAND, SPRING HILL DISTRICT :- Balance from 1896 Transfers


Appropriations. Credits.


Expenditures and Balances.


$500 00


500 00


SCHOOLHOUSE, LAND, WARD THREE :-


Balance from 1896 ·


·


.


6,000 00


Transfers ·


6,000 00


SCHOOLHOUSE, LAND, WARD TWO :-


Appropriation, Funded Debt ac- count


.


Transfers · .


.


Balance to 1898


$94 75 ·


SCHOOLHOUSE


SPRING


HILL DISTRICT :-


Appropriation, Funded Debt ac- count


·


53,500 00


Transfers .


1,000 00


54,500 00


$500 00


22,079 43


. Balance to 1898


32,920 57 91


.


.


-


REPORT OF THE TREASURER AND COLLECTOR OF TAXES.


-


·


.


.


.


10,000 00 9,905 25 $94 75


.


· Expenditures .


Accounts. SCHOOLHOUSE, WARD ONE :- Balance from 1896 Appropriation, Funded Debt ac-


Appropriations. Credits.


Expenditures and Balances. 92


$19,002 22


count ·


·


·


Transfers


.


Expenditures


·


Excess


·


SCHOOL TEACHERS' SAL --


ARIES :-


Appropriation ·


165,000 00


Transfers .


.


·


Salary refunded


6 00


Expenditures


174,063 80 7,894 19


SEWERS, CONSTRUCTION :- Balance from 1896 ·


27,809 83


Appropriation, Funded Debt ac- count .


25,000 00


State of Massachusetts, etc. ·


2,513 42


Expenditures (less assessments $4,586.77)


Balance to 1898 .


36,048 90 19,274 35


ANNUAL REPORTS.


Excess


.


.


-


16,951 99 181,951 99


.


$5,000 00 600 00 $5,600 00


$24,597 41 4 81


Accounts. SEWERS, MAINTENANCE :-


Appropriations.


Credits.


Expenditures and Balances.


Appropriation ·


·


$6,000 00 2,900 00 $8,900 00


Labor, materials, etc. .


.


Expenditures


Deficiency


SIDEWALKS :-


Appropriation .


.


Transfers . .


.


Edgestones, etc.


7 66


Expenditures (less


assessments $10,810.57)


10,873 86


STATE OF MASSACHU- SETTS :- Appropriation ·


30,205 00


Expended, State tax


30,205 00


STATE OF MASSACHUSETTS, METROPOLITAN SEWER ASSESSMENT :- Appropriation · Expended, Sewer tax, 1896 and 1897 ·


78,921 31


78,921 31


93


REPORT OF THE TREASURER AND COLLECTOR OF TAXES.


Transfers


.


$404 50


$9,329 34 24 84


10,000 00 866 20 10,866 20


·


Accounts. STATE OF MASSACHUSETTS, NON- RESIDENT BANK STOCK :-


Appropriation Expended, tax on non-resident stock


$989 99


$989 99


STREET LIGHTS :-


Appropriation


45.000 00


Old lamp posts ·


$3 00


Expenditures


Deficiency


48,334 54 3,331 54


SUPPORT


OF POOR :-


Appropriation


Transfers


.


·


.


3,697 68


25,681 47 1,483 79


ANNUAL REPORTS.


Appropriations. Credits.


Expenditures and Balances.


94


·


$18,000 00 2,500 00 20,500 00


Aid furnished Expenditures Deficiency


.


Accounts. WATER MAINTENANCE :-


Appropriations. Credits.


Expenditures and Balances.


Appropriation from Income of Water Works ·


$56,000 00


Labor, materials, etc. ·


7,810 81


Water Services


802 43


$64,613 24


Transfers


105 31


Expenditures


$64,507 93


WATER LOAN INTEREST :-


Appropriation from Income of Water Works ·


Expenditures


12,930 00


WATERING STREETS :-


Appropriation .


.


3,500 00


12,962 12


$16,462 12


426 33


16,726. 53 161 92 95


REPORT OF THE TREASURER AND COLLECTOR OF TAXES.


$64,507 93


12,930 00


·


Assessed to abutters


.


Received of abutters, etc. ·


.


·


Expenditures


.


.


Excess


.


·


.


·


·


Appropriations. Credits.


Expenditures and Balances.


96


Accounts.


WATER WORKS


EXTEN- SION :-


Appropriation from Income of Water Works . · Expenditures


$10,000 00


$10,000 00


$1,089,082 81


$255,942 67


$1,345,025 48


255,942 67


$1,345,025 48


$1,345,025 48


ANNUAL REPORTS.


97


REPORT OF THE TREASURER AND COLLECTOR OF TAXES.


RECAPITULATION.


Appropriations as per tax levy . $913,574 42


Appropriations, Funded Debt .


167,000 00


Income from Water Works 99,688 57


National Bank and Corporation Taxes .


28,647 19


Court fees, fines, etc.


4,878 02


County of Middlesex, licenses


dog


2,230 69


Unexpended balances of 1896


67,512 54


Received from all other sources


52,985 66


Excess and deficiency, balance to debit


8,369 38


Public Library, balance to debit


139 01


Expenditures


$1,284,574 68


Unexpended balances to 1898


60,450 80


$1,345,025 48


$1,345,025 48


The assets of the city available for the payment of its un- funded liabilities are as follows :-


Cash


$90,433 87


Public Library


139 01


Real Estate liens


2,380 22


Sewer assessments


7,954 62


Sidewalk assessments


3,488 02


State of Massachusetts, Burial of Indigent Sol- diers and Sailors .


245 00


State of Massachusetts, Indigent Soldiers and Sailors


353 00


State of Massachusetts, State aid


9,137 50


Taxes .


316,768 16


Watering Streets assessments


796 00


Total amount of assets .


$431,695 40


Excess of liabilities over available assets


8,369 38


$440,064 78


.


98


ANNUAL REPORTS.


The liabilities are :-


Fire Department, Fire Station No. 3, Improve- ment


$52 00


Highways, Paving Somerville Avenue from Park Street Westerly 466 28


Highways, Subway at Kent Street 257 99


Highways, Subway at Sacramento Street 561 50 .


Overlay and Abatement


2,539 04


Overplus on Tax Sales


157 13


Public Library, Isaac Pitman Fund


1,000 00


Reduction of Funded Debt


6,823 36


Schoolhouse, Land in Ward Two


94 75


Schoolhouse, Spring Hill District


32,920 57


Sewers, Construction .


19,274 35


Sundry Persons


25,917 81


Temporary Loans


350,000 00


Total amount of unfunded liabilities $440,064 78


Total cash receipts for the year, including a bal-


ance of $55,333.45 from the year 1896 . $2,149,431 96


Total cash disbursements 2,058,998 09


Leaving in the treasury the sum of $90,433 87


A detailed statement of the public property, funded debt, and the receipts and disbursements of the various accounts will be found in the following appendix.


Respectfully submitted, JOHN F. COLE,


Treasurer and Collector of Taxes.


APPENDIX TO TREASURER AND COLLECTOR'S REPORT.


TABLE A.


PUBLIC PROPERTY DECEMBER 31, 1897.


Central - Hill land (13 acres


5,032 feet)


$200,000 00


City Hall


$40,662 73


Furniture


10,000 00


50,662 73


Public Library building


30,967 58


Public Library


25,000 00


55,967 58


City Hall Annex


21,587 43


Latin High Schoolhouse


52,000 00


Furniture


3,500 00


Philosophical apparatus


.


500 00


English High Schoolhouse


129,579 39


Furniture


5,000 00


Philosophical and manual


training apparatus


7,000 00


Prescott Schoolhouse, land (21,444 feet) and building .


45,000 00


Furniture


2,000 00


47,000 00


Amount carried forward


$572,797 13


·


.


56,000 00


141,579 39


100


ANNUAL REPORTS.


Amount brought forward $572,797 13


Luther V. Bell Schoolhouse, land (23,396 feet) and building


45,000 00


Furniture


2,000 00


47,000 00


Forster Schoolhouse, land (27,-


499 feet) and building ·


45,000 00


Furniture


2,000 00


47,000 00


Morse Schoolhouse, land (29,-


109 feet) and building 45,000 00


Furniture


2,000 00


47,000 00


Edgerly Schoolhouse, land (26,-


428 feet) and building ·


45,000 00


Furniture


2,000 00


47,000 00


Highland Schoolhouse, land (23,260 feet) and building 46,837 19


Furniture


2,000 00


48,837 19


Charles G. Pope Schoolhouse,


land (27,236 feet) and building . . .


60,000 00


Furniture


2,000 00


.


62,000 00


William H. Hodgkins School- house, land (35,034 feet) and building .


58,289 34


Furniture


2,500 00


.


60,789 34


Amount carried forward


$932,423 66


APPENDIX TO TREASURER AND COLLECTOR'S REPORT.


101


Amount brought forward


$932,423 66


Jacob T. Glines Schoolhouse, land (28,800 feet) and building .


71,560 71


Furniture


2,100 00


73,660 71


O. S. Knapp Schoolhouse, land (24,517 feet) and building ·


48,256 67


Furniture


2,000 00


Bingham Schoolhouse, land


(21,017 feet) and build- ing


36,506 87


Furniture


1,400 00


37,906 87


Sanford Hanscom Schoolhouse,


land (12,756 feet) and


building


43,632 19


Furniture


900 00


44,532 19


Davis Schoolhouse, land (38,-


152 feet) and building Furniture


25,000 00


700 00


25,700 00


George W. Durell Schoolhouse,


land (13,883 feet) and building .


16,179 10


Furniture .


700 00


16,879 10


Cummings Schoolhouse, land


(11,300 feet) and building Furniture


15,000 00


700 00


15,700 00


Amount carried forward


$1,197,059 20


50,256 67


102


ANNUAL REPORTS.


Amount brought forward $1,197,059 20


Prospect Hill Schoolhouse, land (25,315 feet) and building Furniture


20,000 00


1,000 00


21,000 00


Lincoln Schoolhouse, land (17,-


662 feet) and building Furniture


14,000 00


700 00


14,700 00


Jackson Schoolhouse, land (11,212 feet) and building Furniture


8,000 00


600 00


8,600 00


Bennett Schoolhouse, land (20,560 feet) and building Furniture


10,000 00


600 00


10,600 00


Harvard Schoolhouse, land


(9,810 feet) and building . Furniture .


3,500 00


100 00


3,600 00


Franklin Schoolhouse, land


15,000 00


(33,017 feet) and building Furniture


600 00


15,600 00


Spring Hill Schoolhouse, land


(4,991 feet) and building


1,500 00


Furniture


100 00


1,600 00


Burns Schoolhouse, land (16,- 080 feet) and building 15,000 00


Furniture


.


700 00


15,700 00


Amount carried forward


$1,288,459 20


APPENDIX TO TREASURER AND COLLECTOR'S REPORT


103


Amount brought forward $1,288,459 20


City Farm, land (10 acres, 12,- 523 feet)


40,000 00


Cedar Street Schoolhouse


700 00


Furniture


100 00


800 00


City stables and dwelling-houses Equipments for highway repairs .


28,322 00


Watering carts and sheds .


5,000 00


No. 1 Fire Station, land (8,279 feet) and building ·


27,052 93


Engine No. 2 and apparatus


4,000 00


Hose wagon No. 1 and ap- paratus


1,500 00


Furniture


400 00


32,952 93


No. 2 Fire Station, land (5,400 feet) and building .


8,000 00


Furniture .


·


400 00


Hose wagon No. 2 and


apparatus .


· 1,500 00


9,900 00


No. 3 Fire Station, land (5,226 feet) and building .


9,000 00


Furniture


400 00


Hose wagon No. 3 and apparatus


1,500 00


Hook and ladder truck


and apparatus


3,400 00


14,300 00


Amount carried forward


$1,438,234 13


18,500 00


104


ANNUAL REPORTS.


Amount brought forward $1,438,234 13


No. 4 Fire Station, land (9,100 feet) and building


19,054 42


Furniture 400 00


Engine No. 4 and apparatus


4,000 00


Combination wagon and


apparatus


2,500 00


25,954 42


No. 5 Fire Station, land (39,456 feet) and building ·


16,000 00


Furniture ·


400 00


Hose wagon No. 5 and ap- paratus


1,500 00


17,900 00


Hook and Ladder Station No. 2,


land (9,902.7 square feet)


and building, equipment and furniture


14,753 71


Central Fire Station, land (10,- 019 feet) and building Furniture


43,603 89


500 00


Engine No. 1 and apparatus


4,000 00


Hose wagon and apparatus


2,000 00


Two relief hose carriages .


1,000 00


One relief hook and ladder


400 00


Chemical Engine A and equip- ment


2,498 53


54,002 42


Fire-alarm telegraph .


26,600 00 .


Police Station, land (15,232 feet)


and building


45,000 00


Furniture


3,000 00


48,000 00


Amount carried forward


$1,625,444 68


APPENDIX TO TREASURER AND COLLECTOR'S REPORT.


105


Amount brought forward $1,625,444 68


Police-signal system and apparatus 8,000 00


Prospect street, land (7,918 feet) and building


7,000 00


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 (126,689.77 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 1-3 acres)


5,000 00


Gravel land rear North street (about 5 43-100 acres


4,000 00


Nathan Tufts Park (about 4 54-100 acres)


47,649 28


Sanborn Field (232,915 feet)


33,000 00


Somerville Water Works, cost


694,608 76


Oliver street, land (63,069)


7,500 00


Whipple street, land (15,240 feet)


800 00


Land on Clarendon Hill, corner Holland street and Newbury street (8,113.1 feet) .


2,464 20


Martin W. Carr Schoolhouse, land (14,850 feet) and building, unfinished


26,879 43


Total amount of public property $2,638,100 12


106


ANNUAL REPORTS.


TABLE B. FUNDED DEBT DECEMBER 31, 1897. CITY LOAN BONDS.


DATE.


Number of Bonds.


Rate per cent. of Interest.


When due.


Denomi- nation.


Amount.


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


July 1, 1896


2,068 to 2,077


4


July 1, 1898


1,000


10,000


July 1, 1897


2,223 to 2,233


4


July 1, 1898


1,000


11,000


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


42


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


July 1, 1895


1,791 to 1,809


4


July 1, 1899


1,000


19,000


July 1, 1896


2,078 to 2,087


4


July 1, 1899


1,000


10,000


July 1, 1897


2,234 to 2,244


4


July 1, 1899


1,000


11,000


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


4}


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


July 1, 1896


2,088 to 2,097


4


July 1, 1900


1,000


10,000


Amount carried


forward


$288,000


.


107


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


$288,000


July 1, 1897


2,245 to 2,255


4


July 1, 1900


$1,000


11,000


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


July 1, 1896


2,098 to 2,106


4


July 1, 1901


1,000


9,000


July 1, 1897


2,250 to 2,266


4


July 1, 1901


1,000


11,000


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


41


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


July 1, 1896


2,107 to 2,115


4


July 1, 1902


1,000


9,000


July 1, 1897


2,267 to 2,275


4


July 1, 1902


1,000


9,000


October 1, 1891


1,212 to 1,214


4


Oct. 1, 1902


1,000


3,000


October 1, 1893


1,517 to 1,546


41


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


July 1, 1896


2,116 to 2 123


4


July 1, 1903


1 000


8,000


July 1, 1897


2,276 to 2,284


4


July 1, 1903


1,000


9,000


October 1, 1891


1,215 to 1,217


4


Oct. 1, 1903


1,000


3,000


October 1, 1893


1,547 to 1,581


42


Oct. 1, 1903


1,000


35,000


Amount


carried


forward .


$601,000


1


108


ANNUAL REPORTS.


TABLE B. - CITY LOAN BONDS. - Continued.


DATE.


Number of Bonds.


Rate per cent. of Interest.


When Due.


Denomi- nation.


Amount.


Amount


brought


forward . .


·


$601,000


July 1, 1894


1,655 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


July 1, 1896


2,124 to 2,131


4


July 1, 1904


1,000


8,000·


July 1, 1897


2,285 to 2,293


4


July 1, 1904


1,000


9,000,


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


July 1, 1896


2,132 to 2,139


4


July 1, 1905


1,000


8,000


July 1, 1897


2,294 to 2,302


4


July 1, 1905


1,000


9,000;


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, 1896


2,140 to 2,147


4


July 1, 1906


1,000


8,000


July 1, 1897


2,303 to 2,311


4


July 1, 1906


1,000


9,000


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, 1896


2,148 to 2,155


4


July 1, 1907


1,000


8,000


July 1, 1897


2,312 to 2,320


4


July 1, 1907


1,000


9,000


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, 1896


2,156 to 2,163


4


July 1. 1908


1,000


8,000


July 1, 1897


2,321 to 2,325


4


July 1, 1908


1,000


5,000


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, 1896


2,164 to 2.171


4 July 1, 1909


1,000


8,000


July 1, 1897


2,326 to 2,330


4


July 1, 1909


1,000


5,000


Amount


carried


forward


$835,000


109


APPENDIX TO TREASURER AND COLLECTOR'S REPORT.


TABLE B. - CITY LOAN BONDS. - Concluded.


DATE.


Number of Bonds.


Rate per cent. of Interest.


When due.


Denomi- nation.


Amount.


Amount


brought


forward


$835,000


July 1, 1894


1,704 to 1,709


4


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, 1896


2,172 to 2,179


4


July 1, 1910


1,000


8,000


July 1, 1897


2,331 to 2,335


4


July 1, 1910


1,000


5,000


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, 1896


2,180 to 2,187


4


July 1, 1911


1,000


8,000


July 1, 1897


2,336 to 2,340


4


July 1, 1911


1,000


5,000


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, 1896


2,188 to 2,194


4


July 1, 1912


1,000


7,000


July 1, 1897


2,341 to 2,344


4


July 1, 1912


1,000


4,000


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, 1896


2,195 to 2,201


4


July 1, 1913


1,000


7,000


July 1, 1897


2,345 to 2,348


4


July 1, 1913


1,000


4,000


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, 1896


2,202 to 2,208


4


July 1, 1914


1,000


7,000


July 1, 1897


2,349 to 2,352


4


July 1, 1914


1,000


4,000


July 1, 1895


2,045 to 2,057


4


July 1, 1915


1,000


13,000


July 1, 1896


2,209 to 2,215


4


July 1, 1915


1,000


7,000


July 1, 1897


2,353 to 2,356


4


July 1, 1915


1,000


4,000


July 1, 1896


2,216 to 2,222


4


July 1, 1916


1,000


7,000


July 1, 1897


2,357 to 2,360


4


July 1, 1916


1,000


4,000


July 1, 1897


2,361 to 2,364


4


July 1, 1917


1,000


4,000


Total amount


of City


Loan Bonds


$1,031,000


110


ANNUAL REPORTS.


TABLE B. SEWER LOAN BONDS.


DATE.


Number of Bonds.


Rate per cent. of Interest.


When due.


Denomi- nation.


Amount.


July 1, 1894


57


4


July 1, 1898


$1,000


$1,000


July 1, 1897


174


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


July 1, 1897


175


4


July 1, 1899


1,000


1,000


October 1, 1893


41


41


Oct. 1, 1899


1,000


1,000


July 1, 1894


59


4


July 1, 1900


1,000


1,000


July 1, 1897


176


4


July 1, 1900


1,000


1,000


October 1, 1893


42


4}


Oct. 1, 1900


1,000


1,000


July 1, 1894


60


4


July 1, 1901


1,000


1,000


July 1, 1897


177


4


July 1, 1901


1,000


1,000


October 1, 1893


43


4}


Oct. 1, 1901


1,000


1,000


July 1, 1894


61


4


July 1, 1902


1,000


1,000


July 1, 1897


178


4


July 1, 1902


1,000


1,000


October 1, 1893


44


4}


Oct. 1, 1902


1,000


1,000


July 1, 1894


62


4


July 1, 1903


1,000


1,000


July 1, 1897


179


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


July 1, 1897


180


4


July 1, 1904


1,000


1,000


October 1, 1893


46


42


Oct. 1, 1904


1,000


1,000


July 1, 1894


64


4


July 1, 1905


1,000


1,000


July 1, 1897


181


4


July 1, 1905


1,000


1,000


October 1, 1893


47


4}


Oct. 1, 1905


1,000


1,000


July 1, 1894


65


4


July 1, 1906


1,000


1,000


July 1, 1897


182


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


Amount carried


forward


$28,000


111


APPENDIX TO TREASURER AND COLLECTOR'S REPORT.


TABLE B. - SEWER LOAN BONDS. - Continued.


DATE.


Number of Bonds.


Rate per cent. of Interest.


When Due.


Denomi- nation.


Amount.


Amount


brought


forward


$28,000


July 1, 1897


183


4


July 1, 1907


$1,000


1,000


October 1, 1893


49


42


Oct. 1, 1907


1,000


1,000


July 1, 1894


67


4


July 1, 1908


1,000


1,000


July 1, 1897


184


4


July 1, 1908


1,000


1,000


· October 1, 1893


. 50


42


Oct. 1, 1908


1,000


1,000


July 1, 1894


68


4


July 1, 1909


1,000


1,000


July 1, 1897


185


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


July 1, 1897


186


4


July 1, 1910


1,000


1,000


October 1, 1893


52


4₺


Oct. 1, 1910


1,000


1,000


July 1, 1894


70


4


July 1, 1911


1,000


1,000


July 1, 1897


187


4


July 1, 1911


1,000


1,000


October 1, 1893


53


41


Oct. 1, 1911


1,000


1,000


July 1, 1894


71


4


July 1, 1912


1,000


1,000


July 1, 1897


188


4


July 1, 1912


1,000


1,000


July 1, 1894


72


4


July 1, 1913


1,000


1,000


July 1, 1897


189


4


July 1, 1913


1,000


1,000


July 1, 1894


73


4


July 1, 1914


1,000


1,000


July 1, 1897


190


4


July 1, 1914


1,000


1,000


July 1, 1897


191


4


July 1, 1915


1,000


1,000


July 1, 1897


192


4


July 1, 1916


1,000


1,000


July 1, 1897


193


1


July 1, 1917


1,000


1,000


July 1, 1897


194


4


July 1, 1918


1,000


1,000


July 1, 1897


195


4


July 1, 1919


1,000


1,000


July 1, 1897


196


4


July 1, 1920


1,000


1,000


July 1, 1897


197


4


July 1, 1921


1,000


1,000


July 1, 1897


198


4


July 1, 1922


1,000


1,000


Total amount of Sewer


Loan Bonds


$56,000


112


ANNUAL REPORTS.


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. óf Interest.


When due.


Denomi- nation.


Amount.


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 . .


$92,000


-


113


APPENDIX TO TREASURER AND COLLECTOR'S REPORT.


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


26 to 30


4


Oct. 1, 1898


$1,000


$5,000


October 1, 1892


31 to 35




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