Report of the city of Somerville 1898, Part 6

Author: Somerville (Mass.)
Publication date: 1898
Publisher: Somerville, Mass.
Number of Pages: 870


USA > Massachusetts > Middlesex County > Somerville > Report of the city of Somerville 1898 > Part 6


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$94.75


Expenditures


$94.00


Excess


.75


Schoolhouse, Ward Two : -


Appropriation, Funded Debt ac-


count


$34,000.00


Transferred from Ar-


mory account .


4,000.00


$38,000.00


Old buildings


70.00


Expenditures


9,848.53


Balance to 1899


28,221.47


School Teachers' Salaries : -


Appropriations .


$190,000.00


Transferred from Re-


duction of Funded


Debt account .


. 12,946.83


202,946.83


Expenditures


202,946.83


Sewers, Construction : -


Appropriation, Funded Debt ac-


count


25,000.00


Balance from 1897


$19,274.35


Transferred to school-


house, Spring Hill


District account


600.00


18,674.35


67,280.96


107.36


Expenditures, less assessments, $11,107.04


94,180.44


Balance to 1899 .


16,882.23


Sewers, Maintenance : -


Appropriation


.


. $7,000.00


Transferred from In-


terest account


300.00


7,300.00


Labor, materials, etc.


345.71


Expenditures


Deficiency .


7,755.06


109.35


Water Works Income account


.


Permits, etc.


90


ANNUAL REPORTS.


Accounts.


Appropriations.


Credits.


Expenditures and Balances.


Sidewalks : -


Appropriation,


tax


levy


$10,000.00


Appropriation, Fund-


ed Debt account


. 5,000.00


Transferred


from


Highways account .


167.41


$15,167.41


Edgestones, bricks, etc.


$260.49


Expenditures, less assessments, $14,848.14


$15,427.90


Street Lights : -


Appropriation


45,000.00


Expenditures


43,897.56


Excess


1,102.44


County of Middlesex :


Appropriation


44,894.56


Expended, County Tax


44,894.56


State


of


Massachusetts,


State


Tax : -


Appropriation


27,075.00


Expended, State Tax 27,075.00


State of Massachusetts, Metropoli-


tan Sewer Assessment : -


Appropriation


31,566.31


Expended, Metropolitan Sewer


assessment


31,566.31


State of Massachusetts, Non-Resi- dent Bank Stock :


1,043.12


Appropriation


:


Expended, tax on non-resident


bank stock


1,043.12


State of Massachusetts, Metropoli- tan Water Assessments : -


Water Works Income · 14,250.19


Expended, Metropolitan Water assessment


14,250.19


REPORT OF THE TREASURER AND COLLECTOR OF TAXES. 91


Expenditures


Accounts.


Appropriations.


Credits.


and Balances.


Support of Poor : -


Appropriation


$20,000.00


Transferred from In-


terest account


3,000.00


$23,000.00


Aid furnished


$6,552.98


Expenditures


Excess


$28,522.21


1,030.77


Support of Poor, Almshouse : -


Appropriation, Funded Debt ac-


count


20,000.00


Balance to 1899


20,000.00


Water Maintenance : -


Appropriation


from


Water Works In-


come of 1898


: $60,000.00


Water


Works


In-


come of 1897


·


5,278.88


Water Services


383.95


$65,662.83


Transferred to Water


Wks. Ext. acct.


.


7,000.00


Labor, materials, etc.


Expenditures


Excess


61,901.05


41.96


Water Loan Interest :


Appropriation


from


Water


Works Income account


.


11,925.00


Expenditures


11,925.00


Watering Streets : -


Appropriations


$ 3,500.00


Assessed to abutters


13,384.48


16,884.48


Received of abutters


345.88


Expenditures


17,015.98


214.38


Excess


58,662.83


3,280.18


92


ANNUAL REPORTS.


Accounts.


Appropriations.


Credits.


Expenditures and Balances.


Water Works Extension : --


Appropriation from


Water Works In-


come account .


$20,000.00


Transferred


from


Water Maintenance


account


7,000.00


$27,000.00


Expenditures


Excess


$26,970.22 29.78


Water Works Income : -


Income of the Water


Works $195,456.15


Appropriations . 195,456.15


$1,130,187.11


$345,170.06


$1,475,357.17


345,170.06


$1,475,357.17


$1,475,357.17


RECAPITULATION.


Appropriations as per tax levy .


$954,187.11


Appropriations, Funded Debt .


176,000.00


Water Works Income


200,735.03


National Bank and Corporation


Taxes


27,463.89


Court Fees, Fines, etc.


3,776.50


County of Middlesex, dog licenses


2,268.86


Unexpended balances of 1897 .


60,450.80


Received from all other sources


50,474.98


Expenditures


$1,352,087.44


Excess and Deficiency, balance to credit .


16,549.22


Unexpended balances to 1899


106,720.51


$1,475,357.17


$1,475,357.17


The assets of the city available for the payment of its unfunded liabilities are as follows : - Cash


$70,376.04


Real Estate Liens


1,664.60


Amount carried forward . $72,040.64


REPORT OF THE TREASURER AND COLLECTOR OF TAXES. 93 "


Amount brought forward


$72,040.64


Sewer Assessments


7,435.90


Sidewalk Assessments


5,193.11


State of Massachusetts, Burial of


Indigent Soldiers and Sailors 455.00


State of Massachusetts, Indigent Soldiers and Sailors


257.00


State of Massachusetts, State Aid


10,848.50


Taxes


355,654.19


Watering Streets Assessments


16.12


Total amount of assets .


$451,900.46


The liabilities are : -


Armory


$ 10,122.76


Fire Department, Fire Station,


Clarendon Hill


7,650.00


Highways, Paving Webster


Avenue


253.25


Overplus on Tax Sales


157.13


Public Library


7.40


Public Library, Isaac Pitman


Fund


1,000.00


Reduction of Funded Debt


9,099.63


Schoolhouse, Burns, Addition


12,000.00


Schoolhouse, Ward Two


28,221.47


Schoolhouse, Prescott, Heating and Ventilating


2,483.77


Sewers, Construction


16,882.23


Sundry Persons .


27,473.60


Support of Poor, Almshouse


20,000.00


Temporary Loans


300,000.00


Total amount of liabilities Excess of available assets over liabilities


$435,351.24


16,549.22


$451,900.46


· 94


ANNUAL REPORTS.


Total cash receipts for the


year, including a balance


of $90,433.87 from the year 1897 $2,399,107.23


Total cash disbursements


2,328,731.19


Leaving in the treasury the sum of $70,376.04


A detailed statement of the public property, funded debt, and the receipts and disbursements of the several 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,


$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


56,000.00


English High Schoolhouse .


129,579.39


Furniture


5,000.00


Philosophical and manual train- ing apparatus


7,000.00


141,579.39


Prescott Schoolhouse, land


(21,444 feet) and building


45,000.00


Furniture


2,000 00


47,000.00


Luther V. Bell Schoolhouse, land


(23,396 feet) and building


45,000.00


Furniture


2,000.00


47,000.00


Amount carried forward


$619,797.13


5,032 feet)


96


ANNUAL REPORTS.


Amount brought forward $619,797.13


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 build-


ing


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


Martin W. Carr Schoolhouse, land


(14,850 feet) and building


63,921.03


Furniture


3,000.00


66,921.03


Jacob T. Glines Schoolhouse,


land (28,800 feet) and build- ing ·


71,560.71


Furniture


.


2,100.00


73,660.71


Amount carried forward


$1,073,005.40


.


APPENDIX TO TREASURER AND COLLECTOR'S REPORT. 97


Amount brought forward . O. S. Knapp Schoolhouse, land (24,517 feet) and building Furniture


$48,256.67 2,000.00


50,256.67


Bingham Schoolhouse, land (21,017) feet) and building


36,506.87


Furniture


1,400.00


37,906.87


Sanford Hanscom Schoolhouse, land (12,756 feet) and build-


ing


43,632.19


Furniture


900.00


44,532.19


Davis Schoolhouse, land (38,152


feet) and building


25,000.00


Furniture


700.00


25,700.00


George W. Durell Schoolhouse, land (13,883 feet) and build- ing


16,179.10


Furniture


700.00


16,879.10


Cummings Schoolhouse, land


(11,300 feet) and building


15,000.00


Furniture


700.00


15,700.00


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


20,000.00


Furniture


1,000.00


21,000.00


Lincoln Schoolhouse, land


(17,662 feet) and building


14,000.00


Furniture


700.00


14,700.00


Amount carried forward


$1,299,680.23


$1,073,005.40


98


ANNUAL REPORTS.


Amount brought forward $1,299,680.23


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


$ 8,000.00


Furniture


600.00


8,600.00


Bennett Schoolhouse, land 20,560


feet) and building


10,000.00


Furniture


600.00


10,600.00


Harvard Schoolhouse, land (9,810


feet) and building


3,500.00


Furniture


100.00


3,600.00


Franklin Schoolhouse, land


(33,017 feet) and building


15,000.00


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


Schoolhouse Ward Two, Wash-


ington street, land (46,080 feet)and building, unfinished 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 . Watering carts and sheds .


28,322.00


21,690.00


5,000.00


Amount carried forward ·


$1,461,064.76


9,872.53


99


APPENDIX TO TREASURER AND COLLECTOR'S REPORT.


Amount brought forward


$1,461,064.76


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 ap-


paratus


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 ap- paratus


1,500.00


Hook and ladder truck and


3,400.00


14,300.00


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 ap- paratus


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


Amount carried forward


$1,562,072.11


apparatus


.


100


ANNUAL REPORTS.


Amount brought forward . Hook and Ladder Station No. 2,


$1,562.072.11


land (9,902.7 square feet) and building, equipment and furniture


14,753.71


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


$43,603.89


Furniture


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 and Police Signal apparatus


36,100.00


Police Station, land (15,232 feet) and building


45,000.00


Furniture


3,000.00


48,000.00


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


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


Somerville Water Works, cost .


721,578.98


Oliver street, land (63,069 feet)


7,500.00


Whipple street, land (15,240 feet)


800.00


Amount carried forward


$2,680,198.00


APPENDIX TO TREASURER AND COLLECTOR'S REPORT. 101


Amount brought forward $2,680,198.00


Lincoln Park, Washington street (359,604.77 feet) . . Fire Station, Clarendon Hill, land (8,113.1 feet) and building, unfinished 9,814.20


42,000.14


Prospect Hill, Park (56,700 feet) 20,356.21


Total amount of public property $2,752,368.55


102


ANNUAL REPORTS.


TABLE B. FUNDED DEBT DECEMBER 31, 1898. CITY LOAN BONDS.


DATE.


Number of Bonds.


Rate per cent. of Interest.


When Due.


Denomi- nation.


Amount.


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


July 1, 1898


2,365 to 2,375


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


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


July 1, 1896


2,088 to 2,097


4


July 1, 1900


1,000


10,000


July 1, 1897


2,245 to 2,255


4


July 1, 1900


1,000


11,000


July 1, 1898


2,376 to 2,386


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


43


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


2,256 to 2,266


4


July 1, 1901


1,000


11,000


July 1, 1898


2,387 to 2,396


4


July 1, 1901


1,000


10,000


October 1, 1890


1,143 to 1,146


4


Oct. 1, 1901


1,000


4,000


Amount carried forward ..


$298,000


APPENDIX TO TREASURER AND COLLECTOR'S REPORT. 103


TABLE B .- CITY LOAN BONDS. - Continued.


DATE.


Number of Bonds.


Rate per cent. of Interest.


When Due.


Denomi- nation.


Amount.


Amount brought


forward . .


$298,000


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


July 1, 1898


2,397 to 2,406


4


July 1, 1902


1,000


10,000


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


July 1, 1898


2,407 to 2,416


4


July 1, 1903


1,000


10,000


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


1,655 to 1,673


4


July 1, 1904


1,000


9,000


July 1, 1895


1,SS2 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


July 1, 1898


2,417 to 2,426


4


July 1, 1904


1,000


10,000


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


July 1, 1898


2,427 to 2,436


4


July 1, 1905


1,000


10,000


Amount carried forward .


$623,000


104


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 . .


.


.


$623,000


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, 1898


2,437 to 2,446


4


July 1, 1906


1,000


10,000


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, 1898


2,447 to 2,456


4


July 1, 1907


1,000


10,000


July 1, 1894


1,692 to 1,697


4


July 1, 1908


1,000


6,000


July 1, 1895


1,94S 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, 1898


2,457 to 2,465


4


July 1, 1908


1,000


9,000


July 1, 1894


1,69S 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


July 1, 1898


2,466 to 2,470


4


July 1, 1909


1,000


5,000


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


S,000


July 1, 1897


2,331 to 2,335


4


July 1, 1910


1,000


5,000


July 1, 1898


2,471 to 2,475


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


Amount carried forward .


$S61,000


APPENDIX TO TREASURER AND COLLECTOR'S REPORT. 105


TABLE B. - CITY LOAN BONDS. - Concluded.


DATE.


Number of Bonds.


Rate per cent. of Interest.


When Due.


Denomi- nation.


Amount.


Amount brought forward . .


.


$S61,000


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, 1898


2,476 to 2,480


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, 1898


2,481 to 2,485


4


July 1, 1912


1,000


5,000


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 2,34S


4


July 1, 1913


1,000


4,000


July 1, 1898


2,486 to 2,490


4


July 1, 1913


1,000


5,000


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, 1898


2,491 to 2,495


4


July 1, 1914


1,000


5,000


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, 1898


2,496 to 2,500


4


July 1, 1915


1,000


5,000


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, 1898


2,501 to 2,505


4


July 1, 1916


1,000


5,000


July 1, 1897


2,361 to 2,364


4


July 1, 1917


1,000


4,000


July 1, 1898


2,506 to 2,510


4


July 1, 1917


1,000


5,000


July 1, 1898


2,511 to 2,515


4


July 1, 1918


1,000


5,000


Total amount


of City Loan Bonds .


$1,044,000


106


ANNUAL REPORTS.


TABLE B. SEWER LOAN BONDS.


DATE.


Number of Bonds.


Rate per cent. of Interest.


When Due.


Denomi. nation.


Amount.


July 1, 1894


58


4


July 1, 1899


$1,000


$1,000


July 1, 1897


175


4


July 1, 1899


1,000


1,000


July 1, 1898


199


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


July 1, 1898


200


4


July 1, 1900


1,000


1,000


October 1, 1893


42


41


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


July 1, 1898


201


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


July 1, 1897


178


4


July 1, 1902


1,000


1,000


July 1, 1898


202


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


July 1, 1897


179


4


July 1, 1903


1,000


1,000


July 1, 1898


203


4


July 1, 1903


1,000


1,000


October 1, 1893


45


4}


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


July 1, 1898


204


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


Amount carried forward .


$25,000


APPENDIX TO TREASURER AND COLLECTOR'S REPORT. 107


TABLE B .- SEWER LOAN BONDS. - Continued.


DATE.


Number of Bonds.


Rate per cent. of Interest.


When Due.


Denomi- nation.


Amount.


Amount brought


forward . .


. ·


$25,000


July 1, 1897


181


4


July 1, 1905


$1,000


1,000


July 1, 1898


205


4


July 1, 1905


1,000


1,000


October 1, 1893


47


43


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


July 1, 1898


206


4


July 1, 1906


1,000


1,000


October 1, 1893


48


41


Oct. 1, 1906


1,000


1,000


July 1, 1894


66


4


July 1, 1907


1,000


1,000


July 1, 1897


183


4


July 1, 1907


1,000


1,000


July 1, 1898


207


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


July 1, 1897


184


4


July 1, 1908


1,000


1,000


July 1, 1898


208


4


July 1, 1908


1,000


1,000


October 1, 1893


50


41


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


July 1, 1898


209


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


July 1, 1898


210


4


July 1, 1910


1,000


1,000


October 1, 1893


52


41


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


July 1, 1898


211


4


July 1, 1911


1,000


1,000


October 1, 1893


53


43


Oct. 1, 1911


1,000


1,000


Amount carried


forward . .


$52,000


108


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 . .


. .


$52,000


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, 1898


212


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, 1898


213


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, 1898


214


4


July 1, 1914


1,000


1,000


July 1, 1897


191


4


July 1, 1915


1,000


1,000


July 1, 1898


215


4


July 1, 1915


1,000


1,000


July 1, 1897


192


4


July 1, 1916


1,000


1,000


July 1, 1898


216


4


July 1, 1916


1,000


1,000


July 1, 1897


193


4


July 1, 1917


1,000


1,000


July 1, 1898


217


4


July 1, 1917


1,000


1,000


July 1, 1897


194


4


July 1, 1918


1,000


1,000


July 1, 1898


218


4 July 1, 1918


1,000


1,000


July 1, 1897


195


4


July 1, 1919


1,000


1,000


July 1, 1898


219


4


July 1, 1919


1,000


1,000


July 1, 1897


196


4


July 1, 1920


1,000


1,000


July 1, 1898


220


4


July 1, 1920


1,000


1,000


July 1, 1897


197


4


July 1, 1921


1,000


1,000


July 1, 1898


221


4


July 1, 1921


1,000


1,000


July 1, 1897


198


4


July 1, 1922


1,000


1,000


July 1, 1898


222


4


July 1, 1922


1,000


1,000


July 1, 1898


223


4


July 1, 1923


1,000


1,000


Total amount of Sewer


Loan Bonds


$78,000


APPENDIX TO TREASURER AND COLLECTOR'S REPORT. 109


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


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, 190S


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


13S 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


16S 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 . .


$88,000


110


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


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




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